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Archive through July 10, 2008riskpirate25 14-Jul-08  07:47 am
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Author Message

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aussiebuggaa
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Username: aussiebuggaa

Post Number: 695
Registered: 07-2007

Rating: N/A
Votes: 0


Wednesday, July 16, 2008 - 12:59 am:Copy highlighted text to 'New Message' boxEdit Post Delete Post Print Post    View Post/Check IP (Moderator/Admin only) Ban Poster IP (Moderator/Admin only) Move Post (Moderator/Admin Only)



This is ASX200 cash index, we must hold this level or else......




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gdd3
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Username: gdd3

Post Number: 325
Registered: 09-2002

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Wednesday, July 16, 2008 - 02:29 pm:Copy highlighted text to 'New Message' boxEdit Post Delete Post Print Post    View Post/Check IP (Moderator/Admin only) Ban Poster IP (Moderator/Admin only) Move Post (Moderator/Admin Only)



Agree with your observations on the XJO as shown in your chart above, Aussie, and am looking for a counter trend bounce of abt .236%(to, say 5069)which also happens to be around the lows in mid March.

Aside from the XJO, am re-kindling my interest in FMS at current levels 13.5-14.5c(FMSOA at 5c) as both have come back to the bottom of their 9 month trading channel. see chart of FMS below.

Chingas, for a little "play", think CFR should be watched as shes given a T.A.Z. entry this morning at 1.8c(see chart).

Cheers
Dolphin










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jax
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Username: jax

Post Number: 1863
Registered: 07-2007

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Wednesday, July 16, 2008 - 03:43 pm:Copy highlighted text to 'New Message' boxEdit Post Delete Post Print Post    View Post/Check IP (Moderator/Admin only) Ban Poster IP (Moderator/Admin only) Move Post (Moderator/Admin Only)



long three days boys i have risk staying over one hell of a pain in the arssssssssssssssssssssssssssssssss lol eats with his fingers so thatshis new name fingers yeieyeieyieyi. i sleep with one eye open and a cork in the back side


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aussiebuggaa
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Username: aussiebuggaa

Post Number: 696
Registered: 07-2007

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Wednesday, July 16, 2008 - 09:11 pm:Copy highlighted text to 'New Message' boxEdit Post Delete Post Print Post    View Post/Check IP (Moderator/Admin only) Ban Poster IP (Moderator/Admin only) Move Post (Moderator/Admin Only)



I have done a few counter trend trades on the XJO off the trend line, particularly at the 4800 level and it paid off quite well so far. IMO, if it breaks above the 5000 area this time, then I reckon we could be in for at least 500 points rally.

I have been planning a trade on the big four banks for a possible counter trend trading and I would say the most tradable at this stage would be WBC. Here is my plan, might be worth sharing.

NAB is struggling to hold the $26 support area which is dated back to 2004.

ANZ, although not a convincing break, but it has passed through the $17.5 support area and is about to head down to $16 level. I would not be holding a long position over night on this particular one any time soon (Intraday trades are great though).

CBA has held its ground the best out of the big four. However my buy point would not trigger until the test of March low. Bring in some double bottom action.

This leaves me with only WBC to work on. The confluence of support at $18 from both trend line and 2004 support area is strong enough for me to buy with confidence. At least from a scalper point of view!

Good luck to every one trading in this market. Plan your trade and trade your plan.







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aussiebuggaa
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Wednesday, July 16, 2008 - 09:54 pm:Copy highlighted text to 'New Message' boxEdit Post Delete Post Print Post    View Post/Check IP (Moderator/Admin only) Ban Poster IP (Moderator/Admin only) Move Post (Moderator/Admin Only)



Just an interesting note on the DOW! Look at the candles heading towards the support line, not very convincing at all. Could it be a coil spring winding up ready for a take off or a soon to give up Bulls ready to roll over a die! Pick your side and survive.



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jax
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i woke up without the cork and a limp when i walk .........that cant be good lol.nab aussie oil down now is the time to take the punt ,yes greg they get stuck into you when they get beat and ask why you did not tell me when they win lololol.


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aussiebuggaa
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Good thing you got out in one piece last night Jax, LOL. I have been playing with NAB before at around the $26 mark and got out alright in the end. But the way it keeps sinking under, not very pretty. WBC is the play for the reason I said above, confluence of supports, cant really go wrong with that. See ANZ, the biggest sucker out of the big four today?

Here is a set up for those that like to play the break out. JBH is setting up nicely, but looking at the lack of buyers heading towards the resistance, it might just fall over. 18000 big one on offer at $11.80, Im looking, Im looking, and most likely I will fade it.



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archer
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Thursday, July 17, 2008 - 02:14 pm:Copy highlighted text to 'New Message' boxEdit Post Delete Post Print Post    View Post/Check IP (Moderator/Admin only) Ban Poster IP (Moderator/Admin only) Move Post (Moderator/Admin Only)



likely to be a negative reaction here
hitting the top of the wedge and downsloping 200 dmajbh


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sway
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I beg to differ on this one Archer. My Weinstein chart shows it is breaking $11.50 resistance, above 30W WMA and a recent change in slope of the relative strength line from negative to positive. Only thing not so great is volume but it's not too bad today for a 6%plus up day.

jbh

Cheers
Sway


This is not a recommendation or advice. As they say .... DYOR.

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aussiebuggaa
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Well, too late for me now.. I got sucked into the trade just after lunch hour with that rush of volume breaking the $11.80 level. It now provides some light support and I will definitely look for the exit and reverse under it.

I actually made an error with my trend line. It should have been a slight angle which joins the chart at $12.00. There were about 40,000 shares on the offer there. I think the buyers just gave up at that point.

Volume for the past 3 days (including today) has been on the increase so I hope this will save me. LOL.


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riskpirate
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Thursday, July 17, 2008 - 04:20 pm:Copy highlighted text to 'New Message' boxEdit Post Delete Post Print Post    View Post/Check IP (Moderator/Admin only) Ban Poster IP (Moderator/Admin only) Move Post (Moderator/Admin Only)



What a bloody tidy freak , can't help but clean , worse than an old woman , giggles..... all the old ladies love him and the young girls run away.

Plays with his rabbits , the only bunny he can score.


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aussiebuggaa
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JBH confirms it break out this morning. Im glad Im on the right side of it, need volume behind to keep it above $12.00. Nothing but air until $14, so lets go..


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archer
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yep a close above the wedge give it a bullish tilt


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aussiebuggaa
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I closed off the trade for a small profit, can't find much buyers above. Will look to go short below $12, or re-enter long above today's high.


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aussiebuggaa
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Just want to share another low risk Counter trend trade opportunity for those looking sail the rough sea.

RIO is sitting on what I think is one of a major support around $115.50-$116. Im already long from earlier today. Got tight stop in place as this is a swim against the tide.



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ecchigaijin
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What is the status of the RIO/BHP deal Aussie? If it rears it's head again it could turn into an added bonus as I believe RIO managed to go well against the trend late last year on similar news.


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aussiebuggaa
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Nice to see you back Ecc, I have no idea about the status as I dont follow the news. Every time I try to out think the news I get done pretty badly, so I better let the chart do the talking for me.

Actually the trend is clearly to the down side. I normally take a crack against the tide if I feel there is a big support behind me as most likely it would be bouncing a bit before going through. My usual scalp for lunch money, lol!


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aussiebuggaa
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Without the XJO pushing and staying above the 5000 level, tomorrow doesnt look too bright.

Be ready to put your money on the Short trade as the DOW and the S&P500 is about to hit a major resistance. One or two more up days and well most likely see price start rolling over again.

Took profit RIO @ $119. Still believe in the $125 level but without the XJO going above 5000, I just cant see it happening.

JBH still flat but looking for short entry as price still cannot break above previous candle high.

XJO short off 5000 level. Scalp mode until uptrend failure confirms off 3 and 15 minutes chart.

SDL announcement was out today for those still curious with this stock.


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aussiebuggaa
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Be careful if short the XJO as I believe there will be heaps of stops loss set above the 5010-5020 area. Might get an unpleasant price spike


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jax
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down down down we go dow will tank tonight ,we will go under 4700 fast now .


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jax
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down down down we go dow will tank tonight ,we will go under 4700 fast now .


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riskpirate
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JAX is a good friend......shares everything......even his cold...LOL


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stocky
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hey lads, thought id check in to see how everyones doing.. im actually still alive.. just..

ive been living the dream for the last few weeks so out of touch with whats happening. still got another 2 weeks of holidays left.. working me to the bone in london so figured i needed a month off to relax..

looking like tought times at the moment, remember to stick with your plan.. dont wanna blow up the bank.!!


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ecchigaijin
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Half your luck stocky, good to hear from you again. Pull your finger out and give us your 2 cents worth because looking at the market we need all the help we can get


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riskpirate
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Ecchi, you up to your neck in brown stuff too?STOCKY, ALL INFO NEEDED AND APPRECIATED.


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ecchigaijin
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Percentage wise I am struggling Risky. Knew it was coming, told myself to cash out somewhat, but still got caught with my pants down. Only saving grace for me is I am only a small fish in a big pond, my starting portfolio was probably less than what some of you guys invest on one company.


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ecchigaijin
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Aussie, can you organise some sort of cattle prod mechanism to teach me to trade with strict stop losses the way you do?


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riskpirate
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Ecchi, my original capital is way down on bnb and ozl[ zfx]


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aussiebuggaa
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Hey Ecc,

Im not quite sure what stop loss mechanism youre after???


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riskpirate
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A mechanical dong to hit him on the head......supply 2 as i need one as well.


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aussiebuggaa
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Try this one then.




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riskpirate
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2 many sharp objects,LOL


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jax
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not good boys ,not good at all..............look to buy on the slides i think you will get anz under 15 maybe nab under 20 miners could be next to go ,if the sell comes on big again and banks drop people will have to sell there bhp etc just to keep the old margins calls happy.


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riskpirate
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BHP .....gone.


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jax
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looks like a good chance to short tonight ,things look to easy to me ,to much bad news around


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eric
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Well, back from my holiday. Will start trading next week, but looks like I have to go short in lots of things. I think the financials are trying to fool us.

Lucky I went mostly into cash before I left.


Eric
www.tradingaustralianshares.com

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jax
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eric the eel yep it looks bad but there will be swings just have to pick it ,were is ec chris eal k man stocky all under a rock next ill have the captain over here giveing me a hard time lol


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jax
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more down should be worse the yanks last night should of fell more are we near the bottom


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jax
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yep good bounce like i said near bottom if not there now the key was thurs night looks good from here


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chingas
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Ok, time for me to wake from my hibernation and start looking seriously at this market again. I'm now waiting for two signals to allow me back into the market. 1. A clear break of the downtrend on the weekly all ords(looking back over the last year and even further shows how reliable this signal is) and 2. An uptrend to emerge on the daily all ords. So while I wait for these, its encouraging to see something like what i'm looking for appear on the DOW. Aussie, what's your thoughts, does the daily dow chart now show an uptrend(its a bit messy but for mine it has higher low and now higher high also), and where should my downtrend line be on the weekly chart or how do you read that weekly chart?(neither charts have last nights data so you have to use your imagination)





(Message edited by chingas on August 09, 2008)


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riskpirate
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Be careful as my broker said on friday that they expected the dow to bottom at 9,800. Any thoughts?


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chingas
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Anything is possible I reckon risky, i'm just looking for a decent rally to make some cash from, I don't expect we're at the bottom although i'm starting to read a few things that suggest we might be getting close(so not too many more down legs to come???). Still who really knows, lots of ARM's still to reset, then there's all the CDO's still to be written off, etc. So I guess i'm not too worried about where the real bottom might lie now, just watching for the inevitable rallies in between the falls.

Edit to my above post : I should have mentioned the overhead resistance at 11750, if it gets through that we could see a decent rally


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jax
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weres my old mate eal, hang in there son


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aussiebuggaa
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Hey Chris, just remember a trend can exist within a trend. Therefore, depending on what your trading objectives are ie. to invest or to trade etc, you can always find a trend no matter what timeframe youre looking at.

My point is, YES you are right. The daily chart is showing an uptrend on the DJI, it can rally another 400-500 points, looks good on the daily time frame, but on the bigger picture, were still in a bear market. So, if you want to buy stocks for a quick snack then this might be a good time to take a crack, but for the long haul, we have got a long way to go yet.

My view on this, we will rally hard but then will roll back over to find lower ground for a new launch pad. Next resistance should be around 12500 on the DOW, once hit then, we might see 10000. (But remember, trade what you see, not what you think :-))

Good luck.


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chingas
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Thanks aussie, yeap i'm waiting patiently to see a break of the weekly downtrend on the all ords. so far it doesn't seem to be responding to the dow's movement, so like you say, i'm waiting to see the movement on the all ords. If you can find the time, would you mind posting the weekly dow and show me your interpretation of the downtrend. I'm sure its broken, but from a true TA perspective, its a bit beyond me how to read it. Cheers.

P.S nice counter trend trades on the banks, very nice in fact!!!

and as for a trend existing within a trend, thanks, i realise that, i'm just looking for the bear rally(like april to july ish) and realise its very possible for another downleg - this time i will get out as it turns and not after

(Message edited by chingas on August 12, 2008)


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aussiebuggaa
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Tuesday, August 12, 2008 - 06:31 pm:Copy highlighted text to 'New Message' boxEdit Post Delete Post Print Post    View Post/Check IP (Moderator/Admin only) Ban Poster IP (Moderator/Admin only) Move Post (Moderator/Admin Only)



Hey Chris, I recommend you check out this guys YouTube - SNP500Trader. He puts up daily analysis of the DOW and the S&P500 indices, much better than what I could explain to you I watch it daily. If youre serious about trading then I highly suggest you view at least a month worth of his past uploads. His videos are very educational and very spot-on with his analysis on support and resistance. Here is the link: http://www.youtube.com/user/SnP500Trader?ob=1

Im positive you will learn plenty from him.


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chingas
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Cheers aussie, much appreciated


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chingas
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While he is obviously much more short term than I(from what i saw in his latest clip) I'm sure it will be of great benefit to me thanks again aussie


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chingas
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An interesting view of the all ords




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jax
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i think oil can go under 100 from here,plus gold looks very weak ,all metals will tank from here lign up on the banks for next week


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ecchigaijin
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Heya Jax, how is the GG gogoing?


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chingas
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It certainly feels like the market wants to test that trendline(the 1991 one) as although the dow is respecting the uptrend for now we don't seem to be following


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jax
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no win yet ec but not far away lololol i sound like a punter lol buy bnb at 410 for your life boys hook hoooook hoooooooook in


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jax
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go green baby go greeeeeeeen bnb big week over 6 by the end of it there you go boys im back with a huge call


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jax
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yep money for jam look out boys bnb will run from here up again tmr


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jax
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well one big oppppps back to 410 load up i say thursday will be the money day up up and away ,profits will rise plenty


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jax
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nope got that one wrong


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ecchigaijin
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Time to get back on the horse Jax, MQG starting approaching buy territory, price looks good, MACD showing signs of a possible upwards turn. One to keep an eye out for any bounce off support.


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jax
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bnb run has me worried about mqg i dont care what mqg says its a worry leave me out ask me again at 35 lol


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jax
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Once Babcock & Brown had toppled it was only a matter of time before attention turned to the Millionaires Factory.

Sensing a structure diminished by its own leverage, conflicts and complexity, the short sellers had already piled in. A surprisingly negative analyst report from rival UBS gave it the kick the shorts were looking for.

All Macquarie's financial engineering imitators - through Babcock, Allco and MFS - have crashed and now the corporate success story of the decade is under pressure.

Could the mighty Macquarie - the deal-making phenomenon which bid for the London Stock Exchange one year and the national airline Qantas the next - be humbled? Not just yet.

Yes, its model is vulnerable and the stock price volatility will persist amid the tug-of-war between believers and disbelievers. In contrast to the rash of Macquarie mini-me mimickers however, this is a far more diverse, better capitalised, better managed and more cunning crew.

That the stock plunged 10% yesterday is simply recognition that, in this time of radically-reduced deal volumes, it had been overpriced and there was no compelling reason to pay up for it.

My instinct was to predict a bounce in the shares. After an initial drop of almost 4% to below $40 for the first time since late 2004 the shares have recovered to end the day 47 cents, or 1.1%, higher at $42.08.

Related parties

Still, the bank does have serious issues, not least the stultifying leverage in its underlying assets and satellites, and some fishy-looking asset sales to related parties in MIG, MAP and MCG.

The satellites are more susceptible than the Macquarie mothership and these deliver fees. We can get to this later.

First, there is a significant policy aspect to the bank's predicament: no visibility on short sales. A couple of months ago the ''shorts'' would have taken 25 days of daily turnover to cover their positions.

Unfortunately, there is no disclosure of share lending data on a daily basis which could give the market a decent idea of how big the short position is. Further, there should be daily disclosure of both the ``covered shorts'' and the ``naked'' shorts.

The RBA issued an excellent paper in May saying there was a need to register share lending data at the trade-capture stage, that is it needed to be coded in CHESS.

Off-market transactions need to be disclosed, although this idea is unlikely to glean much support from the ASX whose interest lies in promoting as much trading volume as possible. Another conflict from a profit-driven market regulator, another story.



Mini-Macs

Back to the main game, and the Macspin-offs are in a spot of bother.

Their leverage is high, and although non-recourse to the bank (and much of it contained in the underlying assets themselves), potentially debilitating should cashflows slow too much to service the debts. Hence a round of asset sales this earnings season combined with share buy-backs, and asset writedowns. Macquarie is fighting the clock.

This week, Macquarie Airports sold stakes in Copenhagen and Brussels airports to another Macquarie vehicle, the Macquarie European Infrastructure Fund 3, to pay down some debt and conduct a $1 billion share buy-back.

Last week, Macquarie Infrastructure Group (MIG) announced it would sell its M7 Westlink toll road asset to fund a share buy-back. Selling its growth asset to prop up the stock price is not a good look. There is an open tender process, but a related party may well buy this asset too.

More than half of the distributions to unitholders from MIG, and a decent slug of the Macquarie Airports (MAP) and Macquarie Communications Group (MCG) distributions, still come out of capital, or debt. So, the bank persists with its prop-up-the-stock-price-with-a-sexy-yield strategy.

It must be galling that Transurban has resiled from the Macquarie Model of running heavy gearing and paying distributions out of capital and has lately been rewarded. Since the volte-face from Transurban, Macquarie floated what will likely be its last MacModel toll-road in Australia, Brisconnections, and the unit price is now travelling at 21.5 cents from its $1 issue price in only a month.

Rising stakes

The price of adhering to the strategy which once delivered $33-million executive salaries is now getting a tad high. Having ripped a cool billion in fees out of MIG over the years thanks to aggressive gearing and revaluations, the bank has splashed $500 million lifting its stake in MIG from 9% to 16% in the past year. It is racing up the register in the other satellites too.

It is MCG though which is widely regarded as toting the highest risk of the three. MCG has just announced the sale of its Global Tower Partners asset in the US to a related party (MIP II) for $US363 million. Without a hint of irony, some observers remarked that it had fetched a good price.

All three of these major satellites have just announced asset sales to related Macquarie parties. There is a pattern here, and an aroma.


This is the Smiths Crisps of financial engineering, the original and the best, but the buccaneering brand is now backpedalling.

Much of yesterday's share price damage in the mothership was put down to an analyst report from the UBS banking analysts. UBS reduced its rating from ''buy'' to ''neutral'' and its price target from $60 to $48 citing weaker trading volumes, capital constraints and the potential for asset writedowns.

To the casual observer this recommendation would appear to be just another big broker belatedly adjusting its call after the stock had fallen - as has been universally the case in the current downturn. Not so. A ``neutral'' on Macquarie from a big broker, especially UBS which derives millions in fees from Macquarie deal flow, is quite a dramatic matter.

The 10% reduction in 2010 estimates from UBS in particular enforced suspicions that the broking establishment was coming to grips with a lengthy drought on the corporate activity front.

Citigroup joins in

Equally interesting was the call from Citigroup on MCG headed ``An Expensive Utility'':

''If there was ever a re-confirmation required that MCG essentially is a utility, it came today with the company validating that 90-95% of its current revenue was contracted over the next couple of years.

Unfortunately, unlike utilities, MCG does not have earnings hedge against rising interest rate costs. While we retain our Hold rating on the stock with TP of $3.28 per share, comparative valuation with its utility peers suggest downside risk to $0.73 per share.''

The market would appear to be losing a little faith in the way Macquarie likes to see itself valued, via proportional earnings metrics, on pre-interest costs earnings multiples and so forth.

The process of deleveraging will be painful and the future of earnings growth uncertain. Unless there are some particularly nasty surprises, it should avert the fate of its corporate acolytes.

With 12,000-odd hungry mouths to feed in a depressed global market, though, much depends on an economic recovery - sooner rather than later.

mwest@fairfax.com.au

BusinessDay


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jax
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Fairfax Media journalists in Sydney, Melbourne, Newcastle and Wollongong today voted to stop work for three days after rejecting the company's latest offer in negotiations over an enterprise bargaining agreement. Fairfax Media Deputy CEO Brian McCarthy said: "This industrial action by editorial staff is disappointing. Publishing arrangements are in place and we anticipate all our newspapers will be published as normal over this period."


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riskpirate
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ECCHI and CHRIS, stop arguing on yahoo.....you are coming down to their level.


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ecchigaijin
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awww but muuuuummmmm


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jax
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late sell off they were looking for bigger cut .show your head eal lifes not that bad .


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chingas
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ok for anyone who has any worries, i'm now chris_1980_h on yahoo, no doubt that silly #$%^ flickjm will get this id blacklisted too so it will change. However, if there is ever a false chris i will let you all know. no stress risky, i know it does get hard to tell who is who sometimes


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riskpirate
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sent you an email to your old email address.


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jax
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yep more down grades still looking for that big kill lots of red around today,come on eal how about anz should we hook in loooks like more downgrades there


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aussiebuggaa
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I got a source of the source which told me, check out EPR. Ready to explode (up/down) in the next few dayscurrently trading@$0.063 Good luck.


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jax
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ill check it out aussie


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jax
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your up aussie are you in i guess you are


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jax
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late dip in the price aussie


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jax
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why is major shareholder selling down for mate thats not good


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chingas
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Looks like there were a couple of good announcements during the week for EPR aussie. In different market conditions this would have no doubt made a nice run, but atm it seems almost nothing can move penny stocks north


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ecchigaijin
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No worries about MQG Jax. I dont' have the funds to play them and will be waiting until things settle down before I even consider it in future. Price does look tempting though.


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chingas
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Hey fellas, how's everyone doing? Interested to know what everyone see's happening if this bail out goes through. It's really hard to know, i'm sure it will help but i can't help thinking they're in deeper poo than just the 1 trillion they're bailing out.

How you travelling aussie, i'm guessing with these big ups and downs you'd be doing very nicely. I've been playing a little with cfd's through IG markets lately and having good fun with it. What broker are you using for your futures trades, i remember you saying they were better value than cfd's

(Message edited by chingas on September 26, 2008)


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riskpirate
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chingas, no better.


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jax
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same more trouble to come ,


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ecchigaijin
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Interesting comments from David Kosh this morning. He believes that the bailout will be renegotiated and passed within a week. If today is as big a down as he predicts it might be a good entry point for those that don't mind a bit of a gamble. Only problem is what to buy? Financialsseem the most likely but they haven't really responded as much as expected, Commodities are weak given the outlook of slow growth ahead.


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aussiebuggaa
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Sorry for the late reply Chris, been away oversea and also pretty busy at work after.

If you want to trade the index, I dont recommend you using CFD. Too costly!! The spread will eat your profit away You can open an account through www.mirusfutures.com, or go to www.infinityfutures.com, I would recommend you to use Infinity to start off with as you dont have to buy any trading software (for minus, you have to pay $60/month for the Ninja trader this is PRO stuff though super fast fill and data). Commission should be less than $5/contract for any Brokerage service. If more than that, then they're ripping you off!

Inifity futures will give you free broker data, but youre required to pay for the charting software, (Sierra Chart http://www.sierrachart.com/index.php?l=LearnLevels.php) this is what Im using, its only $26US / month. But if you dont want to pay for this then you can use the CFD chart to view the graph and trade through the broker.

But if I were you, Id stay out of this market at this stage. The movement is way too volatile. What you can do is paper trade just use the demo account to see if you can make money. Even if you can make money trading the fake account, expect to lose $$$ when you switch to cash. (Your psychology will eat you alive, NO JOKE, been there done that).

Good luck.

(PS. You might want to have a look at Forex as well, this is good learning to trade off the chart, mini contract starts at $1 / 1 pip. Wont hurt your bank roll, unlike Index Futures! ie. This morning drop on the AUD/USD from 70c to 65c would cost you $500, if you got it wrong. But 500 pips intraday movement for the AUD/USD is hardly seen)


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chingas
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Monday, October 13, 2008 - 10:45 am:Copy highlighted text to 'New Message' boxEdit Post Delete Post Print Post    View Post/Check IP (Moderator/Admin only) Ban Poster IP (Moderator/Admin only) Move Post (Moderator/Admin Only)



Thanks for the reply aussie. Have ceased my cfd trading recently as the spreads(particularly as i have limited risk account so must use GSL) were killing me and a few other issues with IG markets platform. Lots of fun but was basically taking one step forward and then one backward.

Hope the overseas trip was a holiday and not work!


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ecchigaijin
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