With the market giving conflicting signals, I’ve substantially narrowed my primary watchlists. Here is my current list, exactly as it appears in my notes:
Potential Longs:
OMTR, NVDA, CMG, UA, NOV, GMCR, BCSI, GRMN, DNR, OII, LVS, CROX, WYNN, PCLN.
Stocks of interest, but need a “tell” for direction:
EWZ, VLO, TOT, AAPL, CAT, MA, RIMM, BIDU, POT, EWO
Potential Shorts:
Metals, specifically steel on a weak bounce.
Housing on a weak bounce
Financials on a weak bounce
Indexes, using leveraged short ETFs, DXD, QID or SDS
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