Remote Day Intra Day Prediction for US Stock market for Friday October 14,2005
As promised this is the experiment no 4 of our Remote Sensing experiment series.
Remote Intra day Prediction for Friday October 14,2005 for Dow Industrial (Nasdaq)
Prediction classified as v. high risk due to unconfirmed rate of success of such experiments
Summary Prediction
On Friday Both indices are likely to be very volatile. Sharp rise and fall is likely in morning and again in late afternoon. Mid session of approximately 2 hours ( 11.30am -1.30pm) is less certain and may be range bound.
NASDAQ is likely to peform better than DJIA most of the day but a sharp rise and fall (in that order) for both indices is indicated in late afternoon
Intra Day Strategies ( with strict trailing stop loss)
1. Go short (sell) in morning if DJIA-NASDAQ quickly climbs in morning or rises sharply from any negative opening. Go long (buy) if there is negative opening or a weak start or sharp dip in morning
2 Go long (buy) in afternoon if there is any significant dip
3. Go short (sell) if there is a sharp rise/recovery in late afternoon
Disclaimer: Usual disclaimer about risk and responsibility applies. Since this is an untested series of remote day experiment series, please observe or engage in mock trade only
email: info@starpundit.com , tel 0091-9312039121
Remote Intra day Prediction for Friday October 14,2005 for Dow Industrial (Nasdaq)
Prediction classified as v. high risk due to unconfirmed rate of success of such experiments
Summary Prediction
On Friday Both indices are likely to be very volatile. Sharp rise and fall is likely in morning and again in late afternoon. Mid session of approximately 2 hours ( 11.30am -1.30pm) is less certain and may be range bound.
NASDAQ is likely to peform better than DJIA most of the day but a sharp rise and fall (in that order) for both indices is indicated in late afternoon
Intra Day Strategies ( with strict trailing stop loss)
1. Go short (sell) in morning if DJIA-NASDAQ quickly climbs in morning or rises sharply from any negative opening. Go long (buy) if there is negative opening or a weak start or sharp dip in morning
2 Go long (buy) in afternoon if there is any significant dip
3. Go short (sell) if there is a sharp rise/recovery in late afternoon
Disclaimer: Usual disclaimer about risk and responsibility applies. Since this is an untested series of remote day experiment series, please observe or engage in mock trade only
email: info@starpundit.com , tel 0091-9312039121
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