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Comments:
<0> and I'd wait for oil to drop to 60 or a lil below to buy them <0> so I can get a good price <1> it's not droppinggg <0> as for what strike <0> depends <0> You can go out of hte money <0> way out <0> and if by summer oil goes up to 80 <2> !q hao.v <3> HAO.V - HABANERO RESOURCE- 0.74 +0.03 +4.23% (499450) Daily Range: [++++++++--] 87% (0.67 0.75) Yearly Range: [+++++++++-] 98% (0.07 0.75) <0> you're gonna be sittin pretty <2> !q ms.to <3> MS.TO - BIOMS MEDICAL COR- 2.45 0.00 0.00% (7680) Daily Range: [+---------] 16% (2.44 2.50) Yearly Range: [----------] 3% (2.35 5.00) <0> 400% isnt an unrealistic figure <0> profit <4> whats that on?
<0> anyway.. playing chess. <4> heh. <4> .oil <5> Oil: Nymex Crude Future 63.92 -.02 01/13 <1> .yhoo xle <6> Yahoo! Finance for XLE: http://finance.yahoo.com/q?s=XLE <4> whats hot jcv? <1> here's what i'm watching tomorrow <1> !p <3> ANAD 1 (6.11) 6.11 0.0% (2006-01-16) <3> CHKGH.X 1 (1.45) 1.45 -3.33% (2006-01-13) <3> GROW 1 (14.25) 14.25 0.0% (2006-01-16) <3> MOTBE.X 1 (0.65) 0.65 0.0% (2006-01-12) <3> MSQGK.X 1 (0.40) 0.4 -11.11% (2006-01-13) <3> NOVL 1 (8.94) 8.94 +0.56% (2006-01-16) <3> QAAGT.X 1 (6.30) 6.3 +16.67% (2006-01-12) <3> SIFY 1 (10.93) 10.93 -0.36% (2006-01-16) <3> SSRI 1 (16.36) 16.36 -0.55% (2006-01-16) <3> STTS 1 (6.47) 6.47 +0.31% (2006-01-16) <3> TWTC 1 (10.05) 10.05 0.0% (2006-01-16) <3> XBTCF.X 1 (0.88) 0.88 0.0% (2006-01-16) <3> Total portfolio value for jcv is .79 +0.9% ($0.74) gain. <4> heh <4> enough <1> lol <1> most important one this week <1> MOT <1> !q mot <3> MOT - MOTOROLA INC- 24.03 +0.17 +0.71% (2304400) Daily Range: [++++++++--] 88% (23.79 24.06) Yearly Range: [+++++++++-] 90% (14.48 24.99) <4> whys that? <1> just a stock i'm interested in <1> earnings <4> i see <1> on thursday post-market <4> ahh <1> big buying opportunity aftermarket <1> if earnings are good <4> hmm <1> might be a nice chance to get in and get out <1> thursday-friday <4> maybe <4> you are going to buy on earning announcemtn then <1> i'm gonna probably be working <1> heh <1> :( <1> so i will try <1> afk making some lunch <4> .x MOT <4> hmm <4> need to learn some of them <4> whats the deal with ANAD <4> Looks hot <1> !q anad <3> ANAD - ANADIGICS INC- 6.11 +0.13 +2.17% (07098) Daily Range: [++++++----] 67% (5.88 6.22) Yearly Range: [+++++++++-] 91% (1.26 6.58) <1> hrmm <1> they make some sort of tv box <1> i have no idea <1> flagged it for a daytrade <1> .stockchart anad <6> StockCharts.com for anad: http://stockcharts.com/def/servlet/SC.web?c=anad <1> if they open at $6.23 or higher
<1> macd downward though <1> so who knows <4> hmm <1> that's why <1> if they open above the high <1> of friday <1> go in <1> for the daytrade <1> afk <4> yeah i see <7> what's the volume for ANAD? <7> oops <4> ? <7> 507098 is the volume for the day <8> .options aapl <6> Options info for aapl: http://finance.yahoo.com/q/op?s=aapl <7> AAPL is one scary behemouth! <7> despite 52wk year high, share price could hit 100 <8> .options goog <6> Options info for GOOG: http://finance.yahoo.com/q/op?s=GOOG <8> werd <7> rally tomorrow <4> ! return 5.30 7.70 <4> !return 5.30 7.70 <3> The Return rate for 5.30 -> 7.70 is: 45.2830188679% <1> .options cvs <6> Options info for CVS: http://finance.yahoo.com/q/op?s=CVS <1> l33t <9> !q goog snto rimm sonc <3> GOOG - GOOGLE- 466.25 +2.62 +0.57% (660220) Daily Range: [++++++++--] 87% (461.61 466.89) Yearly Range: [+++++++++-] 97% (172.57 475.11) <3> SNTO - SENTO CORP- 7.66 -0.21 -2.67% (9610) Daily Range: [++++------] 40% (7.50 7.90) Yearly Range: [++++++++--] 85% (2.20 8.62) <3> RIMM - RESEARCH IN MOTIO- 69.31 -0.59 -0.84% (562910) Daily Range: [+++-------] 36% (68.76 70.27) Yearly Range: [+++++-----] 53% (51.90 84.55) <3> SONC - SONIC CP- 27.75 -0.35 -1.25% (36943) Daily Range: [+---------] 17% (27.68 28.09) Yearly Range: [+---------] 11% (26.65 36.04) <10> !p <3> DPD 1 (18.88) 18.88 -2.07% (2005-12-06) <3> HYB 3 (2.07) 6.21 +195.71% (2005-08-03) <3> SOMH 1 (12.60) 12.6 -0.79% (2006-01-12) <10> !x rimm <3> UU 42 (23.73) 996.66 -0.52% (2005-12-01) <3> ZF 20 (5.28) 105.6 +0.57% (2005-12-01) <3> Total portfolio value for jim is 9.95 -0.09% ($-1.01) loss. <3> rimm - NasdaqNM, E/P(38.18),EPS(1.831),AVG V(6403880) <9> !return 26.65 36.04 <1> .p <6> Portfolio: <6> PHJ 100.00 (15.6700) 1567.00 +1.16% <6> PFM 100.00 (15.4100) 1541.00 +0.72% <6> PWB 100.00 (16.4200) 1642.00 +2.69% <6> PWJ 100.00 (18.1600) 1816.00 +3.65% <6> PWT 100.00 (17.4700) 1747.00 +3.68% <6> PWV 100.00 (16.7000) 1670.00 +2.96% <6> PWP 100.00 (16.9400) 1694.00 +2.36% <6> PWY 100.00 (16.1100) 1611.00 +3.01% <6> Total portfolio value for jcv is 88.0 +2.56% ($332.00) gain <4> you into options jcv? <1> .p2 <6> Portfolio: <6> GMK 100.00 (14.6700) 1467.00 +11.31% <6> BLX 100.00 (17.6700) 1767.00 -3.44% <6> IRBT 50.00 (33.9800) 1699.00 +0.65% <6> MOT 100.00 (24.0300) 2403.00 -0.12% <6> Total portfolio value for jcv is 6.0 +1.30% ($94.00) gain <1> just started getting into it <1> .options mot <6> Options info for MOT: http://finance.yahoo.com/q/op?s=MOT <4> yeah looks interesting <7> !p <4> not quite sure how it works <4> the difference between margin and that <1> margin is buying on credit <1> loans <10> yup <1> in the simplest explanation <1> options
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