Trades
newsletter Nov.10th 2003: Human Genome Sciences#HGSI ---------- pattern: Lizards (short) date: 7.11.2003 open: 14.12 high: 14.48 low: 14.05 close: 14.07 volume: 1307200 stop-sell: 13.925 exit: set stop-loss to 1 above sell, if stop-loss is NOT triggered buy at close |
|
newsletter Jan.13th 2004: BMW#BMWG.DE ---------- pattern: Lizards (long) date: 12.1.2004 open: 34.99 high: 35.09 low: 34.15 close: 34.98 volume: 2917193 stop-buy: 35.215 exit: set stop-loss to 1 below buy, if stop-loss is NOT triggered sell at close |
|
newsletter Jan.15th 2004: Hypovereinsbank#HVMG.DE ---------- pattern: 180's (long) date: 14.1.2004 open: 19.1 high: 19.6 low: 18.9 close: 19.46 volume: 4269390 stop-buy: 19.725 exit: set stop-loss to 1 below buy ----- pattern: Expansion pivot (long) date: 14.1.2004 open: 19.1 high: 19.6 low: 18.9 close: 19.46 volume: 4269390 stop-buy: 19.725 exit: set stop-loss to 18.46 ----- pattern: 1-2-3-4 (long) date: 14.1.2004 open: 19.1 high: 19.6 low: 18.9 close: 19.46 volume: 4269390 ADX14: 37.589933 stop-buy: 19.725 exit: set stop-loss near 18.9 |
|
newsletter Jan.19th 2004: Flextronics#FLEX ---------- pattern: 180's (long) date: 16.1.2004 open: 16.42 high: 16.65 low: 16.26 close: 16.61 volume: 11871000 stop-buy: 16.775 exit: set stop-loss to 1 below buy |
|
newsletter Jan.30th 2004: Cytic#CYTC ---------- pattern: Expansion breakout (long) date: 29.1.2004 open: 15.2 high: 15.42 low: 14.64 close: 15.2 volume: 3004000 stop-buy: 15.545 exit: set stop-loss to 14.2 |
|
newsletter Feb.6th 2004: Andrx#ADRX ---------- pattern: 180's (long) date: 5.2.2004 open: 25.04 high: 25.74 low: 24.6 close: 25.6 volume: 4288400 stop-buy: 25.865 exit: set stop-loss to 1 below buy |
|
newsletter Feb.24h 2004: United Tech Corp.#UTX ---------- pattern: Expansion pivot (short) date: 23.2.2004 open: 96.62 high: 96.73 low: 92.81 close: 93.8 volume: 5795300 stop-sell: 92.685 exit: set stop-loss to 92.935 ----- |
|
newsletter Feb.25, 2004: Ixos#IXSG.DE ---------- pattern: Lizards (long) date: 24.2.2004 open: 10.73 high: 10.8 low: 10.12 close: 10.72 volume: 72834 stop-buy: 10.925 exit: set stop-loss to 1 below buy, if stop-loss is NOT triggered sell at close ----- |
|
newsletter April 1, 2004: Fed Investors#FII ---------- pattern: Lizards (long) date: 31.3.2004 open: 31.5 high: 31.55 low: 30.92 close: 31.43 volume: 362800 stop-buy: 31.675 exit: set stop-loss to 1 below buy, if stop-loss is NOT triggered sell at close ----- |
|
newsletter
April 14, 2004 Abbott Labs#ABT ---------- pattern: 1-2-3-4 (long) date: 13.4.2004 open: 40.95 high: 41.25 low: 40.25 close: 40.25 volume: 7847400 ADX14: 37.993577 stop-buy: 41.375 exit: set stop-loss near 40.25 ----- newsletter April 15, 2004: Abbott Labs#ABT ---------- pattern: 1-2-3-4 (long) date: 14.4.2004 open: 40.05 high: 41.99 low: 40 close: 41.96 volume: 7563300 ADX14: 33.612662 stop-buy: 42.115 exit: set stop-loss near 40 ----- |
|
newsletter April 22, 2004: MAN#MANG.DE ---------- pattern: Expansion breakout (long) date: 21.4.2004 open: 29.7 high: 31.27 low: 29.3 close: 30.4 volume: 1444420 stop-buy: 31.395 exit: set stop-loss to 29.4 ----- pattern: Reversal New Highs (long) date: 21.4.2004 open: 29.7 high: 31.27 low: 29.3 close: 30.4 volume: 1444420 stop-buy: 31.39 exit: set stop-loss to 1 below buy ----- pattern: Slingshot (long) date: 21.4.2004 open: 29.7 high: 31.27 low: 29.3 close: 30.4 volume: 1444420 stop-buy: 30.445 exit: set stop-loss to 2 below buy ----- |
|
newsletter
May 21, 2004: ECOLAB INC #ECL ---------- pattern: 180's (long) date: 20.5.2004 open: 28.3 high: 29.19 low: 28.28 close: 29.18 volume: 1023600 stop-buy: 29.315 exit: set stop-loss to 1 below buy ----- pattern: Expansion pivot (long) date: 20.5.2004 open: 28.3 high: 29.19 low: 28.28 close: 29.18 volume: 1023600 stop-buy: 29.315 exit: set stop-loss to 28.18 ----- |
|
newsletter June 4, 2004: Nutraceutical#NUTR ---------- pattern: 180's (long) date: 3.6.2004 open: 24.15 high: 24.98 low: 24.01 close: 24.75 volume: 132800 stop-buy: 25.105 exit: set stop-loss to 1 below buy ----- |
|
newsletter
June 21, 2004: Dr Hoenle#HNLG.DE ---------- pattern: 180's (long) date: 18.6.2004 open: 6.9 high: 7.2 low: 6.9 close: 7.18 volume: 15800 stop-buy: 7.325 exit: set stop-loss to 1 below buy ----- pattern: Expansion pivot (long) date: 18.6.2004 open: 6.9 high: 7.2 low: 6.9 close: 7.18 volume: 15800 stop-buy: 7.325 exit: set stop-loss to 6.18 ----- |
|
newsletter July 13, 2004: NII Holdings#NIHD ---------- pattern: 180's (long) date: 12.7.2004 open: 34.29 high: 35.22 low: 34.27 close: 35.07 volume: 650865 stop-buy: 35.345 exit: set stop-loss to 1 below buy ----- |
|
newsletter June 2, 2004: Vesta Insurance#VTA ---------- pattern: Lizards (long) date: 1.6.2004 open: 5.99 high: 6.02 low: 5.89 close: 5.99 volume: 212100 stop-buy: 6.145 exit: set stop-loss to 1 below buy, if stop-loss is NOT triggered sell at close ----- newsletter June 4, 2004: Vesta Insurance#VTA ---------- pattern: Lizards (short) date: 3.6.2004 open: 6.25 high: 6.48 low: 6.19 close: 6.19 volume: 392900 stop-sell: 6.065 exit: set stop-loss to 1 above sell, if stop-loss is NOT triggered buy at close ----- newsletter July 20, 2004: Vesta Insurance#VTA ---------- pattern: Lizards (long) date: 19.7.2004 open: 5.1 high: 5.12 low: 4.98 close: 5.1 volume: 254900 stop-buy: 5.245 exit: set stop-loss to 1 below buy, if stop-loss is NOT triggered sell at close ----- |
|
newsletter September 22, 2004: Elmos Semi#ELGG.DE ---------- pattern: Boomers (long) date: 21.9.2004 open: 13.36 high: 13.37 low: 13.31 close: 13.31 volume: 15824 ADX14: 37.037076 stop-buy: 13.495 exit: set stop-loss to 13.185 ----- |
|
newsletter January 6, 2005: Commerzbank#CBKG.DE ---------- pattern: 180's (long) date: 5.1.2005 open: 15.4 high: 15.62 low: 15.32 close: 15.56 volume: 4134896 stop-buy: 15.745 exit: set stop-loss to 1 below buy ----- pattern: Expansion breakout (long) date: 5.1.2005 open: 15.4 high: 15.62 low: 15.32 close: 15.56 volume: 4134896 stop-buy: 15.745 exit: set stop-loss to 14.56 ----- pattern: Reversal New Highs (long) date: 5.1.2005 open: 15.4 high: 15.62 low: 15.32 close: 15.56 volume: 4134896 stop-buy: 15.74 exit: set stop-loss to 1 below buy ----- |
3 starke Signale die durch den Ausbruch aus einer Dreiecksformation unterstützt wurden |
newsletter January 25, 2005: DAX#^GDAXI ---------- pattern: Lizards (long) date: 24.1.2005 open: 4195.37 high: 4201.89 low: 4160.83 close: 4201.89 stop-buy: 4202.015 exit: set stop-loss to 1 below buy, if stop-loss is NOT triggered sell at close ----- Nicht nur Aktientrader profitieren von unseren Signalen, auch Futures- und Zertifikatetrader können die Strategien nutzen. |
|
newsletter February 2, 2005: Linde#LING.DE ---------- pattern: Expansion breakout (long) date: 1.2.2005 open: 48.61 high: 50.73 low: 48.41 close: 50.08 volume: 880943 stop-buy: 50.855 exit: set stop-loss to 49.08 ----- pattern: Reversal New Highs (long) date: 1.2.2005 open: 48.61 high: 50.73 low: 48.41 close: 50.08 volume: 880943 stop-buy: 50.85 exit: set stop-loss to 1 below buy ----- pattern: Slingshot (long) date: 1.2.2005 open: 48.61 high: 50.73 low: 48.41 close: 50.08 volume: 880943 stop-buy: 49.465 exit: set stop-loss to 2 below buy ----- |
|
newsletter March 24, 2005: Techem AG#TNHG.DE ---------- pattern: 180's (short) date: 23.3.2005 open: 33.52 high: 33.6 low: 32.86 close: 32.86 volume: 37184 stop-sell: 32.735 exit: set stop-loss to 1 above sell ---------- |
|
newsletter June 1, 2005: SENOMYX#SNMX ---------- pattern: Expansion breakout (long) date: 31.5.2005 open: 13.3 high: 13.83 low: 13.05 close: 13.83 volume: 211399 stop-buy: 13.955 exit: set stop-loss to 12.83 ----- |
|
newsletter June 28, 2005: Pfleiderer#PFDGN.DE ---------- pattern: Lizards (long) date: 27.6.2005 open: 13.73 high: 13.83 low: 13.42 close: 13.8 volume: 56778 stop-buy: 13.955 exit: set stop-loss to 1 below buy, if stop-loss is NOT triggered sell at close ----- |
|
newsletter July 7, 2005: BMW#BMW.DE ---------- pattern: Lizards (short) date: 6.7.2005 open: 38.65 high: 39.32 low: 38.5 close: 38.62 volume: 2619743 stop-sell: 38.375 exit: set stop-loss to 1 above sell, if stop-loss is NOT triggered buy at close ----- |
|
newsletter Aug 30, 2005: ADV VISION TECH#VSJ.DE ---------- pattern: Expansion breakout (long) date: 29.8.2005 open: 8.3 high: 8.6 low: 8.16 close: 8.56 volume: 30340 stop-buy: 8.725 exit: set stop-loss to 7.56 ----- |
|
newsletter Oct 26, 2005: North Am. Palladium#pal ---------- pattern: Expansion pivot (long) date: 25.10.2005 open: 5 high: 5.54 low: 4.98 close: 5.49 volume: 582000 stop-buy: 5.665 exit: set stop-loss to 4.49 ----- |
|
newsletter Dec 1, 2005: ALLIANZ N#ALV.DE ---------- pattern: Boomers (long) date: 30.11.2005 open: 123.6 high: 124.16 low: 122.95 close: 123.49 volume: 2539842 ADX14: 53.327811 stop-buy: 124.285 exit: set stop-loss to 122.825 ----- |
|
newsletter Feb 2, 2006: FRAPORT#FRA.DE ---------- pattern: 180's (long) date: 1.2.2006 open: 52.8 high: 54.12 low: 52.25 close: 53.8 volume: 584657 stop-buy: 54.245 exit: set stop-loss to 1 below buy ----- |
|
newsletter Feb 13, 2006: ARTICON INTEGR#AAGN.DE ---------- pattern: Lizards (long) date: 10.2.2006 open: 3.1 high: 3.11 low: 2.96 close: 3.1 volume: 32923 stop-buy: 3.235 exit: set stop-loss to 1 below buy, if stop-loss is NOT triggered sell at close ----- |
|
newsletter Feb 16, 2006: Google#GOOG ---------- pattern: Gilligan's Island (long) date: 15.2.2006 open: 341.4 high: 346 low: 337.83 close: 342.38 volume: 12950205 stop-buy: 346.125 exit: set stop-loss to 1 below buy ----- |
|
newsletter Mar 8, 2006: SCHERING#SCH.DE ---------- pattern: Boomers (long) date: 7.3.2006 open: 60.61 high: 61.41 low: 60.46 close: 61.28 volume: 1283460 ADX14: 59.017366 stop-buy: 61.535 exit: set stop-loss to 60.335 ----- Als Abonnent unseres Newsletters hätten Sie vom Kurssprung profitieren können! |
|
newsletter May 11, 2006: Big5 Sporting#BGFV ---------- pattern: Expansion breakout (long) date: 11.5.2006 open: 19.5 high: 20.67 low: 19.5 close: 20.38 volume: 437019 stop-buy: 20.795 exit: set stop-loss to 19.38 ----- pattern: Expansion pivot (long) date: 11.5.2006 open: 19.5 high: 20.67 low: 19.5 close: 20.38 volume: 437019 stop-buy: 20.795 exit: set stop-loss to 19.38 ----- |
|
newsletter June 29, 2006: Aeroflex#ARXX ---------- pattern: Lizards (long) date: 28.6.2006 open: 10.77 high: 10.85 low: 10.46 close: 10.77 volume: 363736 stop-buy: 10.975 exit: set stop-loss to 1 below buy, if stop-loss is NOT triggered sell at close ----- |
|
newsletter July 7, 2006: BIOTEST VZ#BIO3.DE ---------- pattern: Lizards (long) date: 6.7.2006 open: 22.01 high: 22.01 low: 21 close: 21.8 volume: 21012 stop-buy: 22.135 exit: set stop-loss to 1 below buy, if stop-loss is NOT triggered sell at close ----- newsletter July 8, 2006: BIOTEST VZ#BIO3.DE ---------- pattern: Lizards (long) date: 7.7.2006 open: 21.5 high: 21.5 low: 20.5 close: 21.4 volume: 44971 stop-buy: 21.625 exit: set stop-loss to 1 below buy, if stop-loss is NOT triggered sell at close ----- |
|
newsletter Sep 12, 2006: Opsware#OPSW ---------- pattern: 180's (long) date: 11.9.2006 open: 6.91 high: 7.27 low: 6.89 close: 7.19 volume: 1467065 stop-buy: 7.395 exit: set stop-loss to 1 below buy ----- |
|
newsletter Jan 30, 2007: SOLON#SOO1.DE ---------- pattern: Expansion breakout (long) date: 29.1.2007 open: 27.6 high: 29.8 low: 27.21 close: 29.8 volume: 99679 stop-buy: 29.925 exit: set stop-loss to 28.8 ----- |
|
newsletter Feb 09, 2007: SILICON SENSOR#SIS.DE ---------- pattern: Lizards (long) date: 8.2.2007 open: 13 high: 13 low: 12.36 close: 12.99 volume: 58698 stop-buy: 13.125 exit: set stop-loss to 1 below buy, if stop-loss is NOT triggered sell at close ----- |
|
newsletter March 19, 2007: Air Berlin#AB1.DE ---------- pattern: Lizards (long) date: 16.3.2007 open: 14.35 high: 14.48 low: 13.76 close: 14.35 volume: 741452 stop-buy: 14.605 exit: set stop-loss to 1 below buy, if stop-loss is NOT triggered sell at close ----- |
|