A lot of leaders have taken a massive drubbing. The thing about small cap is that you can expect to lose 50% in the blink of an eye. Just look at the wild rides FSLR and CMG have taken.
PTR,
CMG - buy at the 200 day moverage
PCU - after a few weeks, if it's above it's 200 day
RIO - when it hits 200 day
INTC - if you're a masochist
AMD - technical. The downward trend will continue, but I think there's a rebound imminent
ABT - biotech - but, don't expect much
ADBE - seem to double every 5 years - probably too slow for most of us
VIVO - at 200 day
CLB - at 200 day
WFR - now that's what I call a shakeout:) You'll see some serious declines. I remember buying some at 90. This will get to about 50, buy then. It'll net 5x in 5 years.
ESRX - whoops - get ready to sell this baby - probably no more buyers left
IBN
NVDA - classic technical
CVD - when it dips back to 200 day moverage
GRMN - buy, but expect dips - hold long term
RIMM - classic technical - buy at 200 day moverage
MA - buy at 200 day
IMA - you can't ask for a better one
ICLR - declines possible, but good long term bet
NGS - the long road to recovery from a climax top. Second buy point will be at 36.
STP - ready to rocket - buy at 200 day - a few weeks from now.
CMED - buy at 200 day
Note - this is what I plan to do. It's a good idea to keep atleast 2 years living expenses (and some leaving expenses:) handy if you plan to follow it. This is not for the faint-hearted.
LFC - looking very good - get at 200 day
CHL - 200 day
GOOG - 200 day. No stopping this baby
MT - buy, buy, buy
AAPL - at 200 day
HUM - at 200 day
SID - don't buy if it climaxes
BIDU - at 200 day
ISRG - a2d
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