Thursday, August 30, 2012

HSD.TO

Got out of my SP500 short. Sold my HSD.TO with a $10 Gain.

Tuesday, August 21, 2012

Sold K.TO

Volatile markets, banked $100/2.0% on Kinross. Took my money.

Thursday, August 16, 2012

K.TO

Took 600 shares at 8.19 of Kinross today, its the most hated gold stock.LOL


Here's the daily chart with a perfect channel. It looks like it wants to break out.

Tuesday, August 14, 2012

HSD.TO

Took a shot at SP500 short with 1000 shares at 6.66 of HSD.TO (2x SP short)

This is the 6 months daily chart of the SP, it looks pretty toppy and todays reversal candle looks negative.

RMX.RO

Bailed out of RMX.TO with a $80 / 2.5% gain.

Thursday, August 9, 2012

Saturday, August 4, 2012

DPM.TO & RMX.TO

Daily chart of DPM.TO
60 min chart with symmetry Fibs.
So I took the 15min trendline breakout with MA crosses. 500 shares at 7.70



Daily chart of RMX.TO. Looks like a bullflag with the 20 & 50 MA support.

So I pre-empted it with a purchase of 1000 shares at 3.15 even though its not above the MAs.

Wednesday, August 1, 2012

CNQ.TO

What a POS this is. Got out on the bounce today with a $66 / 1.2% Loss.

Tuesday, July 31, 2012

ARZ.TO & YRI.TO

Stopped out of the second half / 200 shares of YRI.TO with a $202 / 3.5% Gain.

Got out of ARZ.TO with a $29 Gain. This is always a tough one to trade.

Sunday, July 29, 2012

CNQ.TO


Bought 200 shares of CNQ.TO at 27.86

This is the daily view. Buying this bounce, looking for some kind of AB=CD up.

Thursday, July 26, 2012

YRI.TO & ARZ.TO

I actually took these yesterday. 700 shares at 4.53 of ARZ.TO

Trying to bottom pick. Took 400 shares at 14.47 of YRI.TO
Daily chart of YRI.TO. Nice bar today, sold half this morning.

Monday, July 23, 2012

CCO.TO

This market is fucked. Stopped out with a $113 / 1.7% loss.

Friday, July 20, 2012

Tuesday, July 17, 2012

ERF.TO & SLF.TO

Stopped myself out but of course it went up after. Loss $100 / 1.9%

Bought 300 shares at 21.88. Low risk trade with lots of support, see daily chart below.

Friday, July 13, 2012

CCO.TO

Bought 300 shares of CCO.TO at 22.63
60min bullflag breakout and test of 8 EMA.
Daily chart looks good. Above major MAs.

ERF.TO

Bought 400 shares at 13.13 of ERF.TO
Triangle on the 60min


Buying the retrace on this daily. A bottoming play.

Tuesday, July 10, 2012

HSD.TO

Got out of HSD.TO which is the 2x SP500 short with a $45 / 1.3% Gain. As you can see from the 15min SPY chart below, it was a total pop and drop. It worked because it stopped me out.
15 min SPY showing the Pop & Drop.

Friday, July 6, 2012

Sold YRI.TO & PVG.TO

Got out of the rest of my YRI.TO with a Gain of $241 / 3.4%

This one gapped down like everything else this morning, so I sold the bounce and got the hell outta there. I would consider this a good trade. Loss $42 / 1.6% 

Thursday, July 5, 2012

DGC.TO

The ride down was not on this one. I had a stop, cancelled it and was ready to bail on it but I was bailing on a bunch of other positions too and I was really hoping for some sort of bounce from the big red breakdown bar. Once it started drifting down lower and lower and a few days later, I was fucked. Anyways with this bounce up and coming up on the 22.75 breakdown level, I better take this gift and stop fucking around. Loss $232 / 5%

Wednesday, July 4, 2012

HSD.TO, SPY & $NYMO

Bought 500 shares at 7.04 of HSD.TO as a small hedge. The SP is  extremely over bought.



Popped outside of the BBs. Low volume highs.
Extreme overbought on the $NYMO.