Little relief for nazbull2002

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#1
nothing worst than staying in the sideline watching the market rally

yesterday was the worst day to me
;)

even with the poor economic figures, I think the market is still risky for those in the sideline
 

no1q8

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KUWAIT
#2
تم الاعلان قبل قليل عن الرتيل سيلز وقد انخفض 2.4% وهو اكبر انخفاض بالانفاق منذ 1992 والتي بدءت بها امريكا تسجيل الانفاق العام وكان السوق قبل هذا الخبر مرتفع وبدء يأخذ جانب الانخفاض الان.
الرابط

http://cbs.marketwatch.com/news/default.asp?siteid=mktw
 

BNM

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#3
الله كريم

أخ nazbull2002 بسيطه
تأسف في ربح احسن من اسف في الخساره
لكن المفروض تعمل stop profit واترك الاسهم تسرح
 
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#4
more relief for nazbull2002, thanks to JP Morgan , Lehman Brothers, Needham and CSFB

but I still think the sideline is very scary
 
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#5
more and more relief ,the sideline is getting little scary...thanks to NVLS bad earning report

tomorrow... INTC and IBM (the big bombs), let's see if more relief or another bad day for those in the sideline?!!!i
 
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#7
I think the strength in the open was a wave of short covering

while the real buyers have ran out of fuel in just 30 minutes

this is a bear trap for those in the sideline, and I don't buy it

watch out
 

BNM

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#9
nazbull2002 بعد النتائج للشركات الكبيره ،
ماهي الاشاره لديك---وسبق للأستاذ قال لو كسر حاجز 1700 سيوصل الى 1770 مقاومه وقريب ان يوصلها ولكن تعليق
Jhon Dorfman بتاريخ ابريل 17- 2001 يقول:

My best guess is Dow will end this year at 9999
S&P500 I' d guess a finishing level of 1122 points
And NASDAQ وقتها النازدك كان 1750

Which includes 4,034 stocks traded on naz stocks
market yet is dominated by the large tech stocks it is still
the most richly valued major index at 168 times earings

My guess for the NAZDAQ is that it will close at 1500

Don't forget that the nasdaq had a total return of %86 in1999 and %40 in 1998

Assets that enjoy parabolic ascents often suffer equally rapid descents
you can glean that I think computer -related stocks will see more punishment ahead
وكلام طويل اخترت الزبده منه ويقول ايضا
If I'm right,you can be sure I'll persuade my self that it was a matter of market insight, and not of luck . If I'm wrong,it won't be the first time .Or the last

nazbull2002 سبق وقلت يمكن النازدك يعيد 1350 low
والأخ بريد الكتروني سيخفض من محفظته بمعنى يجب ان نكون في sideline حاليا وفرصتنا الوحيده للتعويض في الايام الجايه .
او ماراي الأعضاء والاستاذ
 
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#10
الأخ BNM

I think yesterday earning reports were not too bad as most investors expected, and worse than reported were priced in the stocks

Merrill Lynch analyst Joe Osha upgraded INTC and raised his forecast for 2002 to 69c from 64c...we started seeing some analysts increasing thier forecast, which I think is a sign of bottoming but that's not all, EMC report today was disappointing so I think the worst is not over yet

about the market...the market is still risky but I think we could make money in the near term...to me I have bought some tech stocks yesterday in the after hours session as I told some friends in almuntadaa, but only with 45% of my cash and very tight stop loss
 
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#11
تقرير EMC اليوم كان سيئا للغايه ومن أي جهه تنظر اليه....الايرادات كانت منخفضه بشكل حاد ثم الخساره الأولى منذ 12 سنه....ذكرت الأداره حده المنافسه وحرب الاسعار والأقتصاد الضعيف....كما ذكرت الاداره انها لم تفقد حصتها في السوق وأعتقد أن هذا غير صحيح فواضح جدا أن IBM و HIT قد واصلوا في أخذ جزء من حصه EMC .....
 
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#12
too bad...too bad

I had a loss of 8.63% and to offset or at least to minimize the loss, I bought BRCM at 28.45$ which might rally tomorrow after its positive earning report

I think BRCM can make it for me if the market is not too bearish tomorrow

it is going to be very risky move, and I wish I don't end up with more loss
 
التسجيل
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#13
to the sidelines again, I sold all my holdings at the strength

I was expecting BRCM to push me up

was leading my portfolio, this stock never "الناقه" but QLGC
disappoint me..thanks to those who sqeezed the short sellers...I think QLGC will retreat to low 30s, sure I am going to buy it again..see you there

I think the market strength today was mostly short covering, short sellers were not willing to hold for long time in a very volatile market and mixed outlook environment

the real relief is staying in the sidelines
 
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