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#FuturesTrades November 21st Wednesday 2007 Trade Log

 

Russell 2000 Emini ER2 Futures

Today Month Year
+15.10 +302.60 +3380.50
$1,510 $30,260 $338,050

Profitable Trade

1113am - 1118am est

Losing Trade

1010am - 1014am est

click on image to view actual size

 

Current Performance Record

Key Trades of the Day (see chat log below)

Profit/Loss Statement

 

General Strategy Info: The above profit/loss info represents trades by M.A. Perry (a.k.a. NihabaAshi) only and all trades were posted in realtime as shown in the below chat log. 

Although I'm not familiar with the trade methods used by most members of #FuturesTrades, I use a rule based (no subjectivity) methodology that involves WRB Analysis.

  There is some subjectivity involved with some of my trades when I'm developing a new strategy (hence the name TheStrategyLab.com) that uses WRB Analysis.

In fact, many of my trades or profit targets will occur within key WRB support/resistance zones because these price areas gives me a better understanding of key changes in supply demand.

  Traditional pivot point analysis or traditional s/r levels are inadequate in understanding changes in supply/demand of the Russell 2000 Emini ER2 or any other trading instrument of today's markets in comparison to WRB Analysis.

WRB Analysis is also a key aspect in my use of intermarket analysis (ex. Oil and Gold), market seasonal tendencies, volatility analysis and custom Japanese Candlestick patterns to complete my trading plan that results in consistent profits.

Further, position size management is a key aspect of my trading and I trade any where between 1 to 9 contracts per trade depending upon the volatility, pattern signal, seasonal tendencies or intuition.

All of my trades and commentary for today's market action (posted below) are via the user name NihabaAshi (Japanese Candlestick term) and I exclusively trade the Russell 2000 Emini ER2 futures even though I closely monitor other key markets so that I'll have a better understanding of ER2 price action. 

With that said, today's trade posting chat log is below and it contains all my trades that were posted in realtime along with the trades of other members of #FuturesTrades.

Further, if you want the instructions for gaining access to our free #FuturesTrades chat room...click here.

   
  #FuturesTrades purpose, benefits and access info for day traders, swing traders and position traders...click here.
Session Start: Wed Nov 21 06:09:31 2007Session Ident: #futurestrades
#FuturesTrades Info -> Chat room for traders and intermarket analysis of Emini Futures (EMD, ER2, ES, NQ, YM), EuroFX Futures (EC), Eurex Derivatives (DAX, ESTX50), Euronext Futures (FTSE100, CAC40), Treasury Futures (ZF, ZN, ZB), NYMEX Futures (CL, NG, HO, QM) and Exchange Traded Funds (DIA, GLD, IWM, OIH, XLE, QQQQ, SPY)08:12
<X> [NihabaAshi] #FuturesTrades info @ http://www.thestrategylab.com/FuturesTradesChatRoom.htm and trade log archives @ http://www.thestrategylab.com/RecentTrades.htm
<sav> gm09:30
<ripsboy> gm all...
<szubaark>  Shorts ES @ 1429 «« paper »» 09:37
<base> GM all09:38
<szubaark>  Covered 1/2 Short ES at 1427.50 --> + 1.5 «« paper »» 09:39
exit stop moved to breakeven ES @ 1429 «« paper »»
<werner> gm all09:43
<szubaark>  Covered all Short ES at 1429 --> 0 «« paper »»
<wizardofrijnsaterwou> gm
<werner> yo wiz
<NihabaAshi>  Long ER2 @ 745.50 -> large size 09:45

Exited ER2 Long @ 745.60 --> + 0.1 09:48
<szubaark>  Buys ES @ 1431.25 «« paper »» 09:53
Expecting Volatility spike soon.
<NihabaAshi>  Long ER2 @ 746.00 -> large size
<Brutus> 1000/1500 Oct Conference Board Leading Econ Indicators09:55
<szubaark>  Exited 1/2 Long ES at 1433.25 --> + 2 «« paper »» 09:57
  
Trading Edge: 

Strategies

If your an independent trader looking for an edge to help you traverse around obstacles to profitable trading...a method that's well defined, gives you a better understanding of the markets, applicable for day trading, position trading, swing trading, market seasonal tendencies, position size management, intermarket analysis with a money back guaranteed policy...click here.
   Trading Strategies ->   Strategies used by NihabaAshi, from entry to exit, exploit inefficiencies in the price action for profits of the following trading instruments via WRB Analysis and Intermarket Analysis: Emini Index Futures (EMD, ER2, ES, NQ, YM), EuroFX Futures (EC), Eurex Index Derivatives (DAX, ESTX50), Euronext Index Futures (FTSE100, CAC40), Treasury Futures (ZF, ZN, ZB), NYMEX Energy Futures (CL, NG, HO, QM), COMEX Metals Futures (GC), Forex Currencies (EurUsd, EurYen, UsdCdn), Exchange Traded Funds (DIA, GLD, OIH, IWM, QQQQ, SPY, XLE) and Hang Seng Index Futures (HSI) 
  
<PapaJon> gm all
<szubaark>  exit stop moved to breakeven ES @ 1431.25 «« paper »»
<NihabaAshi>  Exited ER2 Long @ 746.50 --> + 0.5 09:59
<szubaark>  Exited all Long ES at 1431.25 --> 0 «« paper »» 10:00
<pdays>  Shorts ER2 @ 74640 10:02
Shorts ER2 @ 746.40
Covered all ER2 Short @ 745.5 --> + 0.9
<szubaark>  Shorts ES @ 1428.25 «« paper »» 10:06

Covered 1/2 Short ES at 1427.25 --> + 1 «« paper »» 10:08

Very choppy Price Action before the holidays.10:09

Covered all Short ES at 1428.25 --> 0 «« paper »»

:(
<NihabaAshi>  Shorts ER2 @ 743.20 -> large size 10:10
Sorry, that was an entry a little while ago...
Had a little distraction with someone refusing to register but still wants access to the room :)10:11
<szubaark>  Buys ES @ 1429.75 «« paper »» 10:12
<NihabaAshi>  Covered all ER2 Short @ 744.70 --> - 1.5 10:14
<szubaark>  Exited 1/2 Long ES at 1431 --> + 1.25 «« paper »»

exit stop moved to breakeven ES @ 1429.75 «« paper »»
<X>  #FuturesTrades Info -> Chat room for traders and intermarket analysis of Emini Futures (EMD, ER2, ES, NQ, YM), EuroFX Futures (EC), Eurex Derivatives (DAX, ESTX50), Euronext Futures (FTSE100, CAC40), Treasury Futures (ZF, ZN, ZB), NYMEX Futures (CL, NG, HO, QM) and Exchange Traded Funds (DIA, GLD, IWM, OIH, XLE, QQQQ, SPY)10:15
<szubaark> Lets see if 10:30 Oil report produces any Volatility

Exited all Long ES at 1429.75 --> 0 «« paper »»
<bern> lets hope it produce volatility with clear direction :)10:16
<NihabaAshi>  Shorts ER2 @ 744.60 -> large size 10:23

:(10:24

Covered all ER2 Short @ 743.90 --> + 0.7 10:25
<szubaark>  Buys ES @ 1428.50 «« paper »» 10:26
<NihabaAshi> Got more distractions here...
* NihabaAshi is now known as NihabaAshi_away
<szubaark>  Exited 1/2 Long ES at 1429.50 --> + 1 «« paper »» 10:27

taking quick scalps in this tight range

exit stop moved to breakeven ES @ 1428.50 «« paper »»

Exited all Long ES at 1428.50 --> 0 «« paper »» 10:28

Shorts ES @ 1427.25 «« paper »» 10:30

Covered 1/2 Short ES at 1425.25 --> + 2 «« paper »» 10:31

exit stop moved to breakeven ES @ 1427.25 «« paper »»
<NihabaAshi_away>  Shorts ER2 @ 739.40 -> large size 10:34
Covered all ER2 Short @ 739.70 --> - 0.3 10:38
<ItalianSharp> what time are markets closing today?

are we going to have an early close?
<Nesi> normal
friday half day
<ItalianSharp> thanks...what time are they closing on friday?

12pm?
<Nesi> 1 pm ...not sure
<ItalianSharp> thanx10:39
<NihabaAshi_away>  Shorts ER2 @ 740.40 -> large size 10:41
* NihabaAshi_away is now known as NihabaAshi
<pirate> markets closed at 1 pm friday10:42
<szubaark> Expecting another volatility spike soon, hopefully to downside, Im Short10:43
<NihabaAshi>  Covered all ER2 Short @ 740.90 --> - 0.5 10:47
<szubaark> entries have to be Perfect today due to the many shakes10:48

welcome back Awash10:52
<Awash> howdy10:53
just around for today
<szubaark>  Covered all Short ES at 1420 --> + 7.25 «« paper »» 10:55
<ItalianSharp> wow, mkts are selling off...YM and ES just broke very key support
if NQ follows along, this thing can get ugly10:56
<szubaark> until christmas, then Buy Buy :))
<nikopa> i am short till YM goes 1280010:58
<ItalianSharp> szu, i agree10:59

i see mkts rallying in the 2nd half of december

until then, selling should be the norm

we just broke thru august's lows

just think about it: august mkts sold off hard...

then bernie comes in to rescue the ship and cuts 75 bp11:00

and we are still making new lows...LOL
<Awash> IS, August lows?
<ItalianSharp> yep
<ScreenStruck> gm
<Nesi> looking ugly
<Awash> where's your august low for ES & $SPX?
<nikopa> YM broke down
<ItalianSharp> awash, CNBC just said that...lol11:02
i just looked at the charts, ES & YM havent broken august lows yet
you are right
<Awash> August lows is very crucial support

it should be visible on everyones chart
<NihabaAshi>  Shorts ER2 @ 737.80 -> large size
<Awash> that's area is a key support area11:03
<ItalianSharp> it's only 70 ticks away
<nikopa> don't know if banks come in to save the day ...
<Awash> very aggressive rally off that level in August
<ItalianSharp> i cant see mkts breaking august lows before thanksgiving
<Nesi>  Long ER2 @ 738.00 «« paper »»
<ItalianSharp> yet anything can happen
<pirate> ym august low is still 300 points away - 12,51711:04
<Awash> agree, my system forces me to take one session at a time
<szubaark> yes, having bias in this market can be deadly11:05
<Nesi>  Long ER2 @ 737.50 -> Add «« paper »»
<ItalianSharp> YM august low is 12654
<Nesi> oil some pullback
<ItalianSharp> can you guys confirm?
if not, my charts are off
<NihabaAshi>  Covered all ER2 Short @ 737.30 --> + 0.5 11:06
<pirate> stockcharts.com says 12517
<ItalianSharp> tradestation says 1265411:07
<Awash> i'll double check my chart too
<nikopa> don't think today
<ItalianSharp> pirate, you talking about cash
that's correct, but it's the cash index
<pirate> cash,bot futures
<ItalianSharp> YM futures august low is 12654
<Awash> IS, is 12654 Dec or Sep contract data?11:08
<ItalianSharp> that's september adjusted to december
TS automatically adjusts it on contract rollover11:09
<Awash> oh

okay
<ItalianSharp> just for the record, ER2 is the only futures index that broke august lows
<Nesi> thx11:10

Exited 1/2 ER2 Long @ 739.40 --> + 1.9 «« paper »»

exit stop moved to breakeven ER2 @ 737.70 «« paper »» 11:12
<NihabaAshi>  Long ER2 @ 740.20 -> large size 11:13
Exited all ER2 Long @ 741.70 --> + 1.5 11:18
* Awash is now known as Awash_afk11:20
<szubaark> nice Niha.11:21
<NihabaAshi> tough morning so far...11:24
<Nesi>  Long YM @ 12786.00 «« paper »»
<ItalianSharp> question to the more experienced traders:
<pat255> y ...
<ItalianSharp> are you guys gonna trade this friday?

what's it like the day after thanksgiving?11:25
<pat255> low vol ..i need to be careful
<Nesi> er IF takes 742 area... it probably get more traction up..imho

dunno if i am correct, but i am watching EMD also.. if takes 826 area it may help ER..11:26

i am following DAX also, and OIL11:27

DAX trying hard to spike up a bit..imo

market right now getting some turkey love..imo11:28

EMDZ7 trying hard, Niha

i am following it like you told me11:29
<pat255> N that last trade of yours was based on what tf chart?11:32
<NihabaAshi> pat...today I'm abusing the 1min chart only11:34
<pat255> lol ..k
<NihabaAshi>  Long ER2 @ 742.30 -> small size 11:38

This worked well the other day when I made adjustments to my "volatility breakout" trades.

In comparison, the trading days prior to the adjustments weren't exactly up to par with my other methods.11:39

Exited all ER2 Long @ 743.60 --> + 1.3 11:40
<pat255> vn
<pdays>  Long ES @ 1426.5 11:43

Exited all ES Long @ 1427.5 --> + 1
<Nesi>  Exited all YM Long @ 12918.00 --> + 132 «« paper »»
that post probably wrong.. i dont think i got all those points11:44
54 points it was
<pat255> vn nesi ..dang did not hold ..:(11:45
<Nesi> its papertrading, learning how to juice them :/
<pat255> k..:)
<Guest35179> it wants to break up but good resistance here seems like, on the er2, but once break will aim at 74611:50
<Nesi>  Long YM @ 12920 «« paper »» 11:53
<cmr> $address(cmr,1)11:54
* codehead_afk is now known as codehead12:10
<X>  #FuturesTrades Info -> Chat room for traders and intermarket analysis of Emini Futures (EMD, ER2, ES, NQ, YM), EuroFX Futures (EC), Eurex Derivatives (DAX, ESTX50), Euronext Futures (FTSE100, CAC40), Treasury Futures (ZF, ZN, ZB), NYMEX Futures (CL, NG, HO, QM) and Exchange Traded Funds (DIA, GLD, IWM, OIH, XLE, QQQQ, SPY)12:21
<Nesi> here we go again12:39
<pat255> laer guys ....meeting ty all12:56
<Nesi> later , pat

Exited all YM Long @ 12970 --> + 50 «« paper »» 12:58

Long ER2 @ 747.00 -> Add «« paper »» 13:34
<codehead> long YM 12921 <paper>13:37
signal was zlr try on YM 5 min, bar was about to print, now looking iffy13:40
it failed int he last minute of the bar, rolled over
<Nesi>  Long YM @ 12921 «« paper »» 13:49

market coiling again..imo13:51
<szubaark>  Buys ES @ 1428.75 «« paper »» 13:57
<Nesi>  Long YM @ 12915 -> Add «« paper »»
<Guest35179>  Long ER2 @ 746.1
<szubaark>  Exited 1/2 Long ES at 1430.25 --> + 1.5 «« paper »» 13:58

exit stop moved to breakeven ES @ 1428.75 «« paper »»

was expecting more of a volatility spike then this :(13:59
<Nesi> in progress..imho14:00
<Guest35179>  Exited all ER2 Long @ 746.9 --> + 0.8 14:01
<Nesi> nice
good timing, guest
<Guest35179> was stalling up there a little
<szubaark>  Exited all Long ES at 1428.75 --> 0 «« paper »»
<Nesi> yup
<Guest35179> but there's some good buying support as well14:02
looks like we may break out soon14:03
<Nesi> maybe another push would do the trick14:04

no power :/

Exited all YM Long @ 12925 --> + 14 «« paper »» 14:05
<szubaark>  Shorts ES @ 1429 «« paper »» 14:07
<Nesi> watching IF ER can take 747

and see how it behaves14:08
<szubaark> a lot of noise here14:10
<Nesi> oil jumping a lot
<szubaark> expecting volatility spike soon, hopefully to downside,Im Short14:11
exit stop set ES @ 1431.50 «« paper »»
Covered all Short ES at 1431.50 --> - 2.5 «« paper »» 14:12
Shorts ES @ 1431.25 «« paper »» 14:15
<Guest35179>  Shorts ER2 @ 747.8 14:16
<Nesi> careful..imho14:18
<Guest35179>  Covered all ER2 Short @ 747.5 --> + 0.3 14:21
<szubaark>  exit stop moved to breakeven ES @ 1431.25 «« paper »» 14:22
Covered all Short ES at 1431.25 --> 0 «« paper »»
Too much noise here
<Nesi> vol contracting?
<Guest35179>  Long ER2 @ 747.6 14:23
<szubaark>  Buys ES @ 1432 «« paper »»
<Guest35179>  Exited ER2 Long @ 747 --> - 0.6 14:24
Reverse and Enter Short ER2 @ 747
<X>  #FuturesTrades Info -> Chat room for traders and intermarket analysis of Emini Futures (EMD, ER2, ES, NQ, YM), EuroFX Futures (EC), Eurex Derivatives (DAX, ESTX50), Euronext Futures (FTSE100, CAC40), Treasury Futures (ZF, ZN, ZB), NYMEX Futures (CL, NG, HO, QM) and Exchange Traded Funds (DIA, GLD, IWM, OIH, XLE, QQQQ, SPY)
<szubaark>  Exited all Long ES at 1429.50 --> - 2.5 «« paper »»
Shorts ES @ 1429.50 «« paper »»
<Guest35179>  Covered all ER2 Short @ 745.7 --> + 1.3
<szubaark> oopps14:25
<codehead> QM getting bashed into close after a nice moe up14:27

move14:28

whew, bounce--volatile
<Nesi>  Long YM @ 12930 «« paper »»
<codehead> QM dive a buck one bar, bounce a bucj the next14:29
<NihabaAshi>  Long ER2 @ 747.20 -> small size
<Nesi> 748 big res so far
<szubaark>  Covered all Short ES at 1432.25 --> - 2.75 «« paper »»
Buys ES @ 1432.25 «« paper »»
<Guest35179>  Shorts ER2 @ 747.7
<szubaark> nice fakes so far
<Guest35179>  Covered all ER2 Short @ 746.9 --> + 0.8 14:30
<Nesi> nice
<Guest35179> prices are really jumpy14:31
<szubaark> we went from nice volatility to shitty volatility in no time
<Nesi> its really working hard to spike14:32
<Guest35179> looks like it may take it here14:33
<Nesi> very

here we go :)14:34
<codehead> exit half YM 12955--was first target all along for me14:35
<Nesi> vn
<codehead> 12971 next, 13000, upside targets
that was paper, +34
<Nesi> come on 74814:36
<codehead> sorry, on phone, 1-handed typing
<Nesi> ER better mojo now..imo14:37
<NihabaAshi>  Exited all ER2 Long @ 748.30 --> + 1.1
  
WRB Analysis
  
<Nesi> vn
<NihabaAshi> Be back later...family distractions14:38
<Nesi>  Exited all YM Long @ 12955 --> + 25 «« paper »»
* NihabaAshi is now known as NihabaAshi_away
<szubaark>  Exited all Long ES at 1432.25 --> 0 «« paper »» 14:40

Shorts ES @ 1432 «« paper »»
<Nesi>  Long YM @ 12943 «« paper »» 14:43
<codehead> stuck in terminal phone call, setting stop on remainder YM b/e 12921 <paper>
<Andy> you must be waiting on Dell technical help14:44
<codehead> lol
<Nesi> lol
feels to me...last hour.. will be a lot of love...just a risky guess14:54
<szubaark>  Covered all Short ES at 1436.50 --> - 4.5 «« paper »»

:(
<Nesi> darn :/
<szubaark> got caught in the chop :(14:55
<codehead> exit half remainder Ym at 2nd target, 12971 <paper>
<Nesi> if come this far, i will hold YM for big 13000
<codehead> +50
yes, think it's likely
12971 is pivot (woodie's)14:56
<Nesi> 3 pm love so far15:00

Exited all YM Long @ 12989 --> + 46 «« paper »» 15:01
<codehead> nice15:05
wow, stepped away to talk to workers--guess that stop hit b/e on the last quarter of paper trade15:14
couldn't get platform up fast enough to get in around 1290015:15
but that's ok--this is nuts
shoud bounce
oops, sorry, meant that privately15:16
margin calls coming due?15:18
dam
<Andy>  Long ER2 @ 743.2 «« paper »» 15:19
<codehead> long YM 12890 <paper>15:20
mostly so i don't pull the trigger for real i think
but getting some cci hooking15:21
<Andy>  exit stop set ER2 @ 742.7 «« paper »»
<codehead> target +20 <paper>15:22
for half, will b/e the rest
exit +20 half YM <paper>15:23
<Andy>  Exited 1/2 ER2 Long @ 744.2 --> + 1 «« paper »»

exit stop moved to breakeven ER2 @ 743.3 «« paper »»

Exited 1/4 ER2 Long @ 745.7 --> + 2.5 «« paper »» 15:25

exit stop raised ER2 @ 743.8 «« paper »» 15:26
<codehead> current target is 12930 with the b/e stop on remainder15:27
<Andy>  Exited Remainder ER2 Long @ 743.8 --> + 0.6 «« paper »» 15:29
<codehead> my stop seems destined to hit
stop hit, b/e on remainder <paper>15:31
might get a little bounce try here15:33
long Ym 12894 <paper>, stop 1288415:35
i must be bored
target 12920
raise stop to 12889 <paper>15:37
out, -5 <paper>
<rainer>  Long YM @ 12870 15:43
<codehead> long YM 12866 <paper>
yes, i'm bored15:44
no signal
exit half +10, b/e on remainder <paper>
<rainer>  Exited all YM Long @ 12880 --> + 10 15:45
<codehead> exit half of remaingin +2015:46
final target + 30
<rainer>  Shorts YM @ 12883 15:49
<codehead> Ym 3 min vegas setting up
<rainer>  Covered all YM Short @ 12887 --> - 4 15:50
<codehead> if it goes, my +30 target will be low, but that's a scalping target
vegas at trigger area
YM 3 min bar closed right at trigger, could go either way now15:51
got within 4 of target, now stop hit likely....
out remainder b/e at stop <paper>15:52
12863 last low retested on YM, didn't break it yet...15:54
well, now it did15:55
<ItalianSharp> gotta love those last minute selloffs right before thanksgiving15:58
<codehead> long Ym 12820 <paper>
<ItalianSharp> no mercy for these markets
<codehead> insane selling here
<Nesi>  happy thanksgiving all :)16:00
<codehead> target +20
you too!
<ItalianSharp> US heads into thanksgiving with the dollar worth as much as toilet paper, oil at 100 USD per barrel, mkts selling off16:01

HAPPY THANKSGIVING AMERICA!!!
<codehead> the YM low there was exactly S1 (woodie's)16:02
* sep34 is now known as sep34_away16:06
<codehead> lowering target to +10 so i can quit watching16:09
raise stop to b/e +316:10
+6 stop
target tapped
stop hit
out +6 assuming it wouldn't have filled me +10--have a great holiday everyone
<Tim_a1> boy, they're sure making this a hard downtrend to ride16:13
<codehead> nasty16:14
<Tim_a1> enter just right, or they buck you off before they drop

yesterday's SPIKE was vicious
<codehead> near oil close, Qm took a 1 point dump and 1 point bounce16:16
vicious
that's $500 per contract
each way, in minutes
<Tim_a1> they jammed every stop late afternoon yesterday, they jammed them today, then dump at the end16:17

yesterday sure felt PPT - that charge is overused, but sometimes I think it's really there16:18
<werner> gnall16:24
<X>  #FuturesTrades Info -> Chat room for traders and intermarket analysis of Emini Futures (EMD, ER2, ES, NQ, YM), EuroFX Futures (EC), Eurex Derivatives (DAX, ESTX50), Euronext Futures (FTSE100, CAC40), Treasury Futures (ZF, ZN, ZB), NYMEX Futures (CL, NG, HO, QM) and Exchange Traded Funds (DIA, GLD, IWM, OIH, XLE, QQQQ, SPY)16:27
* Anek1 is now known as Anek17:24
* DisconnectedSession Close: Wed Nov 21 17:36:02 200717:36
  
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We are proud to say that our chat room members are from the following geographical areas in the world:

Argentina, Australia, Belgium, Brazil, Canada, Denmark, France, Germany, Greece, Hong Kong (China), Israel, Italy, Japan, Mexico, Portugal, Puerto Rico (U.S.), Saudi Arabia, Singapore, Spain, United States and Venezuela.

In addition, below are the trading instruments our chat room members monitor closely to make trade decisions:  

CME Emini Futures EMD, ER2, ES and NQ   

CBOT mini-sized Dow Futures YM

Eurex Index Derivatives (futures) DAX and DJ Euro Stoxx50

Eurex Fixed Income Derivatives BUND, BOBL and Schatz

Euronext Futures FTSE-100 and CAC-40

CME Futures EuroFX EC

Treasury Futures T-Notes ZN, ZF and T-Bonds ZB

Forex Currencies EurUsd, EurYen and UsdCdn

Exchange Traded Funds DIA, IWM, QQQQ, SPY, OIH, XLE and GLD  

NYMEX Energies Light Crude Oil CL, e-miNY QM and Natural Gas NG

COMEX Metals Gold GC and ZG

Hang Seng Index Futures HSI

Last of all, if you have any questions about any of the above commentary, specific trades et cetera...

Don't hesitate to ask your questions and we'll reply back as soon as possible.

Sincerely,

M.A. Perry and Associates

TheStrategyLab.com

 questions@thestrategylab.com

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