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Next Day's Advance Market Decisions: November 2006

Thursday, November 30, 2006

Stand-out "Short-Stocks" Thursday

Information provided by: www.MktMetrics.com

DJIA Probability to be “Up” Thursday is 16%
DJIA Trend declined to 45 from 52 the previous day


Stand-out "Short-Stocks" for 11-30-06:
Symbol/Opening Fair Value (Statistics for Thursday 11-30-06)
1. SNDK OFV: 44.30
2. BNT OFV: 9.39
3. CAT OFV: 62.07
4. BDH OFV: 16.58
5. SIE OFV: 33.13
6. NEM OFV: 45.62
7. PGR OFV: 22.54
8. SLM OFV: 45.01
9. TARO OFV: 10.11
10. WMT OFV: 46.96
11. VSH OFV: 12.89
12. TIN OFV: 38.99
13. QCOM OFV: 36.37
14. NOVL OFV: 6.25
15. CVS OFV: 28.14
16. ALO OFV: 21.67
17. ULBI OFV: 10.34
18. LUV OFV: 15.78
19. GNSS OFV: 10.18
20. IVGN OFV: 55.55
21. UNH OFV: 47.33
22. FBN OFV: 17.33
23. AMD OFV: 21.77
24. ADM OFV: 33.72
25. CVH OFV: 46.91
26. KLIC OFV: 8.16
27. CYBE OFV: 12,57
28. ATAC OFV: 19.34
29. AMED OFV: 38.62
30. CRYP OFV: 20.35
31. CBK OFV: 20.74


Next Day’s Advance Market Decisions:
"We’re not always right, just very seldom wrong."

Dow 30 ETF (DIA) Thursday Forecast

Information provided by: www.MktMetrics.com

Details for DIA (Diamonds- Dow 30 Exchange Traded Fund)

Today's Date: 11/30/06
Last Updated: 11/29/06
11/29/06 Final Numbers vs. Wednesday's Forecast
(Open) 121.63 vs. Opening Fair Value: 121.08
(High) 122.40 vs. Predicted High: 121.57/Upside Potential: 122.00
(Low) 121.55 vs. Predicted Low: 121.04
(Close) 122.31
(Range) 0.85 vs. Predicted Range: 0.53

DIA Thursday Forecast
Opening Fair Value: 121.97
Today's Predicted High: 122.58
Today's Predicted Low: 122.05
Today's Proposed Range: 0.53
Buy/Sell Rating: Buy


Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 74 Up from 74
Volume Internal Strength: Negative 1.20/0.87 Up
Current Trend: Positive 26 Up from 17
Demand Factor: 100 Up from 97
Stock Volatility: 1.49 Up from 1.25

Predict Today's Upside & Downside Potential
11/29/06 12:45 Close: 122.03
Upside Potential: 123.05
Downside Potential: 121.99


Information for extreme trading days
Predicted Block Trading Activity
1. 123.98
2. 124.06
3. 124.76
4. 124.85

Predicted Block Trading Activity
1. 119.95
2. 119.86
3. 119.20
4. 119.12

DIA Key Moving Averages
8 DAY MOVING AVERAGE = 122.52
21 DAY MOVING AVERAGE = 121.78
30 DAY MOVING AVERAGE = 121.46
42 DAY MOVING AVERAGE = 120.65
50 DAY MOVING AVERAGE = 119.93
65 DAY MOVING AVERAGE = 118.69
30 WEEK MOVING AVERAGE = 114.64
200 DAY MOVING AVERAGE = 113.88

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DJIA Expected To Move Much Lower

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Wednesday 11-29-06: DJIA close 12,226.73 +90.28 vs. Prior day: 12,136.45 +14.66
DJIA 21-Day Moving Average: 12,178.45 +6.68 vs. Prior day: 12,171.77 +2.20
(the DJIA closed above its 21-day moving average)

Before the U. S. Stock Market Opening
Thursday November 30 Stock Market Forecast
*DJIA probability of closing "Up" Thursday: 16%
(*Above 50% Bullish / Below 50% Bearish)


Market Comment: The MktMetrics DJIA forecast has posted 16% probability to be "Up" Thursday. The DJIA declined to 45% from 52% the previous day. So we have had a couple of days of positive results and a 50% retracement of Friday/Monday's action. Now the test begins. Will the Stock Market erase the damage done from earlier this week? We don't think so! This sort of dramatic action allows a couple and sometimes three days of backing and filling before another meaningful drop takes place. The DJIA is tenuous at this juncture and will either prove that the 200 points lost during Friday/Monday's trading was simply profit taking or a sea change of more negativity to come. Typically, when a move of this magnitude that we saw on Friday and confirmed on Monday, it is signaling that a new Trend is setting in for a while. The 8-day moving average currently at 12,252 is still declining and provided resistance on Wednesday. Plus, the DJIA Trend is still declining. We suggested yesterday that Investors should let market action dictate if there will be follow through from Tuesday, and there was follow through. This is normal on the way to lower prices and is meant to confuse Investors into jumping back into the Stock Market. Remember: When the DJIA plummets and closes below both its 8, 21 and 30-day moving as it did Monday, most often the 50-day moving average currently at 11,993.00 is tested. Yesterday was simply a reflex to the falling 8-day moving average. Good luck and Good trading!

Dow Jones Industrial Average Statistics (Historic High / Low):
DJIA Probability of Being "Up" Thursday: 16% (High 100% / Low 0%)
DJIA Trend: Falling Today 45% vs. Yesterday 52% (High 94% / Low 10%)
DJIA Momentum: Unchanged Today 90% vs. Yesterday 90% (High 97% / Low 13%)
DJIA Flow of Funds: Unchanged Today 65% vs. Yesterday 65% (High 97% / Low 6%)
DJIA Volatility: Falling Today 0.78% vs Yesterday 0.88% (High 2.35% / Low -0.22%)

Institutional Investor Statistics (Historic High / Low):
Exchange Insiders' Inventory: Rising Today .08% vs Yesterday .07% (High .21% / Low -.24%)Mean= -.02%
Institutional Demand: Rising Today 82.29% vs Yesterday 81.35% (High 86.84% / Low 18.65%)Mean= 52.75%
Institutional Inventory: Falling Today 63.23% vs Yesterday 63.42% (High 79.00% / Low 25.23%)Mean= 52.12%
Institutional Accumulation/Distribution Trend: Rising Today .10% vs Yesterday .07%(High .35% / -.41%)Mean= -.03%

Outlook Statistics: Above 50% Bullish - Below 50% Bearish
DJIA Outlook: Bullish Falling Today 79% vs. Yesterday 83% (High 88% / Low 18%)
Stock Market Outlook: Bullish Rising Today 98.0% vs Yesterday 93.7% (High 100.0% / Low 4.8%) (DJIA, S&P 500, Russell 2000 & NASDAQ 100) Aggregate)

One-Year National CD Rate: Unchanged 5.22% vs Yesterday 5.22% (High 5.62% / 2.1%)
******************************************************************************
10-Key ETF Statistics: Above 0% Bullish - Below 0% Bearish
DIA: Rising Trend Today 26% vs. Yesterday 17% (High 70% / Low -48%)
SPY: Rising Trend Today 38% vs. Yesterday 27% (High 73% / Low -54%)
MDY: Rising Trend Today 45% vs. Yesterday 35% (High 85% / Low -80%)
IWM: Rising Trend Today 26% vs. Yesterday 25% (High 71% / Low -53%)
QQQQ: Rising Trend Today 35% vs. Yesterday 33% (High 54% / Low -43%)
SMH: Falling Trend Today 12% vs. Yesterday 16% (High 45% / Low -53%)
IYT: Falling Trend Today -2% vs. Yesterday 11% (High 80% / Low -72%)
IDU: Rising Trend Today 32% vs. Yesterday 21% (High 64% / Low -64%)
XLE: Rising Trend Today 49% vs. Yesterday 25% (High 62% / Low -53%)
XLF: Rising Trend Today 1% vs. Yesterday -1% (High 41% / Low -33%)

Information provided by http://www.MktMetrics.com
A Marketing Alliance with Charles Schwab's CyberTrader
Discounts available for Schwab CyberTraders, Corporate Accounts and Trading Rooms

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
Next Day's Advance Market Decisions:
"We're not always right, just very seldom wrong."

Wednesday, November 29, 2006

Stand-out "Long-Stocks" Wednesday

Information provided by: www.MktMetrics.com

DJIA Probability to be “Up” Wednesday is 29%
DJIA Trend fell to 52 from 74 the previous day


Stand-out "Long-Stocks" for 11-29-06:
Symbol/Opening Fair Value (Statistics for Wednesday 11-29-06)
1. AHG OFV: 24.51
2. ANIK OFV: 13.18
3. CEF OFV: 10.14
4. CTL OFV: 41.43
5. DEO OFV: 77.25
6. ELX OFV: 20.30
7. EMC OFV: 12.82
8. ETR OFV: 89.33
9. HRB OFV: 23.59
10. IEX OFV: 47.45
11. IGE OFV: 100.56
12. ISI OFV: 123.20
13. LXK OFV: 66.79
14. MEL OFV: 39.82
15. MHP OFV: 65.58
16. NAV OFV: 30.64
17. OI OFV: 18.08
18. OKE OFV: 41.88
19. OPTN OFV: 13.72
20. PDLI OFV: 22.23
21. PLCM OFV: 27.92
22. QLGC OFV: 21.96
23. REXI OFV: 26.23
24. RTI OFV: 70.70
25. SNA OFV: 46.91
26. SVU OFV: 33.94
27. TKLC OFV: 15.98
28. TRP OFV: 34.19
29. VFC OFV: 76.60
30. XOM OFV: 73.45


Next Day’s Advance Market Decisions:
"We’re not always right, just very seldom wrong."

Dow 30 ETF (DIA) Wednesday Forecast

Information provided by: www.MktMetrics.com

Details for DIA (Diamonds- Dow 30 Exchange Traded Fund)

Today's Date: 11/29/06
Last Updated: 11/28/06
11/28/06 Final Numbers vs. Tuesday's Forecast
(Open) 120.96 vs. Opening Fair Value: 121.90
(High) 121.45 vs. Predicted High: 121.39
(Low) 120.68 vs. Predicted Low: 120.84
(Close) 121.30
(Range) 0.77 vs. Predicted Range: 0.55

DIA Wednesday Forecast
Opening Fair Value: 121.08
Today's Predicted High: 121.57
Today's Predicted Low: 121.04
Today's Proposed Range: 0.53
Buy/Sell Rating: Buy


Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 74 Down from 80
Volume Internal Strength: Negative 1.10/0.80 Up
Current Trend: Positive 17 Up from 7
Demand Factor: 97 Up from 94
Stock Volatility: 1.25 Down from 3.85

Predict Today's Upside & Downside Potential
11/28/06 12:45 Close: 121.04
Upside Potential: 122.00
Downside Potential: 120.94


Information for extreme trading days
Predicted Block Trading Activity
1. 123.09
2. 123.38
3. 123.73
4. 123.88

Predicted Block Trading Activity
1. 119.02
2. 118.87
3. 118.54
4. 118.27

DIA Key Moving Averages
8 DAY MOVING AVERAGE = 122.66
21 DAY MOVING AVERAGE = 121.70
30 DAY MOVING AVERAGE = 121.37
42 DAY MOVING AVERAGE = 120.52
50 DAY MOVING AVERAGE = 119.79
65 DAY MOVING AVERAGE = 118.56
30 WEEK MOVING AVERAGE = 114.58
200 DAY MOVING AVERAGE = 113.83

Become a subscriber and receive this information daily for any stock or ETF within our Stock Directory today! Market Makers have daily trading parameters, why shouldn't you?

DJIA Meets 21-Day Moving Average Resistance

"Just Suppose For A Moment, You Know What The Exchange Insiders Know!" MktMetrics Does.

Subscribe today for a "14-day Free Look" to: www.mktmetrics.com - See for yourself before you make a trade, at what prices Specialists and Market Makers are only interested to buy and sell your stocks.

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Tuesday 11-28-06: DJIA close 12,136.45 +14.66 vs. Prior day: 12,121.79 -158.38
DJIA 21-Day Moving Average: 12,171.77 +2.20 vs. Prior day: 12,169.57 -1.99
(the DJIA closed below its 21-day moving average)

Before the U. S. Stock Market Opening
Wednesday November 29 Stock Market Forecast
*DJIA probability of closing "Up" Wednesday: 29%
(*Above 50% Bullish / Below 50% Bearish)


Market Comment: The MktMetrics DJIA forecast has posted 29% probability to be "Up" Wednesday. The DJIA Trend fell to 52% from 74% the previous day. We use fell instead of declined when this indicator declines by 10% or more. This sort of dramatic action allows a couple and sometimes three days of backing and filling before another meaningful drop takes place. The DJIA is tenuous at this juncture and will either prove that the 200 points lost during Friday/Monday's trading was simply profit taking or a sea change of more negativity to come. Typically, when a move of this magnitude that we saw on Friday and confirmed on Monday, it is signaling that a new Trend is setting in for a while. Investors should let today's market action dictate if there will be follow through from yesterday or a resumption of Monday's action. When the DJIA closes below both its 8, 21 and 30-day moving as it did Monday, most often the 50-day moving average currently at 11,980.00 is tested. Yesterday may only have been a reflex to the falling 21-day moving average. Good luck and Good trading!

Dow Jones Industrial Average Statistics (Historic High / Low):
DJIA Probability of Being "Up" Wednesday: 29% (High 100% / Low 0%)
DJIA Trend: Falling Today 52% vs. Yesterday 74% (High 94% / Low 10%)
DJIA Momentum: Unchanged Today 90% vs. Yesterday 90% (High 97% / Low 13%)
DJIA Flow of Funds: Rising Today 65% vs. Yesterday 61% (High 97% / Low 6%)
DJIA Volatility: Falling Today 0.88% vs Yesterday 1.52% (High 2.35% / Low -0.22%)

Institutional Investor Statistics (Historic High / Low):
Exchange Insiders' Inventory: Rising Today .07% vs Yesterday .04% (High .21% / Low -.24%)Mean= -.02%
Institutional Demand: Rising Today 81.35% vs Yesterday 79.10% (High 86.84% / Low 18.65%)Mean= 52.75%
Institutional Inventory: Falling Today 63.42% vs Yesterday 66.74% (High 79.00% / Low 25.23%)Mean= 52.12%
Institutional Accumulation/Distribution Trend: Rising Today .07% vs Yesterday .02%(High .35% / -.41%)Mean= -.03%

Outlook Statistics: Above 50% Bullish - Below 50% Bearish
DJIA Outlook: Bullish Falling Today 83% vs. Yesterday 86% (High 88% / Low 18%)
Stock Market Outlook: Bullish Rising Today 93.7% vs Yesterday 89.8% (High 100.0% / Low 4.8%) (DJIA, S&P 500, Russell 2000 & NASDAQ 100) Aggregate)

One-Year National CD Rate: Unchanged 5.22% vs Yesterday 5.22% (High 5.62% / 2.1%)
******************************************************************************
10-Key ETF Statistics: Above 0% Bullish - Below 0% Bearish
DIA: Rising Trend Today 17% vs. Yesterday 7% (High 70% / Low -48%)
SPY: Rising Trend Today 27% vs. Yesterday 13% (High 73% / Low -54%)
MDY: Rising Trend Today 35% vs. Yesterday 23% (High 85% / Low -80%)
IWM: Rising Trend Today 25% vs. Yesterday 10% (High 71% / Low -53%)
QQQQ: Rising Trend Today 33% vs. Yesterday 22% (High 54% / Low -43%)
SMH: Rising Trend Today 16% vs. Yesterday 5% (High 45% / Low -53%)
IYT: Rising Trend Today 11% vs. Yesterday 4% (High 80% / Low -72%)
IDU: Rising Trend Today 21% vs. Yesterday 14% (High 64% / Low -64%)
XLE: Rising Trend Today 25% vs. Yesterday 13% (High 62% / Low -53%)
XLF: Rising Trend Today -1% vs. Yesterday -6% (High 41% / Low -33%)

Information provided by http://www.MktMetrics.com
A Marketing Alliance with Charles Schwab's CyberTrader
Discounts available for Schwab CyberTraders, Corporate Accounts and Trading Rooms

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
Next Day's Advance Market Decisions:
"We're not always right, just very seldom wrong."

Tuesday, November 28, 2006

Stand-out "Short-Stocks" Tuesday

Information provided by: www.MktMetrics.com

DJIA Probability to be “Up” Tuesday is 87%
DJIA Trend declined to 74 from 81 the previous day


Stand-out "Short-Stocks" for 11-28-06:
Symbol/Opening Fair Value (Statistics for Tuesday 11-28-06)
1. SIE OFV: 32.68
2. SNDK OFV: 46.44
3. CAT OFV: 62.46
4. BDH OFV: 16.77
5. NEM OFV: 45.77
6. BNT OFV: 9.70
7. LPX OFV: 19.82
8. PGR OFV: 22.75
9. TARO OFV: 10.39
10. SLM OFV: 45.64
11. TIN OFV: 39.07
12. NOVL OFV: 6.23
13. WMT OFV: 47.10
14. VSH OFV: 12.90
15. TMB OFV: 36.59
16. GNSS OFV: 10.36
17. CVS OFV: 27.57
18. QCOM OFV: 36.92
19. SGY OFV: 38.37
20. APOL OFV: 36.16
21. AMD OFV: 21.93
22. ADM OFV: 33.23
23. BC OFV: 32.32
24. IVGN OFV: 56.26
25. FBN OFV: 17.58
26. ALO OFV: 21.72
27. CVH OFV: 46.53
28. UNH OFV: 46.51
29. ATAC OFV: 19.42
30. KLIC OFV: 8.17


Next Day’s Advance Market Decisions:
"We’re not always right, just very seldom wrong."

Dow 30 ETF (DIA) Tuesday Forecast

Information provided by: www.MktMetrics.com

Details for DIA (Diamonds- Dow 30 Exchange Traded Fund)

Today's Date: 11/28/06
Last Updated: 11/27/06
11/27/06 Final Numbers vs. Monday's Forecast
(Open) 122.70 vs. Opening Fair Value: 122.78
(High) 122.72 vs. Predicted High: 122.99
(Low) 121.07 vs. Predicted Low: 122.38/Proposed Low: 121.99
(Close) 121.11
(Range) 1.65 vs. Predicted Range: 0.61

DIA Tuesday Forecast
Opening Fair Value: 121.90
Today's Predicted High: 121.39
Today's Predicted Low: 120.84
Today's Proposed Range: 0.55
Buy/Sell Rating: Buy


Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 80 Down from 93
Volume Internal Strength: Negative 1.30/0.77 Up
Current Trend: Positive 7 Down from 25
Demand Factor: 94 Down from 99
Stock Volatility: 3.85 Up from 0.49

Predict Today's Upside & Downside Potential
11/27/06 12:45 Close: 121.23
Upside Potential: 121.39
Downside Potential: 120.27


Information for extreme trading days
Predicted Block Trading Activity
1. 123.49
2. 123.53
3. 125.15
4. 125.17

Predicted Block Trading Activity
1. 120.27
2. 120.25
3. 118.69
4. 118.65

DIA Key Moving Averages
8 DAY MOVING AVERAGE = 122.83
21 DAY MOVING AVERAGE = 121.68
30 DAY MOVING AVERAGE = 121.32
42 DAY MOVING AVERAGE = 120.41
50 DAY MOVING AVERAGE = 119.68
65 DAY MOVING AVERAGE = 118.43
30 WEEK MOVING AVERAGE = 114.53
200 DAY MOVING AVERAGE = 113.76

Become a subscriber and receive this information daily for any stock or ETF within our Stock Directory today! Market Makers have daily trading parameters, why shouldn't you?

DJIA Breaks Its 30-Day Moving Average

"Just Suppose For A Moment, You Know What The Exchange Insiders Know!" MktMetrics Does.

Subscribe today for a "14-day Free Look" to: www.mktmetrics.com - See for yourself before you make a trade, at what prices Specialists and Market Makers are only interested to buy and sell your stocks.

Track our successful growth on: www.mktmetrics.com/usage

Monday 11-27-06: DJIA close 12,121.79 -158.38 vs. Prior day: 12,280.17 -46.78
DJIA 21-Day Moving Average: 12,169.57 -1.99 vs. Prior day: 12,171.56 +6.93
(the DJIA closed below its 21-day moving average)

Before the U. S. Stock Market Opening
Tuesday November 28 Stock Market Forecast
*DJIA probability of closing "Up" Tuesday: 87%
(*Above 50% Bullish / Below 50% Bearish)


Market Comment: The MktMetrics DJIA forecast has posted 87% probability to be "Up" Tuesday. The DJIA Trend declined to 74% from 81% the previous day. The DJIA oscillator is temporarily oversold, so the Stock Market could see a bounce today before resuming its decline. Whether this may or may not happen, the DJIA Trend is in a free fall and this decline should last at least another week. The Dow closed below its 30-day moving average. When the DJIA closes below both its 8, 21 and 30-day moving as it did yesterday, most often the 50-day moving average currently at 11,968.00 is tested. Good luck and Good trading!

Dow Jones Industrial Average Statistics (Historic High / Low):
DJIA Probability of Being "Up" Tuesday: 87% (High 100% / Low 0%)
DJIA Trend: Falling Today 74% vs. Yesterday 81% (High 94% / Low 10%)
DJIA Momentum: Unchanged Today 90% vs. Yesterday 90% (High 97% / Low 13%)
DJIA Flow of Funds: Falling Today 61% vs. Yesterday 68% (High 97% / Low 6%)
DJIA Volatility: Rising Today 1.52% vs Yesterday 0.17% (High 2.35% / Low -0.22%)

Institutional Investor Statistics (Historic High / Low):
Exchange Insiders' Inventory: Falling Today .04% vs Yesterday .08% (High .21% / Low -.24%)Mean= -.02%
Institutional Demand: Falling Today 79.10% vs Yesterday 84.32% (High 86.84% / Low 18.65%)Mean= 52.75%
Institutional Inventory: Falling Today 66.74% vs Yesterday 73.90% (High 79.00% / Low 25.23%)Mean= 52.12%
Institutional Accumulation/Distribution Trend: Falling Today .02% vs Yesterday .11%(High .35% / -.41%)Mean= -.03%

Outlook Statistics: Above 50% Bullish - Below 50% Bearish
DJIA Outlook: Bullish Falling Today 86% vs. Yesterday 87% (High 88% / Low 18%)
Stock Market Outlook: Bullish Falling Today 89.8% vs Yesterday 98.0% (High 100.0% / Low 4.8%) (DJIA, S&P 500, Russell 2000 & NASDAQ 100) Aggregate)

One-Year National CD Rate: Unchanged 5.22% vs Yesterday 5.22% (High 5.62% / 2.1%)
******************************************************************************
10-Key ETF Statistics: Above 0% Bullish - Below 0% Bearish
DIA: Falling Trend Today 7% vs. Yesterday 25% (High 70% / Low -48%)
SPY: Falling Trend Today 13% vs. Yesterday 32% (High 73% / Low -54%)
MDY: Falling Trend Today 23% vs. Yesterday 48% (High 85% / Low -80%)
IWM: Falling Trend Today 10% vs. Yesterday 34% (High 71% / Low -53%)
QQQQ: Falling Trend Today 22% vs. Yesterday 40% (High 54% / Low -43%)
SMH: Falling Trend Today 5% vs. Yesterday 15% (High 45% / Low -53%)
IYT: Falling Trend Today 4% vs. Yesterday 16% (High 80% / Low -72%)
IDU: Falling Trend Today 14% vs. Yesterday 20% (High 64% / Low -64%)
XLE: Unchanged Trend Today 13% vs. Yesterday 13% (High 62% / Low -53%)
XLF: Falling Trend Today -6% vs. Yesterday 11% (High 41% / Low -33%)

Information provided by http://www.MktMetrics.com
A Marketing Alliance with Charles Schwab's CyberTrader
Discounts available for Schwab CyberTraders, Corporate Accounts and Trading Rooms

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
Next Day's Advance Market Decisions:
"We're not always right, just very seldom wrong."

Monday, November 27, 2006

Stand-out "Short-Stocks" Monday

Information provided by: www.MktMetrics.com

DJIA Probability to be “Up” Monday is 84%
DJIA Trend declined to 81 from 84 the previous day.


Stand-out "Short-Stocks" for 11-27-06:
Symbol/Opening Fair Value (Statistics for Monday 11-27-06)
1. AIRT OFV: 10.26
2. SNDK OFV: 47.59
3. BDH OFV: 16.98
4. SIE OFV: 32.62
5. BNT OFV: 9.93
6. LPX OFV: 19.91
7. CAT OFV: 62.71
8. NEM OFV: 45.87
9. PGR OFV: 22.92
10. TARO OFV: 10.56
11. USG OFV: 39.22
12. VSH OFV: 13.06
13. SLM OFV: 46.00
14. NOVL OFV: 6.29
15. GNSS OFV: 10.57
16. SGY OFV: 38.62
17. CVS OFV: 27.89
18. ALO OFV: 22.07
19. IVGN OFV: 56.42
20. UNH OFV: 46.59
21. CVH OFV: 45.56
22. ATAC OFV: 19.89
23. ADM OFV: 33.73
24. CBK OFV: 21.64
25. CYBE OFV: 12.29



Next Day’s Advance Market Decisions:
"We’re not always right, just very seldom wrong."

Dow 30 ETF (DIA) Monday Forecast

Information provided by: www.MktMetrics.com

Details for DIA (Diamonds- Dow 30 Exchange Traded Fund)

Today's Date: 11/27/06
Last Updated: 11/24/06
11/24/06 Final Numbers vs. Friday's DIA Forecast
(Open) 122.67 vs. Opening Fair Value: 123.22
(High) 123.10 vs. Predicted High: 123.61
(Low) 122.53 vs. Predicted Low: 122.90 / Downside Potential: 122.61
(Close) 122.68
(Range) 0.57 vs. Predicted Range: 0.71

DIA Monday Forecast
Opening Fair Value: 122.78
Today's Predicted High: 122.99
Today's Predicted Low: 122.38
Today's Proposed Range: 0.61
Buy/Sell Rating: Buy


Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 93 Down from 96
Volume Internal Strength: Negative 0.30/0.70 Down
Current Trend: Positive 25 Down from 34
Demand Factor: 99 Down from 100
Stock Volatility: 0.49 Up from 0.32

Monday's DIA Upside & Downside Potential
11/24/06 12:45 Close: 122.82
Upside Potential: 123.21
Downside Potential: 121.99


Information for extreme trading days
Predicted Block Trading Activity
1. 124.98
2. 125.12
3. 125.13
4. 125.56

Predicted Block Trading Activity
1. 120.64
2. 120.23
3. 120.22
4. 120.08

DIA Key Moving Averages
8 DAY MOVING AVERAGE = 122.98
21 DAY MOVING AVERAGE = 121.70
30 DAY MOVING AVERAGE = 121.27
42 DAY MOVING AVERAGE = 120.32
50 DAY MOVING AVERAGE = 119.57
65 DAY MOVING AVERAGE = 118.30
30 WEEK MOVING AVERAGE = 114.47
200 DAY MOVING AVERAGE = 113.70

Become a subscriber and receive this information daily for any stock or ETF within our Stock Directory today! Market Makers have daily trading parameters, why shouldn't you?

Stock Market Volatility To Increase

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Friday 11-22-06: DJIA close 12,280.17 -46.78 vs. Prior day: 12,326.95 +5.36
DJIA 21-Day Moving Average: 12,171.56 +6.93 vs. Prior day: 12,164.63 +9.48
(the DJIA closed above its 21-day moving average)

Before the U. S. Stock Market Opening
Monday November 27 Stock Market Forecast
*DJIA probability of closing "Up" Monday: 84%
(*Above 50% Bullish / Below 50% Bearish)


Market Comment: The MktMetrics DJIA forecast has posted 84% probability to be "Up" Monday. The DJIA Trend declined to 81% from 84% the previous day. An intraday theorectical high of 12409.31 for the DJIA was posted on 11-21-06. It is our opinion that this may have been the high for 2006. We believe that a trading Range of 1,000 points is in the offing between 12,400 and 11,400. Time will tell whether or not we are right in our prediction, but the Stock Market does seem to be over extended. We have noticed over several decades that tops are often made after huge run-ups just prior to a major holiday. This may have happened last week. Our Volatility number is near its low. This is often indicative of a forthcoming large move either way. So it will be interested to see how this week shakes out. Good luck and Good trading!

Dow Jones Industrial Average Statistics (Historic High / Low):
DJIA Probability of Being "Up" Monday: 84% (High 100% / Low 0%)
DJIA Trend: Falling Today 81% vs. Yesterday 84% (High 94% / Low 10%)
DJIA Momentum: Unchanged Today 90% vs. Yesterday 90% (High 97% / Low 13%)
DJIA Flow of Funds: Falling Today 68% vs. Yesterday 81% (High 97% / Low 6%)
DJIA Volatility: Falling Today 0.17% vs Yesterday 0.66% (High 2.35% / Low -0.22%)

Institutional Investor Statistics (Historic High / Low):
Exchange Insiders' Inventory: Falling Today .08% vs Yesterday .09% (High .21% / Low -.24%)Mean= -.02%
Institutional Demand: Falling Today 84.32% vs Yesterday 84.61% (High 86.84% / Low 18.65%)Mean= 52.75%
Institutional Inventory: Falling Today 73.90% vs Yesterday 75.71% (High 79.00% / Low 25.23%)Mean= 52.12%
Institutional Accumulation/Distribution Trend: Falling Today .11% vs Yesterday .13%(High .35% / -.41%)Mean= -.03%

Outlook Statistics: Above 50% Bullish - Below 50% Bearish
DJIA Outlook: Bullish Unchanged Today 87% vs. Yesterday 87% (High 88% / Low 18%)
Stock Market Outlook: Bullish Falling Today 98.0% vs Yesterday 99.8% (High 100.0% / Low 4.8%) (DJIA, S&P 500, Russell 2000 & NASDAQ 100) Aggregate)

One-Year National CD Rate: Unchanged 5.22% vs Yesterday 5.22% (High 5.62% / 2.1%)
******************************************************************************
10-Key ETF Statistics: Above 0% Bullish - Below 0% Bearish
DIA: Falling Trend Today 25% vs. Yesterday 34% (High 70% / Low -48%)
SPY: Falling Trend Today 32% vs. Yesterday 43% (High 73% / Low -54%)
MDY: Falling Trend Today 48% vs. Yesterday 58% (High 85% / Low -80%)
IWM: Falling Trend Today 34% vs. Yesterday 43% (High 71% / Low -53%)
QQQQ: Falling Trend Today 40% vs. Yesterday 43% (High 54% / Low -43%)
SMH: Falling Trend Today 15% vs. Yesterday 22% (High 45% / Low -53%)
IYT: Falling Trend Today 16% vs. Yesterday 20% (High 80% / Low -72%)
IDU: Falling Trend Today 20% vs. Yesterday 23% (High 64% / Low -64%)
XLE: Falling Trend Today 13% vs. Yesterday 22% (High 62% / Low -53%)
XLF: Falling Trend Today 11% vs. Yesterday 16% (High 41% / Low -33%)

Information provided by http://www.MktMetrics.com
A Marketing Alliance with Charles Schwab's CyberTrader
Discounts available for Schwab CyberTraders, Corporate Accounts and Trading Rooms

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
Next Day's Advance Market Decisions:
"We're not always right, just very seldom wrong."

Sunday, November 26, 2006

Dow 30 Industrials Buy/Sell

Our belief is that the Stock Market is controlled by the Specialists and Market Makers or Exchange Insiders. We developed MktMetrics over a four year period and performed a 30-year computer generated study to test our findings. Our sole purpose was to produce a mirror image of where the Exchange Insiders buy and sell their stock inventory. We hope you will subscribe to http://www.mktmetrics.com/ for $40.00 monthly and financially benefit by its consistently accurate daily results. After performing our extensive research, we found that the Exchange Insiders control the direction of the Stock Market by moving individual members of the Dow Jones Industrial Average to establish a trend for the purpose of accumulating at wholesale and distributing at retail, their stock inventory for maximum gain. Ergo, we pay strict attention to the numbers generated from the MktMetrics program to spot their intent. To that end, our focus is concentrated on the Dow Jones Industrial Average.
Dow Jones Industrials trading Range: High 12,390.74 - Low 9,961.52 = 2,429.22

Information provided by: www.MktMetrics.com

DJIA Probability to be "Up" Monday is 84%
DJIA Trend declined to 81 from 84 the previous day

Nightly Analysis Update for Monday's Trading:

Dow Jones Industrials Buy/Sell
Symbol/Signal Demand Range IRS Trend
1. AA BUY 100+ 0.60 91U 0.38+
2. AIG BUY - 100/ 0.86 88D 0.40+
3. AXP BUY 100+ 0.46 97U 0.32+
4. BA S/BUY 78+ 1.20 88D 0.54+
5. C BUY - 93- 0.39 81D 0.03+
6. CAT SELL - 21+ 0.77 58U -0.02+
7. DD S/BUY 100/ 0.67 95D 0.41+
8. DIA BUY 99- 0.61 93D 0.25+
9. DIS BUY 100+ 0.33 81D 0.50+
10. GE SELL 81- 0.36 79D -0.14+
11. GM SELL 46+ 0.81 20U -0.32+
12. HD BUY - 93- 0.80 81D 0.22+
13. HON SELL 91/ 0.36 79D -0.06+
14. HPQ S/BUY 100/ 0.73 75D 0.15+
15. IBM BUY 75- 0.84 86D 0.14+
16. INTC BUY - 93/ 0.62 76D 0.10+
17. JNJ S/SELL - 89- 0.88 48D -0.10+
18. JPM SELL - 96- 0.50 71D -0.02+
19. KO BUY 94- 0.39 79D 0.17+
20. MCD BUY 100/ 0.54 86U 0.07+
21. MMM BUY 38/ 0.99 77D 0.24/
22. MO BUY 88- 1.61 74D 0.11+
23. MRK SELL - 93+ 0.48 69D -0.02+
24. MSFT BUY - 99+ 0.42 96D 0.10/
25. PFE BUY - 91- 0.45 74D 0.02+
26. PG BUY 96- 0.58 73D 0.24+
27. T SELL 66- 0.73 51D -0.19+
28. UTX BUY 88+ 0.93 77U 0.06/
29. VZ S/SELL 89- 0.43 35U -0.16+
30. WMT S/SELL 18+ 0.58 38U -0.35+
31. XOM BUY 99/ 1.58 75D 0.31+


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Saturday, November 25, 2006

The MktMetrics Weekly Stock Market Analysis

Stock Market Data as of: Week Ending November 24, 2006
Information provided by: www.MktMetrics.com

Dow Jones Industrials trading Range: High 12,409.31 - Low 9,961.52 = 2,447.79

DJIA Outlook: Bullish Rising 87% vs Last week: 85% (High 88% / Low 12%)
DJIA Closed: 12,280.17 vs Last week: 12,342.56 -62.39 / Prior week: +234.13
21-day M/A: 12,171.56 vs Last week: 12,130.45 +41.11 / Prior week: +64.50
DJIA Trend: Falling 81% vs Last week: 84% (High 94% / Low 10%)
DJIA Momentum: Falling 90% vs Last week: 94% (High 97% / Low 10%)
DJIA Volatility: Falling 0.17% vs Last week: 0.71% (High 2.35% / Low -0.22%)
DJIA Resistance: Rising Near Term 12,385 vs Last week 12,343 +42
DJIA Resistance: Rising Intermediate Term 12,598 vs Last week 12,555
DJIA Support: Rising Near Term: 11,959 vs Last week: 11,918 +41
DJIA Support: Rising Intermediate Term: 11,746 vs Last week: 11,706
DJIA Money Flow Index: Falling 68% vs Last week: 90% (High 97% / Low 08%)
DJIA Directional Indicator: +6.9 vs Last week: +15.8 (High 35.4 / Low -35.8)
21-Day M/A Price A/D Line: +335 vs Last week: +333 (High 647 / Low -455)
21-Day M/A Volume A/D Line: -18 vs Last week: +6 (High 188/ Low -439)
DJIA Price vs 21-Day M/A: +0.89% vs Last week: +1.75% (High 4.36% / Low -3.56%)
DJIA Moving Average Convergence/Divergence(MACD): BUY(-) vs Last week: BUY(+)
DJIA Overbought/Oversold (CCI): +45 vs Last week: +155 (High 255 / Low -202)
DJIA Stochastic 20-Day Indicator: 79 vs Last week: 86 (High 100 / Low 00)
DJIA Relative Strength 14-Day Indicator: 75 vs Last week: 71 (High 97 / Low 12)
DJIA Today vs 50-Day M/A Volume: 0.3 vs Last week: 1.1 (High 1.4 / Low 0.3)

Stock Market Outlook: Bullish Falling 98.0% vs Last week: 98.3% (100.0% / Low 8.0%)
Exchange Insiders' Inventory: Falling .09% vs Last week: .13% (High .19%/Low -.24%)
Institutional Demand Factor: Falling 84.3 vs Last week: 86.8 (High 86.8 / Low 18.7)
Institutional Inventory Factor: Falling 73.9 vs Last week: 78.0 (High 79.0 / 25.2)
Institutional Accumulation/Distribution Trend: Falling .11 vs Last week: .20 (High .35 / -.41)
Institutional Sentiment Index: Rising 120 vs Last week: 116 (High 124 / Low 68)
Speculation Indicator: Falling -.03 vs Last week: +.07 (High +.78 / Low -.71)
One-Year National CD Rate: Rising 5.24% vs Last week: 5.23% (5.62 / Low 2.1%)
*********************************************************************************
Exchange Traded Funds- Trend/Sector Analysis: (Change +/-)
Symbol/Trend/Historic(High-Low)/Rating/Demand Factor
Diamonds-Dow 30
DIA: +.25 vs Last week: +.49 (High .70 / Low -.48) Rating: BUY Demand Factor: 99-
SPDR-S&P 500
SPY: +.32 vs Last week: +.47 (High .73 / Low -.54) Rating: BUY Demand Factor: 99-
SPDR-S&P 400 Mid-Cap
MDY: +.48 vs Last week: +.51 (High .85 / Low -.80) Rating: BUY Demand Factor: 99-
Russell 2000 Small-Cap
IWM: +.34 vs Last week: +.30 (High .71 / Low -.42) Rating: BUY Demand Factor: 100/
Nasdaq 100 Large Growth
QQQQ: +.40 vs Last week: +.40 (High .54 / Low -.35) Rating: BUY Demand Factor: 100/
1. Biotech
BBH: -.07 vs Last week: +.29 (High 1.58 / Low -1.02)Rating: SELL- Demand Factor: 93-
2. Broadband
BDH: -.17 vs Last week: -.14 (High .57 / Low -.54) Rating: SELL Demand Factor: 26+
3. Central Fund of Canada (Physical Precious Metals)
CEF: +.32 vs Last week: +.18 (High .41 / Low -.29) Rating: BUY Demand Factor: 100+
4. Deutsche Bank Commodity Index Tracking ETF
DBC: +.09 vs Last week: +.19 (High .56 / Low -.65) Rating: BUY Demand Factor: 99/
5. iShares Dow Jones Select Dividend Index
DVY: +.69 vs Last week: +.64 (High .84 / Low -.16) Rating: BUY Demand Factor: 100+
6. Emerging Markets
EEM: +.36 vs Last week: +.34 (High .84 / Low -.16) Rating: BUY Demand Factor: 100+
7. EAFE Global Equities (Europe, Australasia and Far East)
EFA: +.22 vs Last week: +.32 (High .56 / Low -.37) Rating: BUY Demand Factor: 94-
8. Pacific ex-Japan
EPP: +.37 vs Last week: +.43 (High .71 / Low -31) Rating: BUY Demand Factor: 96+
9. Canada
EWC: +.29 vs Last week: +.34 (High .52 / Low -.29) Rating: BUY Demand Factor: 100+
10. Sweden
EWD: +.44 vs Last week: +.46 (High .66 / Low -.26) Rating: BUY Demand Factor: 100/
11. Germany
EWG: +.16 vs Last week: +.17 (High .61 / Low -.19) Rating: BUY Demand Factor: 100/
12. Hong Kong
EWH: +.24 vs Last week: +.28 (High .43 / Low -.25) Rating: BUY Demand Factor: 100+
13. Japan
EWJ: +.08 vs Last week: +.15 (High .63 / Low -.43) Rating: BUY Demand Factor: 93-
14. Belgium
EWK: +.31 vs Last week: +.28 (High .60 / Low -.21) Rating: BUY Demand Factor: 100/
15. Switzerland
EWL: +.45 vs Last week: +.39 (High .64 / Low -.20) Rating: BUY Demand Factor: 100/
16. Malaysia
EWM: +.26 vs Last week: +.08 (High .29 / Low -.21) Rating: BUY Demand Factor: 100+
17. Netherlands
EWN: +.31 vs Last week: +.32 (High .49 / Low -.14) Rating: BUY Demand Factor: 100/
18. France
EWQ: +.18 vs Last week: +.30 (High .56 / Low -.36) Rating: BUY Demand Factor: 99+
19. Singapore
EWS: +.01 vs Last week: +.03 (High .38 / Low -.21) Rating: BUY Demand Factor: 75-
20. Taiwan
EWT: +.19 vs Last week: +.12 (High .23 / Low -.21) Rating: BUY Demand Factor: 100+
21. United Kingdom
EWU: +.19 vs Last week: +.29 (High .69 / Low -.20) Rating: BUY Demand Factor: 100/
22. Mexico
EWW: -.00 vs Last week: +.08 (High .50 / Low -.31) Rating: SELL- Demand Factor: 92+
23. South Korea
EWY: +.33 vs Last week: +.55 (High .43 / Low -.53) Rating: BUY Demand Factor: 100/
24. Brazil
EWZ: +.18 vs Last week: +.22 (High .65 / Low -.28) Rating: BUY Demand Factor: 100+
25. Xinhua China
FXI: +.81 vs Last week: +.65 (High .62 / Low -.32) Rating: BUY Demand Factor: 100/
26. Street TRACKS Gold Trust
GLD: +.25 vs Last week: +.21 (High .54 / Low -.61) Rating: BUY Demand Factor: 76-
27. Internet
HHH: +.26 vs Last week: +.42 (High .50 / Low -.75) Rating: BUY Demand Factor: 96+
28. Internet Architecture
IAH: +.36 vs Last week: +.33 (High .65 / Low -.60) Rating: BUY Demand Factor: 97+
29. Comex Gold
IAU: +.28 vs Last week: +.21 (High .81 / Low -.65) Rating: BUY Demand Factor: 66-
30. Biotechnology
IBB: +.46 vs Last week: +.47 (High .58 / Low -.62) Rating: BUY Demand Factor: 100/
31. InterContinental Exchange, Inc.
ICE: +.99 vs Last week: +.80 (High .99 / Low -.51) Rating: BUY Demand Factor: 90+
32. Utilities
IDU: +.20 vs Last week: +.35 (High .59 / Low -.54) Rating: BUY Demand Factor: 98+
33. S&P Europe 350 Index
IEV: +.40 vs Last week: +.46 (High .81 / Low -.48) Rating: BUY Demand Factor: 99-
34. Natural Resources
IGE: +.27 vs Last week: +.32 (High .88 / Low -.72) Rating: BUY Demand Factor: 100/
35. Networking
IGN: +.39 vs Last week: +.26 (High .38 / Low -.50) Rating: BUY Demand Factor: 100/
36. Software
IGV: +.43 vs Last week: +.36 (High .33 / Low -.60) Rating: BUY Demand Factor: 100/
37. Semiconductor
IGW: +.26 vs Last week: +.25 (High .62 / Low -.75) Rating: BUY Demand Factor: 66-
38. Internet Infrastructure
IIH: +.28 vs Last week: +.31 (High .37 / Low -.23) Rating: BUY Demand Factor: 100+
39. Mid-Cap 400 Blend
IJH: +.26 vs Last week: +.25 (High .44 / Low -.30) Rating: BUY Demand Factor: 100/
40. Mid-Cap 400 Growth
IJK: +.43 vs Last week: +.41 (High .48 / Low -.52) Rating: BUY Demand Factor: 100/
41. Small-Cap 600
IJR: +.28 vs Last week: +.24 (High .83 / Low -.41) Rating: BUY Demand Factor: 100/
42. S&P Latin America 40 Index
ILF: +.32 vs Last week: +.41 (High 1.19 / Low -.60)Rating: BUY Demand Factor: 100/
43. S&P 1500 Index
ISI: +.33 vs Last week: +.37 (High .79 / Low -.41) Rating: BUY Demand Factor: 100/
44. S&P/TOPIX 150 Japan Index
ITF: -.22 vs Last week: +.08 (High .92 / Low -.90) Rating: SELL- Demand Factor: 97-
45. Global Financial
IXG: +.11 vs Last week: +.35 (High .79 / Low -.35) Rating: BUY Demand Factor: 97-
46. Consumer Cyclical
IYC: +.52 vs Last week: +.58 (High .78 / Low -.64) Rating: BUY Demand Factor: 100/
47. Energy
IYE: -.01 vs Last week: +.07 (High .79 / Low -.69) Rating: BUY Demand Factor: 14+
48. Healthcare
IYH: +.19 vs Last week: +.30 (High .39 / Low -.44) Rating: BUY Demand Factor: 97-
49. Industrial
IYJ: +.25 vs Last week: +.26 (High .52 / Low -.35) Rating: BUY Demand Factor: 100/
50. Consumer Non-Cyclical
IYK: +.54 vs Last week: +.67 (High .58 / Low -.56) Rating: BUY Demand Factor: 97-
51. Basic Materials
IYM: +.33 vs Last week: +.22 (High .51 / Low -.52) Rating: BUY Demand Factor: 100+
52. Real Estate
IYR: +.28 vs Last week: +.15 (High .62 / Low -.38) Rating: BUY Demand Factor: 100/
53. Transportation
IYT: +.16 vs Last week: +.23 (High .80 / Low -.52) Rating: BUY Demand Factor: 100/
54. Technology
IYW: +.17 vs Last week: +.14 (High .42 / Low -.50) Rating: BUY Demand Factor: 100+
55. Telecommunications
IYZ: -.09 vs Last week: +.25 (High .43 / Low -.30) Rating: SELL- Demand Factor: 44-
56. NYSE Group, Inc.
NYX: +1.74 vs Last week: +1.77 (High 1.77/ Low -.129) Rating: BUY Demand Factor: 97+
57. Oil Services
OIH: +.23 vs Last week: +.26 (High 1.63/ Low -.129) Rating: BUY Demand Factor: 97+
58. PowerShares WilderHill Clean Energy
PBW: +.21 vs Last week: +.24 (High .31 / Low -.24) Rating: BUY Demand Factor: 80+
59. Pharmaceutical
PPH: -.27 vs Last week: -.06 (High .49 / Low -.61) Rating: SELL- Demand Factor: 63-
60. PowerShares Dynamic OTC
PWO: -.60 vs Last week: -.52 (High .36 / Low -.54) Rating: SELL Demand Factor: 08+
61. Regional Bank
RKH: -.04 vs Last week: +.11 (High .88 / Low -.48) Rating: SELL- Demand Factor: 94/
62. MS Eastern Europe Fund
RNE: +.09 vs Last week: +.19 (High .41 / Low -.29) Rating: BUY Demand Factor: 55-
63. Retail
RTH: -.07 vs Last week: +.09 (High .60 / Low -.58) Rating: SELL- Demand Factor: 89-
64. Silver Trust
SLV: +0.69 vs Last week: +0.41 (High 1.08 / Low -.88)Rating: BUY Demand Factor: 53-
65. Semiconductor
SMH: +.15 vs Last week: +.14 (High .45 / Low -.52) Rating: BUY Demand Factor: 97-
66. Software
SWH: +.25 vs Last week: +.25 (High .51 / Low -.41) Rating: BUY Demand Factor: 100/
67. Lehman 20+ Treasury Bond Fund
TLT: +.28 vs Last week: +.28 (High .53 / Low -.44) Rating: BUY Demand Factor: 97+
68. Telecommunications
TTH: -.11 vs Last week: +.03 (High .54 / Low -.31) Rating: BUY Demand Factor: 82-
69. Utilities
UTH: +.05 vs Last week: +.18 (High .68 / Low -.65) Rating: BUY Demand Factor: 70-
70. Wireless
WMH: +.16 vs Last week: +.12 (High .55 / Low -.64) Rating: BUY Demand Factor: 46+
71. Homebuilders
XHB: +.09 vs Last week: +.12 (High .69 / Low -.43) Rating: BUY Demand Factor: 59+
72. Materials Select Sector
XLB: +.18 vs Last week: +.13 (High .34 / Low -.41) Rating: BUY Demand Factor: 100+
73. S&P Energy Select
XLE: +.13 vs Last week: +.19 (High .76 / Low -.51) Rating: BUY Demand Factor: 99+
74. S&P Financial Select
XLF: +.11 vs Last week: +.20 (High .46 / Low -.23) Rating: BUY Demand Factor: 94+
75. Technology
XLK: +.25 vs Last week: +.28 (High .36 / Low -.32) Rating: BUY Demand Factor: 100/
76. Industrial Select Sector SPDR
XLI: +.34 vs Last week: +.34 (High .46 / Low -.23) Rating: BUY Demand Factor: 100/
77. Consumer Staples
XLP: -.14 vs Last week: +.17 (High .40 / Low -.29) Rating: BUY Demand Factor: 72-
78. Healthcare Select
XLV: +.05 vs Last week: +.16 (High .48 / Low -.28) Rating: BUY Demand Factor: 99-
79. Industrial Sector
XLY: +.17 vs Last week: +.34 (High .52 / Low -.45) Rating: BUY Demand Factor: 92-
80. Mining & Metals Sector
XME: +.07 vs Last week: +.02 (High .77 / Low -.35) Rating: BUY+ Demand Factor: 41+

Information provided by: www.MktMetrics.com
A Marketing Alliance with Charles Schwab's CyberTrader
Discounts available for Schwab CyberTraders, Corporate Accounts and Trading Rooms

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
"Just Suppose For A Moment, You Know What The Exchange Insiders Know!" MktMetrics Does.

Friday, November 24, 2006

Stand-out "Short-Stocks Friday

Information provided by: www.MktMetrics.com

DJIA Probability to be “Up” Friday is 35%

Stand-out Short-Stocks for 11-24-06:
Symbol/Opening Fair Value (Statistics for Friday 11-24-06)
1. PWO OFV: 53.03
2. LOJN OFV: 15.08
3. AIRT OFV: 10.26
4. AMED OFV: 40.39
5. MXWL OFV: 15.15
6. BNT OFV: 9.92
7. MYL OFV: 20.39
8. ADLR OFV: 7.87
9. CMX OFV: 45.86
10. IMOS OFV: 5.72
11. HUM OFV: 52.53
12. TMB OFV: 37.73
13. ULBI OFV: 11.13
14. GLBL OFV: 13.33
15. ANN OFV: 35.28
16. AZN OFV: 57.41
17. NUE OFV: 59.29
18. CVH OFV: 45.15
19. PCLN OFV: 40.02
20. TESS OFV: 29.85
21. MRGE OFV: 5.95
22. POS OFV: 24.91
23. WMT OFV: 47.98
24. BLS OFV: 42.76
25. CVS OFV: 28.02
26. ESRX OFV: 66.74
27. BAX OFV: 44.55
28. ISRG OFV: 98.36
29. LNCR OFV: 35.95
30. MERX OFV: 9.29
31. SAFC OFV: 61.53
32. WFC OFV: 35.61
33. CSL OFV: 81.25
34. GM OFV: 31.63
35. NWRE OFV: 11.82
36. IDXX OFV: 84.56
37. LPNT OFV: 33.69
38. KVHI OFV: 11.56
39. TARO OFV: 10.51
40. WFMI OFV: 49.05


Next Day’s Advance Market Decisions:
"We’re not always right, just very seldom wrong."

Dow 30 ETF (DIA) Friday Forecast

Information provided by: www.MktMetrics.com

Details for DIA (Diamonds- Dow 30 Exchange Traded Fund)

Today's Date: 11/24/06
Last Updated: 11/22/06
11/22/06 Final Numbers vs. Wednesday's Forecast
(Open) 123.23 vs. Opening Fair Value: 123.11
(High) 123.51 vs. Predicted High: 123.64
(Low) 122.93 vs. Predicted Low: 122.68
(Close) 123.25
(Range) 0.58 vs. Predicted Range: 0.98

DIA Thursday Forecast
Opening Fair Value: 123.22
Today's Predicted High: 123.61
Today's Predicted Low: 122.90
Today's Proposed Range: 0.71
Buy/Sell Rating: Buy

Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 96 Up from 96
Volume Internal Strength: Negative 0.50/0.85 Down
Current Trend: Positive 34 Down from 39
Demand Factor: 100 Unch
Stock Volatility: 0.32 Up from -0.58

Predict Today's Upside & Downside Potential
11/22/06 12:45 Close: 123.09
Upside Potential: 124.03
Downside Potential: 122.61


Information for extreme trading days
Predicted Block Trading Activity
1. 125.39
2. 125.69
3. 125.72
4. 125.98

Predicted Block Trading Activity
1. 121.04
2. 120.79
3. 120.77
4. 120.47

Become a subscriber and receive this information daily for any stock or ETF within our Stock Directory today! Market Makers have daily trading parameters, why shouldn't you?

Stock Market To Observe Black Friday

"Just Suppose For A Moment, You Know What The Exchange Insiders Know!" MktMetrics Does.

Subscribe today for a "14-day Free Look" to: www.mktmetrics.com - See for yourself before you make a trade, at what prices Specialists and Market Makers are only interested to buy and sell your stocks.

Track our successful growth on: www.mktmetrics.com/usage

Wednesday 11-22-06: DJIA close 12,326.95 +5.36 vs. Prior day: 12,321.59 +5.05
DJIA 21-Day Moving Average: 12,164.63 +9.48 vs. Prior day: 12,155.15 +9.74
(the DJIA closed above its 21-day moving average)

Before the U. S. Stock Market Opening
Friday November 24 Stock Market Forecast
*DJIA probability of closing "Up" Friday: 35%
(*Above 50% Bullish / Below 50% Bearish)


Market Comment: The MktMetrics DJIA forecast has posted 35% probability to be "Up" Friday. The DJIA Trend was unchanged at 84% from 84% the previous day. Today is the day after Thanksgiving and the Stock Market will most likely trade off of the Retail data as it becomes available. Most Traders left town earlier in the week and will return Monday, so we can expect subdued trading activity today. But along with slack trading, volatility could become present. Why not take the day off and enjoy doing other things? Be sure to catch The Weekly Edition of MktMetrics.com on Saturday and The Dow 30 Buy/Sell on Sunday. Good luck and Good trading!

Dow Jones Industrial Average Statistics (Historic High / Low):
DJIA Probability of Being "Up" Friday: 35% (High 100% / Low 0%)
DJIA Trend: Unchanged Today 84% vs. Yesterday 84% (High 94% / Low 10%)
DJIA Momentum: Unchanged Today 90% vs. Yesterday 90% (High 97% / Low 13%)
DJIA Flow of Funds: Falling Today 81% vs. Yesterday 90% (High 97% / Low 6%)
DJIA Volatility: Rising Today 0.66% vs Yesterday 0.63% (High 2.35% / Low -0.22%)

Institutional Investor Statistics (Historic High / Low):
Exchange Insiders' Inventory: Falling Today .09% vs Yesterday .10% (High .21% / Low -.24%)Mean= -.02%
Institutional Demand: Rising Today 84.61% vs Yesterday 84.23% (High 86.84% / Low 18.65%)Mean= 52.75%
Institutional Inventory: Falling Today 75.71% vs Yesterday 75.97% (High 79.00% / Low 25.23%)Mean= 52.12%
Institutional Accumulation/Distribution Trend: Falling Today .13% vs Yesterday .14%(High .35% / -.41%)Mean= -.03%

Outlook Statistics: Above 50% Bullish - Below 50% Bearish
DJIA Outlook: Bullish Unchanged Today 87% vs. Yesterday 87% (High 88% / Low 18%)
Stock Market Outlook: Bullish Rising Today 99.8% vs Yesterday 99.5% (High 100.0% / Low 4.8%) (DJIA, S&P 500, Russell 2000 & NASDAQ 100) Aggregate)

One-Year National CD Rate: Falling 5.22% vs Yesterday 5.23% (High 5.62% / 2.1%)
******************************************************************************
10-Key ETF Statistics: Above 0% Bullish - Below 0% Bearish
DIA: Falling Trend Today 34% vs. Yesterday 39% (High 70% / Low -48%)
SPY: Falling Trend Today 43% vs. Yesterday 45% (High 73% / Low -54%)
MDY: Falling Trend Today 58% vs. Yesterday 61% (High 85% / Low -80%)
IWM: Rising Trend Today 43% vs. Yesterday 42% (High 71% / Low -53%)
QQQQ: Rising Trend Today 43% vs. Yesterday 37% (High 54% / Low -43%)
SMH: Rising Trend Today 22% vs. Yesterday 13% (High 45% / Low -53%)
IYT: Falling Trend Today 20% vs. Yesterday 23% (High 80% / Low -72%)
IDU: Rising Trend Today 23% vs. Yesterday 22% (High 64% / Low -64%)
XLE: Falling Trend Today 22% vs. Yesterday 31% (High 62% / Low -53%)
XLF: Falling Trend Today 16% vs. Yesterday 17% (High 41% / Low -33%)

Information provided by http://www.MktMetrics.com
A Marketing Alliance with Charles Schwab's CyberTrader
Discounts available for Schwab CyberTraders, Corporate Accounts and Trading Rooms

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
Next Day's Advance Market Decisions:
"We're not always right, just very seldom wrong."

Wednesday, November 22, 2006

Dow 30 Industrials Buy/Sell

Information provided by: www.MktMetrics.com

DJIA Probability to be "Up" Wednesday is 55%
DJIA Trend declined to 84 from 87 the previous day


Nightly Analysis Update for Wednesday's Trading:

Dow Jones Industrials Buy/Sell
Symbol/Signal Demand Range IRS Trend
1. AA BUY 78+ 0.57 68U 0.25+
2. AIG S/BUY 99- 0.96 93D 0.43+
3. AXP BUY 94- 0.47 93D 0.20+
4. BA S/BUY 85+ 1.50 95U 0.49+
5. C S/BUY 99- 0.55 88D 0.12+
6. CAT SELL 17+ 0.95 42U 0.01+
7. DD S/BUY 100+ 0.66 94D 0.32+
8. DIA BUY 100+ 0.98 96N 0.39+
9. DIS S/BUY 100/ 0.51 86U 0.52/
10. GE BUY 80- 0.42 84D -0.11+
11. GM S/SELL - 68- 0.68 40D -0.16+
12. HD S/BUY 95- 1.30 89D 0.28+
13. HON BUY 92+ 0.45 78D 0.07+
14. HPQ S/BUY 100+ 0.82 78U 0.10/
15. IBM BUY 70- 1.13 85D 0.17+
16. INTC S/BUY + 91- 0.60 83D 0.10+
17. JNJ BUY - 91- 0.94 56D -0.02+
18. JPM BUY 98+ 0.68 81D 0.06+
19. KO S/BUY 93/ 0.43 82D 0.15+
20. MCD BUY 99- 0.73 78U 0.06+
21. MMM BUY 37+ 1.15 80U 0.17+
22. MO BUY 88- 1.18 82D 0.30+
23. MRK S/BUY 93- 0.72 73D 0.06+
24. MSFT S/BUY 98+ 0.37 96U 0.09+
25. PFE S/BUY 93- 0.59 74U 0.10+
26. PG BUY 93- 0.65 75D 0.18+
27. T BUY + 65- 0.87 56D -0.21+
28. UTX BUY 88- 0.87 78D 0.11+
29. VZ BUY + 95/ 0.56 37U 0.01+
30. WMT S/SELL - 14/ 0.67 34U -0.41+
31. XOM BUY 98+ 1.40 81U 0.42/


AP
Kirk Kerkorian to Sell 14M GM Shares
Wednesday November 22, 1:27 pm ET
By Tom Krisher, AP Business Writer
Kirk Kerkorian Says He's Selling 14 Million GM Shares

HOW DID MKTMETRICS KNOW THAT THE NIGHT BEFORE? (See above #11: GM Strong Sell above)



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DJIA ETF (DIA) Wednesday Forecast

Information provided by: www.MktMetrics.com

Details for DIA (Diamonds- Dow 30 Exchange Traded Fund)

Today's Date: 11/22/06
Last Updated: 11/21/06
11/21/06 Final Numbers vs. Tuesday's Forecast
(Open) 123.16 vs. Opening Fair Value: 123.16
(High) 123.32 vs. Predicted High: 123.63
(Low) 122.86 vs. Predicted Low: 122.58
(Close) 123.15
(Range): 0.46 vs. Proposed Range: 1.05

DIA Wednesday Forecast
Opening Fair Value: 123.11
Today's Predicted High: 123.64
Today's Predicted Low: 122.66
Today's Proposed Range: 0.98
Buy/Sell Rating: Buy

Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 96 Unch
Volume Internal Strength: Negative 0.80/0.95 Down
Current Trend: Positive 39 Down from 45
Demand Factor: 100 Up from 99
Stock Volatility: -0.58 Down from -0.45

Predict Today's Upside & Downside Potential
11/21/06 12:45 Close: 123.21
Upside Potential: 124.13
Downside Potential: 122.17


Information for extreme trading days
Predicted Block Trading Activity
1. 125.32
2. 125.61
3. 125.62
4. 125.79

Predicted Block Trading Activity
1. 120.85
2. 120.70
3. 120.69
4. 120.40

DIA Key Moving Averages
8 DAY MOVING AVERAGE = 122.55
21 DAY MOVING AVERAGE = 121.54
30 DAY MOVING AVERAGE = 121.01
42 DAY MOVING AVERAGE = 119.99
50 DAY MOVING AVERAGE = 119.27
65 DAY MOVING AVERAGE = 118.00
30 WEEK MOVING AVERAGE = 114.35
200 DAY MOVING AVERAGE = 113.56

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Stock Market Year End Bonuses On Schedule

"Just Suppose For A Moment, You Know What The Exchange Insiders Know!" MktMetrics Does.

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Tuesday 11-21-06: DJIA close 12,321.59 +5.05 vs. Prior day: 12,316.54 -26.02
DJIA 21-Day Moving Average: 12,155.15 +9.74 vs. Prior day: 12,145.41 +14.96
(the DJIA closed above its 21-day moving average)

Before the U. S. Stock Market Opening
Wednesday November 22 Stock Market Forecast
*DJIA probability of closing "Up" Wednesday: 55%
(*Above 50% Bullish / Below 50% Bearish)


Market Comment: The MktMetrics DJIA forecast has posted 55% probability to be "Up" Wednesday. The DJIA Trend declined to 84% from 87% the previous day. Today is the day before Thanksgiving and the Stock Market has a history of a positive close before a major holiday such as tomorrow. Most Traders have left town already, so expect a subdued day. Moving on to year end bonuses: The Exchange Insiders have sold their inventory for the year and are now figuring out how to divide all the money made off of other peoples' money (OPM). This is the biggest season for cash distributions called Christmas and end of the year bonus. There will be plenty of soft dollars and hard dollars under tree this year for everyone that did good. So be sure to count your blessings at Thanksgiving that the NYSE had a banner year of new highs, and money flows through the Electronic Communication Networks (ECN) were the best ever in the history of the Stock Market. Good luck and Good trading! PS: The day before a major holiday is the best time to short the market. (i.e. short DELL at 42 Christmas Eve 2003) Cheers!

Dow Jones Industrial Average Statistics (Historic High / Low):
DJIA Probability of Being "Up" Wednesday: 55% (High 100% / Low 0%)
DJIA Trend: Falling Today 84% vs. Yesterday 87% (High 94% / Low 10%)
DJIA Momentum: Falling Today 90% vs. Yesterday 94% (High 97% / Low 13%)
DJIA Flow of Funds: Rising Today 90% vs. Yesterday 87% (High 97% / Low 6%)
DJIA Volatility: Rising Today 0.63% vs Yesterday 0.34% (High 2.35% / Low -0.22%)

Institutional Investor Statistics (Historic High / Low):
Exchange Insiders' Inventory: Falling Today .10% vs Yesterday .12% (High .21% / Low -.24%)Mean= -.02%
Institutional Demand: Falling Today 84.23% vs Yesterday 85.52% (High 86.84% / Low 18.65%)Mean= 52.75%
Institutional Inventory: Falling Today 75.97% vs Yesterday 77.39% (High 79.00% / Low 25.23%)Mean= 52.12%
Institutional Accumulation/Distribution Trend: Falling Today .14% vs Yesterday .18%(High .35% / -.41%)Mean= -.03%

Outlook Statistics: Above 50% Bullish - Below 50% Bearish
DJIA Outlook: Bullish Rising Today 87% vs. Yesterday 86% (High 88% / Low 18%)
Stock Market Outlook: Bullish Rising Today 99.5% vs Yesterday 98.2% (High 100.0% / Low 4.8%) (DJIA, S&P 500, Russell 2000 & NASDAQ 100) Aggregate)

One-Year National CD Rate: Unchanged 5.23% vs Yesterday 5.23% (High 5.62% / 2.1%)
******************************************************************************
10-Key ETF Statistics: Above 0% Bullish - Below 0% Bearish
DIA: Falling Trend Today 39% vs. Yesterday 45% (High 70% / Low -48%)
SPY: Rising Trend Today 45% vs. Yesterday 44% (High 73% / Low -54%)
MDY: Unchanged Trend Today 61% vs. Yesterday 61% (High 85% / Low -80%)
IWM: Rising Trend Today 42% vs. Yesterday 39% (High 71% / Low -53%)
QQQQ: Falling Trend Today 37% vs. Yesterday 39% (High 54% / Low -43%)
SMH: Falling Trend Today 13% vs. Yesterday 21% (High 45% / Low -53%)
IYT: Rising Trend Today 23% vs. Yesterday 15% (High 80% / Low -72%)
IDU: Falling Trend Today 22% vs. Yesterday 24% (High 64% / Low -64%)
XLE: Rising Trend Today 31% vs. Yesterday 25% (High 62% / Low -53%)
XLF: Falling Trend Today 17% vs. Yesterday 23% (High 41% / Low -33%)

Information provided by http://www.mktmetrics.com
A Marketing Alliance with Charles Schwab's CyberTrader
Discounts available for Schwab CyberTraders, Corporate Accounts and Trading Rooms

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
Next Day's Advance Market Decisions:
"We're not always right, just very seldom wrong."

Tuesday, November 21, 2006

Stand-out Stocks Tuesday

Information provided by: www.MktMetrics.com

DJIA Probability to be “Up” Tuesday is 61%

Stand-out Long Stocks for 11-21-06:
Symbol/Opening Fair Value (Statistics for Tuesday 11-21-06)
1. AAPL OFV: 86.06
2. AGIL OFV: 6.91
3. AGN OFV: 119.39
4. BCP OFV: 25.82
5. BIIB OFV: 51.21
6. BK OFV: 36.02
7. BRCM OFV: 36.14
8. CMCSK OFV: 40.24
9. CTL OFV: 41.45
10. CWTR OFV: 30.27
11. DRE OFV: 42.84
12. ETR OFV: 89.25
13. FITB OFV: 40.82
14. FMBI OFV: 38.93
15. FXI OFV: 93.34
16. HD OFV: 38.33
17. HLT OFV: 31.32
18. HSIC OFV: 51.38
19. IGE OFV: 98.56
20. IGN OFV: 32.73
21. IGV OFV: 45.72
22. IGW OFV: 63.76
23. IJH OFV: 80.69
24. IJR OFV: 66.10
25. IKN OFV: 15.95
26. INTC OFV: 21.96
27. ISCA OFV: 53.97
28. IVAC OFV: 25.54
29. IYC OFV: 66.69
30. JBX OFV: 58.24
31. KDN OFV: 41.45
32. KLAC OFV: 51.66
33. LZ OFV: 48.00
34. MAC OFV: 83.20
35. MAR OFV: 45.19
36. MBI OFV: 67.11
37. MCRS OFV: 52.12
38. MDP OFV: 53.48
39. MDY OFV: 147.29
40. MIL OFV: 68.02
41. MYGN OFV: 30.01
42. NCR OFV: 44.23
43. NKE OFV: 95.85
44. NVDA OFV: 36.24
45. OHI OFV: 16.80
46. ORCL OFV: 19.44
47. PCL OFV: 35.94
48. PKD OFV: 9.23
49. PPP OFV: 47.52
50. QQQQ OFV: 44.25
51. REXI OFV: 23.39
52. RIGL OFV: 11.24
53. RL OFV: 76.50
54. SCHW OFV: 18.80
55. SFNT OFV: 23.69
56. SIGM OFV: 22.55
57. SKT OFV: 38.56
58. SLGN OFV: 42.94
59. SON OFV: 36.82
60. SPY OFV: 140.40
61. SUPX OFV: 46.99
62. TNOX OFV: 19.66
63. TRA OFV: 10.03
64. TRC OFV: 51.74
65. TWX OFV: 20.47
66. USM OFV: 67.53
67. WST OFV: 50.60
68. XLK OFV: 23.62


Next Day’s Advance Market Decisions:
"We’re not always right, just very seldom wrong."

Dow 30 ETF (DIA) Tuesday Forecast

Information provided by: www.MktMetrics.com

Details for DIA (Diamonds- Dow 30 Exchange Traded Fund)

Today's Date: 11/21/06
Last Updated: 11/20/06
11/20/06 Final Numbers vs. Monday's Forecast
(Open) 123.10 vs. Opening Fair Value: 123.00
(High) 123.45 vs. Predicted High: 123.75
(Low) 122.90 vs. Predicted Low: 122.80
(Close) 123.10
(Range) 0.87 vs. Proprosed Range: 0.93

DIA Tuesday Forecast
Opening Fair Value: 123.16
Today's Predicted High: 123.63
Today's Predicted Low: 122.58
Today's Proposed Range: 1.05
Buy/Sell Rating: Buy


Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 96 Down from 96
Volume Internal Strength: Negative 0.80/0.95 Down
Current Trend: Positive 45 Down from 49
Demand Factor: 99 Down from 100
Stock Volatility: -0.45 Down from 0.03

Predict Today's Upside & Downside Potential
11/20/06 12:45 Close: 123.30
Upside Potential: 124.07
Downside Potential: 121.97


Predicted Block Trading Activity
1. 125.36
2. 125.56
3. 125.56
4. 125.92

Predicted Block Trading Activity
1. 120.98
2. 120.64
3. 120.64
4. 120.44

DIA Key Moving Averages
8 DAY MOVING AVERAGE = 122.29
21 DAY MOVING AVERAGE = 121.43
30 DAY MOVING AVERAGE = 120.85
42 DAY MOVING AVERAGE = 119.79
50 DAY MOVING AVERAGE = 119.10
65 DAY MOVING AVERAGE = 117.85
30 WEEK MOVING AVERAGE = 114.28
200 DAY MOVING AVERAGE = 113.48

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DOW 12,400 May Now Become The Ceiling

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Monday 11-20-06: DJIA close 12,316.54 -26.02 vs. Prior day: 12,342.56 +36.74
DJIA 21-Day Moving Average: 12,145.41 +14.96 vs. Prior day: 12,130.45 +15.76
(the DJIA closed above its 21-day moving average)

Before the U. S. Stock Market Opening
Tuesday November 21 Stock Market Forecast
*DJIA probability of closing "Up" Tuesday: 61%
(*Above 50% Bullish / Below 50% Bearish)


Market Comment: The MktMetrics DJIA forecast has posted 61% probability to be "Up" Tuesday. The DJIA Trend increased to 87% from 84% the previous day. On November 8, 2006, Gale Financial Market Econometrics predicted that the DOW is about to enter into a 1,000 point trading range between 12,400 and 11,400 for quite some time. Monday, the DJIA hit a theorectical high of 12,400.10. This satisfies our objective and we now believe the buying will subside for a while until a pull-back of significance breaks the 21-day and 30-day moving averages. The time to park your money in cash is now. The DJIA MACD is flat, on balance volume (OBV) is flat, the 14-day relative strength (RSI) is flat and the 21-day moving average is starting to weaken. The final "tick" numbers exceeded 1,700 Friday, truly typical of exhaustive buying. Portfolio managers' window dressing of their portfolios is complete for this period and tax related selling activity for 2006 is at hand. The DJIA Least Squares Regression Channel upper band shows much resistance at current levels. The 5 stocks within the DJIA (CAT; JNJ; T; VZ & WMT)that did not participate in the run-up since July 13th, will lead the group going down. Good luck and Good trading.

Dow Jones Industrial Average Statistics (Historic High / Low):
DJIA Probability of Being "Up" Tuesday: 61% (High 100% / Low 0%)
DJIA Trend: Rising Today 87% vs. Yesterday 84% (High 94% / Low 10%)
DJIA Momentum: Unchanged Today 94% vs. Yesterday 94% (High 97% / Low 13%)
DJIA Flow of Funds: Falling Today 87% vs. Yesterday 90% (High 97% / Low 6%)
DJIA Volatility: Falling Today 0.34% vs Yesterday 0.71% (High 2.35% / Low -0.22%)

Institutional Investor Statistics (Historic High / Low):
Exchange Insiders' Inventory: Falling Today .12% vs Yesterday .13% (High .21% / Low -.24%)Mean= -.02%
Institutional Demand: Falling Today 85.52% vs Yesterday 86.84% (High 86.84% / Low 18.65%)Mean= 52.75%
Institutional Inventory: Falling Today 77.39% vs Yesterday 78.00% (High 79.00% / Low 25.23%)Mean= 52.12%
Institutional Accumulation/Distribution Trend: Falling Today .18% vs Yesterday .20%(High .35% / -.41%)Mean= -.03%

Outlook Statistics: Above 50% Bullish - Below 50% Bearish
DJIA Outlook: Bullish Rising Today 86% vs. Yesterday 85% (High 88% / Low 18%)
Stock Market Outlook: Bullish Falling Today 98.2% vs Yesterday 98.3% (High 100.0% / Low 4.8%) (DJIA, S&P 500, Russell 2000 & NASDAQ 100) Aggregate)

One-Year National CD Rate: Falling 5.23% vs Yesterday 5.24% (High 5.62% / 2.1%)
******************************************************************************
10-Key ETF Statistics: Above 0% Bullish - Below 0% Bearish
DIA: Unchanged Trend Today 45% vs. Yesterday 49% (High 70% / Low -48%)
SPY: Falling Trend Today 44% vs. Yesterday 47% (High 73% / Low -54%)
MDY: Rising Trend Today 61% vs. Yesterday 51% (High 85% / Low -80%)
IWM: Rising Trend Today 39% vs. Yesterday 30% (High 71% / Low -53%)
QQQQ: Falling Trend Today 39% vs. Yesterday 40% (High 54% / Low -43%)
SMH: Rising Trend Today 21% vs. Yesterday 14% (High 45% / Low -53%)
IYT: Falling Trend Today 15% vs. Yesterday 23% (High 80% / Low -72%)
IDU: Falling Trend Today 24% vs. Yesterday 35% (High 64% / Low -64%)
XLE: Rising Trend Today 25% vs. Yesterday 19% (High 62% / Low -53%)
XLF: Rising Trend Today 23% vs. Yesterday 20% (High 41% / Low -33%)

Information provided by http://www.mktmetrics.com
A Marketing Alliance with Charles Schwab's CyberTrader
Discounts available for Schwab CyberTraders, Corporate Accounts and Trading Rooms

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
Next Day's Advance Market Decisions:
"We're not always right, just very seldom wrong."

Monday, November 20, 2006

Stand-out Stocks Last Week

Information provided by: www.MktMetrics.com

DJIA closed "UP" +234.13 for the week ending 11-17-06

DJIA Probability to be “Up” Monday is 45%

Stand-out Long Stocks for the week ending 11-17-06:
Symbol/Opening Fair Value (Statistics for Monday 11-20-06)
1. OHI OFV: 16.71
2. CHL OFV: 44.01
3. WRE OFV: 41.38
4. SNX OFV: 22.81
5. EWK OFV: 24.68
6. VFC OFV: 72.23
7. EWL OFV: 24.14
8. IEV OFV: 102.07
9. RDK OFV: 28.57
10. EWG OFV: 25.87
11. SBAC OFV: 27.85
12. TYL OFV: 14.31
13. EPP OFV: 120.82
14. NXL OFV: 27.39
15. ICE OFV: 99.13
16. EWD OFV: 29.91
17. REXI OFV: 25.39
18. SIMG OFV: 12.36
19. LWSN OFV: 7.85
20. DB OFV: 127.37
21. FXI OFV: 93.23
22. CCBL OFV: 9.97
23. KSS OFV: 73.23
24. CRA OFV: 14.90
25. ABT OFV: 47.46


Next Day’s Advance Market Decisions:
"We’re not always right, just very seldom wrong."

Dow 30 ETF (DIA) Monday Forecast

Information provided by: www.MktMetrics.com

Details for DIA (Diamonds- Dow 30 Exchange Traded Fund)

Today's Date: 11/20/06
Last Updated: 11/17/06
11/17/06 Final Numbers vs. Friday's Forecast
(Open) 122.81 vs. Opening Fair Value: 123.14
(High) 123.30 vs. Predicted High: 123.75
(Low) 122.67 vs. Predicted Low: 122.97
(Close) 123.26
(Range) 0.63 vs. Predicted Range: 0.78

DIA Monday Forecast
Opening Fair Value: 123.00
Today's Predicted High: 123.73
Today's Predicted Low: 122.80
Today's Proposed Range: 0.93
Buy/Sell Rating: Buy


Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 96 Down from 97
Volume Internal Strength: Negative 0.90/0.90 Unch
Current Trend: Positive 49 Unch
Demand Factor: 100 Unch
Stock Volatility: 0.03 Down from 0.39

Predict Today's Upside & Downside Potential
11/17/06 12:45 Close: 123.07
Upside Potential: 124.35
Downside Potential: 122.49


Predicted Block Trading Activity
1. 125.12
2. 125.27
3. 125.73
4. 125.77

Predicted Block Trading Activity
1. 120.83
2. 120.79
3. 120.35
4. 120.22

DIA Key Moving Averages
8 DAY MOVING AVERAGE = 122.14
21 DAY MOVING AVERAGE = 121.28
30 DAY MOVING AVERAGE = 120.70
42 DAY MOVING AVERAGE = 119.61
50 DAY MOVING AVERAGE = 118.92
65 DAY MOVING AVERAGE = 117.71
30 WEEK MOVING AVERAGE = 114.21
200 DAY MOVING AVERAGE = 113.41

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Stock Buying Exhaustion May End Streak

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Friday 11-17-06: DJIA close 12,342.56 +36.74 vs. Prior day: 12,305.82 +54.11
DJIA 21-Day Moving Average: 12,130.45 +15.76 vs. Prior day: 12,114.69 +14.91
(the DJIA closed above its 21-day moving average)

Before the U. S. Stock Market Opening
Monday November 20 Stock Market Forecast
*DJIA probability of closing "Up" Monday: 45%
(*Above 50% Bullish / Below 50% Bearish)


Market Comment: The MktMetrics DJIA forecast has posted 45% probability to be "Up" Friday. The DJIA Trend jumped to 84% from 74% the previous day. On November 8, 2006, Gale Financial Market Econometrics predicted that the DOW is about to enter into a 1,000 point trading range between 12,400 and 11,400 for quite some time. Friday, the DJIA hit a theorectical high of 12,390. This satisfies our objective and we now believe the buying will subside for a while until a pull-back of significance breaks the 21-day and 30-day moving averages. The time to park your money in cash is now. Even though the MACD is stronger than a week ago, that could change as early as today because sometimes buying exhaustion sets in as an options and futures cycle expires. The final "tick" numbers exceeded 1,700 Friday, truly typical of exhaustive buying. Portfolio managers' window dressing of their portfolios is complete for this period and tax related selling activity for 2006 is at hand. The DJIA Least Squares Regression Channel upper band shows much resistance at current levels. There are 25 stocks of the DOW 30 that led this index to new highs this week compared to 5 that did not participate (CAT; JNJ; T; VZ & WMT). When the Stock Market does turn south, which we see as imminent, these five stocks will lead the group going down. Good luck and Good trading.

Dow Jones Industrial Average Statistics (Historic High / Low):
DJIA Probability of Being "Up" Monday: 45% (High 100% / Low 0%)
DJIA Trend: Rising Today 84% vs. Yesterday 74% (High 94% / Low 10%)
DJIA Momentum: Unchanged Today 94% vs. Yesterday 94% (High 97% / Low 13%)
DJIA Flow of Funds: Rising Today 90% vs. Yesterday 84% (High 97% / Low 6%)
DJIA Volatility: Falling Today 0.71% vs Yesterday 0.74% (High 2.35% / Low -0.22%)

Institutional Investor Statistics (Historic High / Low):
Exchange Insiders' Inventory: Rising Today .13% vs Yesterday .12% (High .21% / Low -.24%)Mean= -.02%
Institutional Demand: Rising Today 86.84% vs Yesterday 84.06% (High 86.84% / Low 18.65%)Mean= 52.75%
Institutional Inventory: Rising Today 78.00% vs Yesterday 76.97% (High 79.00% / Low 25.23%)Mean= 52.12%
Institutional Accumulation/Distribution Trend: Rising Today .20% vs Yesterday .19%(High .35% / -.41%)Mean= -.03%

Outlook Statistics: Above 50% Bullish - Below 50% Bearish
DJIA Outlook: Bullish Rising Today 85% vs. Yesterday 84% (High 88% / Low 18%)
Stock Market Outlook: Bullish Falling Today 98.3% vs Yesterday 99.1% (High 100.0% / Low 4.8%) (DJIA, S&P 500, Russell 2000 & NASDAQ 100) Aggregate)

One-Year National CD Rate: Unchanged 5.24% vs Yesterday 5.24% (High 5.62% / 2.1%)
******************************************************************************
10-Key ETF Statistics: Above 0% Bullish - Below 0% Bearish
DIA: Unchanged Trend Today 49% vs. Yesterday 49% (High 70% / Low -48%)
SPY: Falling Trend Today 47% vs. Yesterday 48% (High 73% / Low -54%)
MDY: Falling Trend Today 51% vs. Yesterday 54% (High 85% / Low -80%)
IWM: Falling Trend Today 30% vs. Yesterday 34% (High 71% / Low -53%)
QQQQ: Rising Trend Today 40% vs. Yesterday 37% (High 54% / Low -43%)
SMH: Rising Trend Today 14% vs. Yesterday 13% (High 45% / Low -53%)
IYT: Falling Trend Today 23% vs. Yesterday 35% (High 80% / Low -72%)
IDU: Falling Trend Today 35% vs. Yesterday 37% (High 64% / Low -64%)
XLE: Falling Trend Today 19% vs. Yesterday 23% (High 62% / Low -53%)
XLF: Falling Trend Today 20% vs. Yesterday 29% (High 41% / Low -33%)

Information provided by http://www.mktmetrics.com
A Marketing Alliance with Charles Schwab's CyberTrader
Discounts available for Schwab CyberTraders, Corporate Accounts and Trading Rooms

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
Next Day's Advance Market Decisions:
"We're not always right, just very seldom wrong."

Sunday, November 19, 2006

Dow 30 Industrials Buy/Sell

DJIA Probability to be "Up" Monday is 45%

Nightly Analysis Update for Monday's Trading:

Symbol/Signal Demand Range IRS Trend
1. AA BUY 80+ 0.63 58D 0.19+
2. AIG S/BUY 100/ 1.02 96D 0.48+
3. AXP BUY 96+ 0.39 98U 0.08+
4. BA S/BUY 69+ 1.31 93U 0.40+
5. C S/BUY + 100+ 0.59 89U 0.25+
6. CAT S/SELL 8/ 0.82 27U -0.67+
7. DD S/BUY 98- 0.74 93D 0.30+
8. DIA BUY 100/ 0.93 96D 0.49/
9. DIS S/BUY 95- 0.81 77D 0.44+
10. GE S/BUY + 88+ 0.38 94U 0.02+
11. GM BUY 97/ 0.63 77D 0.30+
12. HD S/BUY 100/ 1.06 93U 0.38+
13. HON BUY 94- 0.49 89D 0.13/
14. HPQ S/BUY 100+ 0.55 79D 0.10+
15. IBM BUY 78+ 1.13 93U 0.38+
16. INTC BUY 92- 0.52 93D 0.18+
17. JNJ S/BUY 100/ 1.10 58U 0.09+
18. JPM BUY 95- 0.53 77D 0.15+
19. KO S/BUY 100/ 0.44 88U 0.41+
20. MCD BUY 98+ 0.58 69U 0.20+
21. MMM BUY 31+ 0.99 77U 0.33+
22. MO BUY 100+ 0.80 89U 0.33+
23. MRK S/BUY 100/ 0.83 77U 0.30+
24. MSFT BUY - 90/ 0.26 89D 0.06+
25. PFE S/BUY 100/ 0.61 68U 0.20+
26. PG BUY 100+ 0.65 76U 0.34+
27. T BUY + 75+ 0.75 52U -0.05+
28. UTX S/BUY + 91- 0.88 87D 0.13+
29. VZ SELL 100/ 0.76 48D 0.14+
30. WMT SELL 17- 0.75 32D -0.20+
31. XOM BUY 100+ 0.89 86D 0.45+


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Saturday, November 18, 2006

The MktMetrics Weekly Stock Market Analysis

Our belief is that the Stock Market is controlled by the Specialists and Market Makers or Exchange Insiders. We developed MktMetrics over a four year period and performed a 30-year computer generated study to test our findings. Our sole purpose was to produce a mirror image of where the Exchange Insiders buy and sell their stock inventory. We hope you will subscribe to http://www.mktmetrics.com/ for $40.00 monthly and financially benefit by its consistently accurate daily results. After performing our extensive research, we found that the Exchange Insiders control the direction of the Stock Market by moving individual members of the Dow Jones Industrial Average to establish a trend for the purpose of accumulating at wholesale and distributing at retail, their stock inventory for maximum gain. Ergo, we pay strict attention to the numbers generated from the MktMetrics program to spot their intent. To that end, our focus is concentrated on the Dow Jones Industrial Average.
Dow Jones Industrials trading Range: High 12,390.74 - Low 9,961.52 = 2,429.22

Week Ending November 17, 2006
MktMetrics Weekly Stock Market Analysis:


DJIA Outlook: Bullish Rising 85% vs Last week: 82% (High 88% / Low 12%)
DJIA Closed: 12,342.56 vs Last week: 12,108.43 +234.13 / Prior week: +122.15
21-day M/A: 12,130.45 vs Last week: 12,065.95 +64.50 / Prior week: +60.74
DJIA Trend: Rising 84% vs Last week: 68% (High 94% / Low 10%)
DJIA Momentum: Unchanged 94% vs Last week: 94% (High 97% / Low 10%)
DJIA Volatility: Rising 0.71% vs Last week: 0.38% (High 2.35% / Low -0.22%)
DJIA Resistance: Rising Near Term 12,343 vs Last week: 12,277
DJIA Resistance: Rising Intermediate Term 12,555 vs Last week: 12,488
DJIA Support: Rising Near Term 11,918 vs Last week: 11,855
DJIA Support: Rising Intermediate Term 11,706 vs Last week: 11,644
DJIA Money Flow Index: Rising 90% vs Last week: 81% (High 97% / Low 08%)
DJIA Directional Indicator: +15.8 vs Last week: +7.7 (High 35.4 / Low -35.8)
21-Day M/A Price A/D Line: +333 vs Last week: +312 (High 647 / Low -455)
21-Day M/A Volume A/D Line: +6 vs Last week: -66 (High 188/ Low -439)
DJIA Price vs 21-Day M/A: +1.75% vs Last week: +0.35% (High 4.36% / Low -3.56%)
DJIA Moving Average Convergence/Divergence(MACD): BUY(+) vs Last week: SELL(-)
DJIA Overbought/Oversold (CCI): +155 vs Last week: +15 (High 255 / Low -202)
DJIA Stochastic 20-Day Indicator: 86 vs Last week: 72 (High 100 / Low 00)
DJIA Relative Strength 14-Day Indicator: 71 vs Last week: 49 (High 97 / Low 12)
DJIA Today vs 50-Day M/A Volume: 1.1 vs Last week: 0.9 (High 1.4 / Low 0.4)

Stock Market Outlook: Bullish Rising 98.3% vs Last week: 94.8% (100.0% / Low 8.0%)
Exchange Insiders' Inventory: Rising .13% vs Last week: .10% (High .19%/Low -.24%)
Institutional Demand Factor: Rising 86.8 vs Last week: 79.2 (High 86.8 / Low 18.7)
Institutional Inventory Factor: Rising 78.0 vs Last week: 69.0 (High 79.0 / 25.2)
Institutional Accumulation/Distribution Trend: Rising .20 vs Last week: .12 (High .35 / -.41)
Institutional Sentiment Index: Rising 116 vs Last week: 115 (High 124 / Low 68)
Speculation Indicator: Rising +.07 vs Last week: -.07 (High +.78 / Low -.71)
One-Year National CD Rate: Rising 5.24% vs Last week: 5.23% (5.62 / Low 2.1%)
*********************************************************************************
Exchange Traded Funds- Trend/Sector Analysis: (Change +/-)
Symbol/Trend/Historic(High-Low)/Rating/Demand Factor
Diamonds-Dow 30
DIA: +.49 vs Last week: +.40 (High .70 / Low -.48) Rating: BUY Demand Factor: 100+
SPDR-S&P 500
SPY: +.47 vs Last week: +.36 (High .73 / Low -.54) Rating: BUY Demand Factor: 100+
SPDR-S&P 400 Mid-Cap
MDY: +.51 vs Last week: +.30 (High .85 / Low -.80) Rating: BUY Demand Factor: 100/
Russell 2000 Small-Cap
IWM: +.30 vs Last week: +.27 (High .71 / Low -.42) Rating: BUY Demand Factor: 100/
Nasdaq 100 Large Growth
QQQQ: +.40 vs Last week: +.19 (High .54 / Low -.35) Rating: BUY Demand Factor: 100/
1. Biotech
BBH: +.29 vs Last week: +.19 (High 1.58 / Low -1.02)Rating: BUY Demand Factor: 100+
2. Broadband
BDH: -.14 vs Last week: -.33 (High .57 / Low -.54) Rating: SELL Demand Factor: 12+
3. Central Fund of Canada (Physical Precious Metals)
CEF: +.18 vs Last week: +.24 (High .41 / Low -.29) Rating: BUY Demand Factor: 81/
4. Deutsche Bank Commodity Index Tracking ETF
DBC: +.19 vs Last week: +.28 (High .56 / Low -.65) Rating: BUY Demand Factor: 99/
5. Emerging Markets
EEM: +.34 vs Last week: +.27 (High .84 / Low -.16) Rating: BUY Demand Factor: 93+
6. EAFE Global Equities (Europe, Australasia and Far East)
EFA: +.32 vs Last week: +.30 (High .56 / Low -.37) Rating: BUY Demand Factor: 100+
7. Pacific ex-Japan
EPP: +.43 vs Last week: +.48 (High .71 / Low -31) Rating: BUY Demand Factor: 92+
8. Canada
EWC: +.34 vs Last week: +.49 (High .52 / Low -.29) Rating: BUY Demand Factor: 92-
9. Sweden
EWD: +.46 vs Last week: +.44 (High .66 / Low -.26) Rating: BUY Demand Factor: 100/
10. Germany
EWG: +.17 vs Last week: +.17 (High .61 / Low -.19) Rating: BUY Demand Factor: 100+
11. Hong Kong
EWH: +.28 vs Last week: +.18 (High .43 / Low -.25) Rating: BUY Demand Factor: 98/
12. Japan
EWJ: +.15 vs Last week: +.11 (High .63 / Low -.43) Rating: BUY Demand Factor: 100+
13. Belgium
EWK: +.28 vs Last week: +.39 (High .60 / Low -.21) Rating: BUY Demand Factor: 100+
14. Switzerland
EWL: +.39 vs Last week: +.34 (High .64 / Low -.20) Rating: BUY Demand Factor: 100/
15. Malaysia
EWM: +.08 vs Last week: +.07 (High .29 / Low -.21) Rating: BUY Demand Factor: 90-
16. Netherlands
EWN: +.32 vs Last week: +.32 (High .49 / Low -.14) Rating: BUY Demand Factor: 100+
17. France
EWQ: +.30 vs Last week: +.30 (High .56 / Low -.36) Rating: BUY Demand Factor: 97+
18. Singapore
EWS: +.03 vs Last week: -.05 (High .38 / Low -.21) Rating: BUY Demand Factor: 82+
19. Taiwan
EWT: +.12 vs Last week: +.05 (High .23 / Low -.21) Rating: BUY Demand Factor: 85+
20. United Kingdom
EWU: +.29 vs Last week: +.29 (High .69 / Low -.20) Rating: BUY Demand Factor: 100+
21. Mexico
EWW: +.08 vs Last week: +.12 (High .50 / Low -.31) Rating: BUY Demand Factor: 90+
22. South Korea
EWY: +.55 vs Last week: +.49 (High .43 / Low -.53) Rating: BUY Demand Factor: 100/
23. Brazil
EWZ: +.22 vs Last week: +.17 (High .65 / Low -.28) Rating: BUY Demand Factor: 98+
24. Xinhua China
FXI: +.65 vs Last week: +.46 (High .62 / Low -.32) Rating: BUY Demand Factor: 100+
25. Street TRACKS Gold Trust
GLD: +.21 vs Last week: +.40 (High .54 / Low -.61) Rating: BUY Demand Factor: 85-
26. Internet
HHH: +.42 vs Last week: +.29 (High .50 / Low -.75) Rating: BUY Demand Factor: 95+
27. Internet Architecture
IAH: +.33 vs Last week: +.12 (High .65 / Low -.60) Rating: BUY Demand Factor: 93+
28. Comex Gold
IAU: +.21 vs Last week: +.36 (High .81 / Low -.65) Rating: BUY Demand Factor: 69+
29. Biotechnology
IBB: +.47 vs Last week: +.41 (High .58 / Low -.62) Rating: BUY Demand Factor: 100/
30. Utilities
IDU: +.35 vs Last week: +.53 (High .59 / Low -.54) Rating: BUY Demand Factor: 96-
31. S&P Europe 350 Index
IEV: +.46 vs Last week: +.70 (High .81 / Low -.48) Rating: BUY Demand Factor: 100+
32. Natural Resources
IGE: +.32 vs Last week: +.56 (High .88 / Low -.72) Rating: BUY Demand Factor: 100+
33. Networking
IGN: +.26 vs Last week: +.11 (High .38 / Low -.50) Rating: BUY Demand Factor: 100+
34. Software
IGV: +.36 vs Last week: +.19 (High .33 / Low -.60) Rating: BUY Demand Factor: 100+
35. Semiconductor
IGW: +.25 vs Last week: -.19 (High .62 / Low -.75) Rating: BUY+ Demand Factor: 100+
36. Internet Infrastructure
IIH: +.31 vs Last week: +.28 (High .37 / Low -.23) Rating: BUY Demand Factor: 93-
37. Mid-Cap 400 Blend
IJH: +.25 vs Last week: +.25 (High .44 / Low -.30) Rating: BUY Demand Factor: 100+
38. Mid-Cap 400 Growth
IJK: +.41 vs Last week: +.39 (High .48 / Low -.52) Rating: BUY Demand Factor: 100/
39. Small-Cap 600
IJR: +.24 vs Last week: +.23 (High .83 / Low -.41) Rating: BUY Demand Factor: 100+
40. S&P Latin America 40 Index
ILF: +.41 vs Last week: +.40 (High 1.19 / Low -.60)Rating: BUY Demand Factor: 100+
41. S&P 1500 Index
ISI: +.37 vs Last week: +.33 (High .79 / Low -.41) Rating: BUY Demand Factor: 100+
42. S&P/TOPIX 150 Japan Index
ITF: +.08 vs Last week: +.18 (High .92 / Low -.90) Rating: BUY Demand Factor: 100+
43. Global Financial
IXG: +.35 vs Last week: +.30 (High .79 / Low -.35) Rating: BUY Demand Factor: 100+
44. Consumer Cyclical
IYC: +.58 vs Last week: +.45 (High .78 / Low -.64) Rating: BUY Demand Factor: 100+
45. Energy
IYE: +.07 vs Last week: +.52 (High .79 / Low -.69) Rating: BUY Demand Factor: 11-
46. Healthcare
IYH: +.30 vs Last week: +.18 (High .39 / Low -.44) Rating: BUY Demand Factor: 100/
47. Industrial
IYJ: +.26 vs Last week: +.17 (High .52 / Low -.35) Rating: BUY Demand Factor: 100+
48. Consumer Non-Cyclical
IYK: +.67 vs Last week: +.68 (High .58 / Low -.56) Rating: BUY Demand Factor: 100/
49. Basic Materials
IYM: +.22 vs Last week: +.30 (High .51 / Low -.52) Rating: BUY Demand Factor: 98+
50. Real Estate
IYR: +.15 vs Last week: +.12 (High .62 / Low -.38) Rating: BUY Demand Factor: 100+
51. Transportation
IYT: +.23 vs Last week: +.07 (High .80 / Low -.52) Rating: BUY Demand Factor: 98+
52. Technology
IYW: +.14 vs Last week: -.00 (High .42 / Low -.50) Rating: BUY+ Demand Factor: 84+
53. Telecommunications
IYZ: +.25 vs Last week: +.11 (High .43 / Low -.30) Rating: BUY+ Demand Factor: 83+
54. Oil Services
OIH: +.26 vs Last week: +.68 (High 1.63/ Low -.129) Rating: BUY Demand Factor: 88+
55. PowerShares WilderHill Clean Energy
PBW: +.24 vs Last week: +.19 (High .31 / Low -.24) Rating: BUY Demand Factor: 79-
56. Pharmaceutical
PPH: -.06 vs Last week: -.13 (High .49 / Low -.61) Rating: BUY+ Demand Factor: 73+
57. PowerShares Dynamic OTC
PWO: -.52 vs Last week: -.52 (High .36 / Low -.54) Rating: SELL Demand Factor: 06+
58. Regional Bank
RKH: +.11 vs Last week: +.14 (High .88 / Low -.48) Rating: BUY Demand Factor: 94-
59. MS Eastern Europe Fund
RNE: +.19 vs Last week: +.59 (High .41 / Low -.29) Rating: BUY Demand Factor: 62-
60. Retail
RTH: +.09 vs Last week: -.14 (High .60 / Low -.58) Rating: BUY+ Demand Factor: 94+
61. Silver Trust
SLV: +0.41 vs Last week: +1.01 (High 1.08 / Low -.88)Rating: BUY Demand Factor: 68-
62. Semiconductor
SMH: +.14 vs Last week: -.21 (High .45 / Low -.52) Rating: BUY+ Demand Factor: 98+
63. Software
SWH: +.25 vs Last week: +.10 (High .51 / Low -.41) Rating: BUY Demand Factor: 100+
64. Lehman 20+ Treasury Bond Fund
TLT: +.28 vs Last week: +.37 (High .53 / Low -.44) Rating: BUY Demand Factor: 93-
65. Telecommunications
TTH: +.03 vs Last week: -.15 (High .54 / Low -.31) Rating: BUY Demand Factor: 97+
66. Utilities
UTH: +.18 vs Last week: +.36 (High .68 / Low -.65) Rating: BUY Demand Factor: 71+
67. Wireless
WMH: +.12 vs Last week: -.18 (High .55 / Low -.64) Rating: BUY+ Demand Factor: 43+
68. Homebuilders
XHB: +.12 vs Last week: -.29 (High .69 / Low -.43) Rating: BUY+ Demand Factor: 53+
69. Materials Select Sector
XLB: +.13 vs Last week: +.13 (High .34 / Low -.41) Rating: BUY Demand Factor: 90+
70. S&P Energy Select
XLE: +.19 vs Last week: +.38 (High .76 / Low -.51) Rating: BUY Demand Factor: 96/
71. S&P Financial Select
XLF: +.20 vs Last week: +.15 (High .46 / Low -.23) Rating: BUY Demand Factor: 90+
72. Technology
XLK: +.28 vs Last week: +.10 (High .36 / Low -.32) Rating: BUY Demand Factor: 100+
73. Industrial Select Sector SPDR
XLI: +.34 vs Last week: +.15 (High .46 / Low -.23) Rating: BUY Demand Factor: 100+
74. Consumer Staples
XLP: +.17 vs Last week: +.26 (High .40 / Low -.29) Rating: BUY Demand Factor: 99+
75. Healthcare Select
XLV: +.16 vs Last week: +.11 (High .48 / Low -.28) Rating: BUY Demand Factor: 100+
76. Industrial Sector
XLY: +.34 vs Last week: +.19 (High .52 / Low -.45) Rating: BUY Demand Factor: 100/
77. Mining & Metals Sector
XME: +.02 vs Last week: +.14 (High .77 / Low -.35) Rating: SELL- Demand Factor: 38+

Information provided by: www.MktMetrics.com
A Marketing Alliance with Charles Schwab's CyberTrader
Discounts available for Schwab CyberTraders, Corporate Accounts and Trading Rooms

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
"Just Suppose For A Moment, You Know What The Exchange Insiders Know!" MktMetrics Does.

Friday, November 17, 2006

DOW 30 (DIA) Friday Forecast

Information provided by: www.MktMetrics.com

Details for DIA (Diamonds- Dow 30 Exchange Traded Fund)

Today's Date: 11/17/06
Last Updated: 11/16/06
11/16/06 Final Numbers vs. Thursday's Forecast
(Open) 123.05 vs. Opening Fair Value: 122.65
(High) 123.45 vs. Predicted High: 123.10 / Upside Potential: 123.51
(Low) 122.80 vs. Predicted Low: 122.29 / Downside Potential: 121.89
(Close) 123.36
(Range) 0.65 vs. Proposed Range: 0.81

DIA Friday Forecast
Opening Fair Value: 123.14
Today's Predicted High: 123.75
Today's Predicted Low: 122.97
Today's Proposed Range: 0.78
Buy/Sell Rating: Buy


Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 97 Up from 94
Volume Internal Strength: Negative 0.90/0.88 Up
Current Trend: Positive 49 Up from 43
Demand Factor: 100 Unchanged
Stock Volatility: 0.39 Down from 0.87

Predict Today's Upside & Downside Potential
11/16/06 12:45 Close: 123.10
Upside Potential: 124.30
Downside Potential: 122.74


Predicted Block Trading Activity
1. 125.26
2. 125.51
3. 125.83
4. 125.92

Predicted Block Trading Activity
1. 120.98
2. 120.89
3. 120.59
4. 120.34

DIA Key Moving Averages
8 DAY MOVING AVERAGE = 121.92
21 DAY MOVING AVERAGE = 121.13
30 DAY MOVING AVERAGE = 120.55
42 DAY MOVING AVERAGE = 119.44
50 DAY MOVING AVERAGE = 118.73
65 DAY MOVING AVERAGE = 117.56
30 WEEK MOVING AVERAGE = 114.14
200 DAY MOVING AVERAGE = 113.33

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Thursday 11-16-06: DJIA close 12,305.82 +54.11 vs. Prior day: 12,251.71 +33.70
DJIA 21-Day Moving Average: 12,114.69 +14.91 vs. Prior day: 12,099.78 +14.36
(the DJIA closed above its 21-day moving average)

Before the U. S. Stock Market Opening
Friday November 17 Stock Market Forecast
*DJIA probability of closing "Up" Friday: 23%
(*Above 50% Bullish / Below 50% Bearish)


Market Comment: The MktMetrics DJIA forecast has posted 23% probability to be "Up" Friday. The DJIA Trend declined to 74% from 77% the previous day. A few weeks ago, we predicted that the DOW is about to enter into a 1,000 point trading range between 12,400 and 11,400 for quite some time. Yesterday, the DJIA hit a theorectical high of 12,375. This satisfies our objective and we now believe the buying will subside for a while until a pull-back of significance breaks the 21-day moving average and beyond. The time to park your money in cash is now. Even though the MACD is stronger than a week ago, that could change as early as today. Our confidence in our prediction stems from the fact that the DJIA Trend has just turned lower once again and this tells us to back away, just as the Exchange Insiders will from filling orders with their own capital. Our internal generated advance/decline line turned lower Thursday, confirming that the DJIA Trend is accurately saying caution is advised here. The portfolio managers' window dressing of their portfolios is complete for this period and tax related selling activity for 2006 is at hand. The DJIA Least Squares Regression Channel upper band shows much resistance at current levels. There are 25 stocks of the DOW 30 that led this index to new highs this week compared to 5 that did not participate (CAT; GE; T; VZ & WMT). When the Stock Market does turn south, which we see as imminent, these five stocks will lead the group going down. Be sure to catch the Weekly Edition of MktMetrics and the Sunday DOW Buy/Sell analysis. Good luck and Good trading.

Dow Jones Industrial Average Statistics (Historic High / Low):
DJIA Probability of Being "Up" Friday: 23% (High 100% / Low 0%)
DJIA Trend: Rising Today 74% vs. Yesterday 77% (High 94% / Low 10%)
DJIA Momentum: Unchanged Today 94% vs. Yesterday 94% (High 97% / Low 13%)
DJIA Flow of Funds: Unchanged Today 84% vs. Yesterday 84% (High 97% / Low 6%)
DJIA Volatility: Rising Today 0.74% vs Yesterday 0.67% (High 2.35% / Low -0.22%)

Institutional Investor Statistics (Historic High / Low):
Exchange Insiders' Inventory: Rising Today .12% vs Yesterday .11% (High .21% / Low -.24%)Mean= -.02%
Institutional Demand: Rising Today 84.06% vs Yesterday 83.52% (High 84.81% / Low 18.65%)Mean= 51.73%
Institutional Inventory: Rising Today 76.97% vs Yesterday 73.87% (High 79.00% / Low 25.23%)Mean= 52.12%
Institutional Accumulation/Distribution Trend: Rising Today .19% vs Yesterday .17%(High .35% / -.41%)Mean= -.03%

Outlook Statistics: Above 50% Bullish - Below 50% Bearish
DJIA Outlook: Bullish Rising Today 84% vs. Yesterday 83% (High 88% / Low 18%)
Stock Market Outlook: Bullish Falling Today 99.1% vs Yesterday 99.5% (High 100.0% / Low 4.8%) (DJIA, S&P 500, Russell 2000 & NASDAQ 100) Aggregate)

One-Year National CD Rate: Unchanged 5.24% vs Yesterday 5.24% (High 5.62% / 2.1%)
******************************************************************************
10-Key ETF Statistics: Above 0% Bullish - Below 0% Bearish
DIA: Rising Trend Today 49% vs. Yesterday 43% (High 70% / Low -48%)
SPY: Rising Trend Today 48% vs. Yesterday 43% (High 73% / Low -54%)
MDY: Rising Trend Today 54% vs. Yesterday 51% (High 85% / Low -80%)
IWM: Unchanged Trend Today 34% vs. Yesterday 34% (High 71% / Low -53%)
QQQQ: Rising Trend Today 37% vs. Yesterday 31% (High 54% / Low -43%)
SMH: Rising Trend Today 13% vs. Yesterday 1% (High 45% / Low -53%)
IYT: Rising Trend Today 35% vs. Yesterday 19% (High 80% / Low -72%)
IDU: Falling Trend Today 37% vs. Yesterday 47% (High 64% / Low -64%)
XLE: Falling Trend Today 23% vs. Yesterday 33% (High 62% / Low -53%)
XLF: Rising Trend Today 29% vs. Yesterday 21% (High 41% / Low -33%)

Information provided by http://www.mktmetrics.com
A Marketing Alliance with Charles Schwab's CyberTrader
Discounts available for Schwab CyberTraders, Corporate Accounts and Trading Rooms

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
Next Day's Advance Market Decisions:
"We're not always right, just very seldom wrong."

Thursday, November 16, 2006

DIA Thursday Forecast

Information provided by: www.MktMetrics.com

Details for DIA (Diamonds- Dow 30 Exchange Traded Fund)

Today's Date: 11/16/06
Last Updated: 11/15/06
11/15/06 Final Numbers vs. Wednesday's Forecast
(Open) 122.34 vs. Opening Fair Value: 121.79
(High) 123.11 vs. Predicted High: 122.80
(Low) 122.28 vs. Predicted Low: 121.85
(Close) 122.69
(Range) 0.83 vs. Proposed Range: 0.95

DIA Thursday Forecast
Opening Fair Value: 122.65
Today's Predicted High: 123.10
Today's Predicted Low: 122.29
Today's Proposed Range: 0.81
Buy/Sell Rating: Buy


Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 94 Up from 90
Volume Internal Strength: Negative 1.20/0.95 Up
Current Trend: Positive 43 Down from 44
Demand Factor: 100 Unch
Stock Volatility: 0.87 Down from 2.48

Predict Today's Upside & Downside Potential
11/15/06 12:45 Close: 122.68
Upside Potential: 123.51
Downside Potential: 121.89


Predicted Block Trading Activity
1. 124.73
2. 124.79
3. 125.14
4. 125.57

Predicted Block Trading Activity
1. 120.65
2. 120.24
3. 119.89
4. 119.83

DIA Key Moving Averages
8 DAY MOVING AVERAGE = 121.63
21 DAY MOVING AVERAGE = 120.97
30 DAY MOVING AVERAGE = 120.39
42 DAY MOVING AVERAGE = 119.25
50 DAY MOVING AVERAGE = 118.54
65 DAY MOVING AVERAGE = 117.40
30 WEEK MOVING AVERAGE = 114.06
200 DAY MOVING AVERAGE = 113.26

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Thursday Should Be A Down Day

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Wednesday 11-15-06: DJIA close 12,251.71 +33.70 vs. Prior day: 12,218.01 +86.13
DJIA 21-Day Moving Average: 12,099.78 +14.36 vs. Prior day: 12,085.42 +11.31
(the DJIA closed above its 21-day moving average)

Before the U. S. Stock Market Opening
Thursday November 16 Stock Market Forecast
*DJIA probability of closing "Up" Thursday: 42%
(*Above 50% Bullish / Below 50% Bearish)


Market Comment: The MktMetrics DJIA forecast has posted 42% probability to be "Up" Thursday. The DJIA Trend rose to 77% from 74% the previous day. There is always much volatility of an expiring Futures and Options cycle as we are experiencing at this time. We are perplexed at the strength of this market. Still, the DJIA Least Squares Regression Channel upper band shows much resistance at current levels. There are 25 stocks of the DOW 30 that are leading the charge forward that have positive momentum compared to 5 that have negative momentum (CAT; GE; T; VZ & WMT). When the Stock Market does turn south, these five stocks that have not participated in the recent run-up to new highs will lead the group down. We expect today to be a down day for traders. Futures and Options expire tomorrow. Good luck and Good trading.

Dow Jones Industrial Average Statistics (Historic High / Low):
DJIA Probability of Being "Up" Thursday: 42% (High 100% / Low 0%)
DJIA Trend: Rising Today 77% vs. Yesterday 74% (High 94% / Low 10%)
DJIA Momentum: Unchanged Today 94% vs. Yesterday 94% (High 97% / Low 13%)
DJIA Flow of Funds: Rising Today 84% vs. Yesterday 77% (High 97% / Low 6%)
DJIA Volatility: Falling Today 0.67% vs Yesterday 1.10% (High 2.35% / Low -0.22%)

Institutional Investor Statistics (Historic High / Low):
Exchange Insiders' Inventory: Unchanged Today .11% vs Yesterday .11% (High .21% / Low -.24%)Mean= -.02%
Institutional Demand: Falling Today 83.52% vs Yesterday 83.65% (High 84.81% / Low 18.65%)Mean= 51.73%
Institutional Inventory: Rising Today 73.87% vs Yesterday 72.10% (High 79.00% / Low 25.23%)Mean= 52.12%
Institutional Accumulation/Distribution Trend: Rising Today .17% vs Yesterday .16%(High .35% / -.41%)Mean= -.03%

Outlook Statistics: Above 50% Bullish - Below 50% Bearish
DJIA Outlook: Bullish Rising Today 83% vs. Yesterday 82% (High 88% / Low 18%)
Stock Market Outlook: Bullish Rising Today 99.5% vs Yesterday 98.5% (High 100.0% / Low 4.8%) (DJIA, S&P 500, Russell 2000 & NASDAQ 100) Aggregate)

One-Year National CD Rate: Unchanged 5.24% vs Yesterday 5.24% (High 5.62% / 2.1%)
******************************************************************************
10-Key ETF Statistics: Above 0% Bullish - Below 0% Bearish
DIA: Rising Trend Today 43% vs. Yesterday 44% (High 70% / Low -48%)
SPY: Rising Trend Today 43% vs. Yesterday 41% (High 73% / Low -54%)
MDY: Rising Trend Today 51% vs. Yesterday 40% (High 85% / Low -80%)
IWM: Rising Trend Today 34% vs. Yesterday 28% (High 71% / Low -53%)
QQQQ: Rising Trend Today 31% vs. Yesterday 29% (High 54% / Low -43%)
SMH: Rising Trend Today 1% vs. Yesterday -6% (High 45% / Low -53%)
IYT: Falling Trend Today 19% vs. Yesterday 3% (High 80% / Low -72%)
IDU: Falling Trend Today 47% vs. Yesterday 51% (High 64% / Low -64%)
XLE: Falling Trend Today 33% vs. Yesterday 26% (High 62% / Low -53%)
XLF: Rising Trend Today 21% vs. Yesterday 23% (High 41% / Low -33%)

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Next Day's Advance Market Decisions:
"We're not always right, just very seldom wrong."

Wednesday, November 15, 2006

MktMetrics NIFTY FIFTY Stock Portfolio

Updated before the Market opening 11-15-06

DJIA Probability to be “Up” Wednesday is 23%

Suggested Long Stocks:
Symbol/Opening Fair Value (Wednesday, 11-15-06)
1. OHI OFV: 16.50
2. CHL OFV: 43.20
3. EWK OFV: 24.82
4. TYL OFV: 13.85
5. IEV OFV: 102.35
6. RDK OFV: 28.36
7. NXL OFV: 27.38
8. REXI OFV: 24.49
9. SIMG OFV: 12.30
10. EWD OFV: 30.17
11. CRA OFV: 14.39
12. UDR OFV: 31.20
13. LWSN OFV: 7.91
14. FXI OFV: 91.49
15. UBS OFV: 60.45
16. MLNM OFV: 11.24
17. MENT OFV: 17.51
18. EWU OFV: 23.09
19. CELG OFV: 55.07
20. MAT OFV: 23.39
21. ITF OFV: 120.43
22. MOGN OFV: 18.92
23. LZ OFV: 47.40
24. ESS OFV: 127.59
25. PLCM OFV: 28.92


Suggested Short Stocks:
Symbol/Opening Fair Value (Wednesday, 11-15-06)
1. BDH OFV: 16.62
2. NOVL OFV: 6.70
3. PGR OFV: 22.84
4. SALM OFV: 11.55
5. HET OFV: 75.10
6. APOL OFV: 33.83
7. BC OFV: 31.28
8. PLAB OFV: 15.09
9. AMTD OFV: 16.40
10.SNDK OFV: 46.06
11.UNH OFV: 47.20
12.CVS OFV: 29.14
13.INTL OFV: 21.03
14.BNT OFV: 10.01
15.CC OFV: 24.30
16.SIE OFV: 31.91
17.WIRE OFV: 23.85
18.LUV OFV: 15.38
19.LNCR OFV: 35.02
20.FCS OFV: 16.63
21.TXN OFV: 29.33
22.CVH OFV: 45.36
23.CAT OFV: 60.07
24.IP OFV: 32.78
25.KVHI OFV: 11.60


Next Day’s Advance Market Decisions:
"We’re not always right, just very seldom wrong."

DIA Wednesday Forecast

Information provided by: www.MktMetrics.com

Details for DIA (Diamonds- Dow 30 Exchange Traded Fund)

Today's Date: 11/15/06
Last Updated: 11/14/06
11/14/06 Final Numbers vs. Tuesday's Forecast
(Open) 121.67 vs. Opening Fair Value: 121.36
(High) 122.45 vs. Predicted High: 121.85 / Potential High: 122.31
(Low) 120.99 vs. Predicted Low: 120.85
(Close) 122.32
(Range) 1.46 vs. Proposed Range: 1:00

DIA Wednesday Forecast
Opening Fair Value: 121.79
Today's Predicted High: 122.80
Today's Predicted Low: 121.85
Today's Proposed Range: 0.95
Buy/Sell Rating: Buy


Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 90 Up from 85
Volume Internal Strength: Negative 1.10/0.98 Up
Current Trend: Positive 44 Up from 37
Demand Factor: 100 Up from 99
Stock Volatility: 2.48 Up from 0.52

Predict Today's Upside & Downside Potential
11/14/06 12:45 Close: 121.32
Upside Potential: 123.81
Downside Potential: 121.85


Predicted Block Trading Activity
1. 123.41
2. 124.10
3. 124.77
4. 124.90

Predicted Block Trading Activity
1. 120.00
2. 119.87
3. 119.24
4. 118.57

DIA Key Moving Averages
8 DAY MOVING AVERAGE = 121.26
21 DAY MOVING AVERAGE = 120.82
30 DAY MOVING AVERAGE = 120.24
42 DAY MOVING AVERAGE = 119.08
50 DAY MOVING AVERAGE = 118.37
65 DAY MOVING AVERAGE = 117.24
30 WEEK MOVING AVERAGE = 113.98
200 DAY MOVING AVERAGE = 113.19

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Stock Market Seduces Investors Back In

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Tuesday 11-13-06: DJIA close 12,218.01 +86.13 vs. Prior day: 12,131.88 +23.45
DJIA 21-Day Moving Average: 12,085.42 +11.31 vs. Prior day: 12,074.11 +8.16
(the DJIA closed above its 21-day moving average)

Before the U. S. Stock Market Opening
Wednesday November 15 Stock Market Forecast
*DJIA probability of closing "Up" Wednesday: 23%
(*Above 50% Bullish / Below 50% Bearish)


Market Comment: The MktMetrics DJIA forecast has posted 23% probability to be "Up" Wednesday. The DJIA Trend rose to 74% from 68% the previous day. There is always much volatility during the last few days of an expiring Futures and Options cycle as we are experiencing at this time. Professional Day Traders and Hedge Fund Operators have a dictum: "Always close out positions and don't keep stocks overnight." This is a good policy to trade by because you never know what could happen overnight or early the next day that could impede a perceived trend developing. We are perplexed at the strength of this market. Still, the DJIA Least Squares Regression upper band shows much resistance at current levels. There remains 23 stocks of the DOW 30 that are leading the charge forward that have positive momentum compared to 7 that have negative momentum (CAT; GE; INTC; T; UTX; VZ & WMT). We believe that the Stock Market is manipulated by the Exchange Insiders. There is a concerted effort to unwind positions by raising some prices within the DJIA so that others can be lowered. As an example, yesterday AXP was pushed higher, while T was pushed lower. The Exchange Insiders leave footprints that allow sophisticated computer programs such as MktMetrics.com to track the activity that is created by this exclusive club. In summary, we remain cautious on this current move into higher ground based upon the fact that futures and options expiration cycles are that of folly to accommodate window dressing of portfolios that shift money, while the action is hot. What could be better than a "new high" to get everyone in that was on the sidelines waiting for a pull-back of significance. Futures and Options expire in a few days. Don't be a sucker. Good luck and Good trading.

Dow Jones Industrial Average Statistics (Historic High / Low):
DJIA Probability of Being "Up" Wednesday: 23% (High 100% / Low 0%)
DJIA Trend: Rising Today 74% vs. Yesterday 68% (High 94% / Low 10%)
DJIA Momentum: Unchanged Today 94% vs. Yesterday 94% (High 97% / Low 13%)
DJIA Flow of Funds: Unchanged Today 77% vs. Yesterday 77% (High 97% / Low 6%)
DJIA Volatility: Rising Today 1.10% vs Yesterday 0.50% (High 2.35% / Low -0.22%)

Institutional Investor Statistics (Historic High / Low):
Exchange Insiders' Inventory: Rising Today .11% vs Yesterday .09% (High .21% / Low -.24%)Mean= -.02%
Institutional Demand: Rising Today 83.65% vs Yesterday 79.32% (High 84.81% / Low 18.65%)Mean= 51.73%
Institutional Inventory: Rising Today 72.10% vs Yesterday 68.39% (High 79.00% / Low 25.23%)Mean= 52.12%
Institutional Accumulation/Distribution Trend: Unchanged Today .16% vs Yesterday .12%(High .35% / -.41%)Mean= -.03%

Outlook Statistics: Above 50% Bullish - Below 50% Bearish
DJIA Outlook: Bullish Unchanged Today 82% vs. Yesterday 82% (High 88% / Low 18%)
Stock Market Outlook: Bullish Rising Today 98.5% vs Yesterday 96.4% (High 100.0% / Low 4.8%) (DJIA, S&P 500, Russell 2000 & NASDAQ 100) Aggregate)

One-Year National CD Rate: Rising 5.24% vs Yesterday 5.23% (High 5.62% / 2.1%)
******************************************************************************
10-Key ETF Statistics: Above 0% Bullish - Below 0% Bearish
DIA: Rising Trend Today 44% vs. Yesterday 37% (High 70% / Low -48%)
SPY: Rising Trend Today 41% vs. Yesterday 33% (High 73% / Low -54%)
MDY: Rising Trend Today 40% vs. Yesterday 35% (High 85% / Low -80%)
IWM: Rising Trend Today 28% vs. Yesterday 21% (High 71% / Low -53%)
QQQQ: Rising Trend Today 29% vs. Yesterday 22% (High 54% / Low -43%)
SMH: Rising Trend Today -6% vs. Yesterday -18% (High 45% / Low -53%)
IYT: Falling Trend Today 3% vs. Yesterday 10% (High 80% / Low -72%)
IDU: Falling Trend Today 51% vs. Yesterday 53% (High 64% / Low -64%)
XLE: Falling Trend Today 26% vs. Yesterday 33% (High 62% / Low -53%)
XLF: Rising Trend Today 23% vs. Yesterday 16% (High 41% / Low -33%)

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Discounts available for Schwab CyberTraders, Corporate Accounts and Trading Rooms

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
Next Day's Advance Market Decisions:
"We're not always right, just very seldom wrong."

Tuesday, November 14, 2006

DIA Tuesday Forecast

Information provided by: www.MktMetrics.com

Details for DIA (Diamonds- Dow 30 Exchange Traded Fund)

Today's Date: 11/14/06
Last Updated: 11/13/06
11/13/06 Final Numbers vs. Monday's Forecast
(Open) 121.12 vs. Opening Fair Value: 121.04
(High) 121.82 vs. Predicted High: 121.63
(Low) 120.98 vs. Predicted Low: 120.61
(Close) 121.35
(Range) 0.84 vs. Proposed Range: 1.02

DIA Tuesday Forecast
Opening Fair Value: 121.36
Today's Predicted High: 121.85
Today's Predicted Low: 120.85
Today's Proposed Range: 1.00
Buy/Sell Rating: Buy (down from strong Buy)


Five Considerations (Today vs. Yesterday)
Price Internal Strength:Positive 85 Down from 86
Volume Internal Strength: Negative 0.80/0.98 Down
Current Trend: Positive 37 Down from 40
Demand Factor: 99 Unch
Stock Volatility: 0.52 Up from -0.57

Predict Today's Upside & Downside Potential
11/13/06 12:45 Close: 121.42
Upside Potential: 122.31
Downside Potential: 120.31


Predicted Block Trading Activity
1. 123.40
2. 123.54
3. 123.78
4. 124.26

Predicted Block Trading Activity
1. 119.38
2. 118.92
3. 118.70
4. 118.56

DIA Key Moving Averages
8 DAY MOVING AVERAGE = 120.97
21 DAY MOVING AVERAGE = 120.70
30 DAY MOVING AVERAGE = 120.07
42 DAY MOVING AVERAGE = 118.92
50 DAY MOVING AVERAGE = 118.21
65 DAY MOVING AVERAGE = 117.07
30 WEEK MOVING AVERAGE = 113.91
200 DAY MOVING AVERAGE = 113.12

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Stock Market Churning

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Monday 11-13-06: DJIA close 12,131.88 +23.45 vs. Prior day: 12,108.43 +5.13
DJIA 21-Day Moving Average: 12,074.11 +8.16 vs. Prior day: 12,065.95 +7.65
(the DJIA closed above its 21-day moving average)

Before the U. S. Stock Market Opening
Tuesday November 14 Stock Market Forecast
*DJIA probability of closing "Up" Tuesday: 32%
(*Above 50% Bullish / Below 50% Bearish)


Market Comment: The MktMetrics DJIA forecast has posted 32% probability to be "Up" Monday. The DJIA Trend was unchanged at 68% from 68% the previous day. The previous day was a drop of 13% which ususally spells trouble ahead. There are now 23 stocks of the DOW 30 that have positive momentum compared to 7 that have negative momentum (AXP; CAT; GE; INTC; UTX; VZ & WMT). We doubt that the DJIA will move higher from here without a pull-back of significance, which will be led by these seven stocks mentioned. Our Exchange Insiders and Institutional Investor Statistics section (see below) shows that the "smart money" is selling inventory and shorting at the close. Futures and Options expire this week for this November cycle. It is now perfect timing for the Stock Market to decline. Good luck and Good trading.

Dow Jones Industrial Average Statistics (Historic High / Low):
DJIA Probability of Being "Up" Tuesday: 32% (High 100% / Low 0%)
DJIA Trend: Unchanged Today 68% vs. Yesterday 68% (High 94% / Low 10%)
DJIA Momentum: Unchanged Today 94% vs. Yesterday 94% (High 97% / Low 13%)
DJIA Flow of Funds: Falling Today 77% vs. Yesterday 81% (High 97% / Low 6%)
DJIA Volatility: Rising Today 0.50% vs Yesterday 0.38% (High 2.35% / Low -0.22%)

Institutional Investor Statistics (Historic High / Low):
Exchange Insiders' Inventory: Falling Today .09% vs Yesterday .10% (High .21% / Low -.24%)Mean= -.02%
Institutional Demand: Unchanged Today 79.32% vs Yesterday 79.23% (High 84.81% / Low 18.65%)Mean= 51.73%
Institutional Inventory: Falling Today 68.39% vs Yesterday 69.03% (High 79.00% / Low 25.23%)Mean= 52.12%
Institutional Accumulation/Distribution Trend:Unchanged Today .12% vs Yesterday .12%(High .35% / -.41%)Mean= -.03%

Outlook Statistics: Above 50% Bullish - Below 50% Bearish
DJIA Outlook: Bullish Unchanged Today 82% vs. Yesterday 82% (High 88% / Low 18%)
Stock Market Outlook: Bullish Rising Today 96.4% vs Yesterday 94.8% (High 100.0% / Low 4.8%) (DJIA, S&P 500, Russell 2000 & NASDAQ 100) Aggregate)

One-Year National CD Rate: Falling 5.23% vs Yesterday 5.24% (High 5.62% / 2.1%)
******************************************************************************
10-Key ETF Statistics: Above 0% Bullish - Below 0% Bearish
DIA: Falling Trend Today 37% vs. Yesterday 40% (High 70% / Low -48%)
SPY: Falling Trend Today 33% vs. Yesterday 36% (High 73% / Low -54%)
MDY: Rising Trend Today 35% vs. Yesterday 30% (High 85% / Low -80%)
IWM: Falling Trend Today 21% vs. Yesterday 27% (High 71% / Low -53%)
QQQQ: Rising Trend Today 22% vs. Yesterday 19% (High 54% / Low -43%)
SMH: Rising Trend Today -18% vs. Yesterday -21% (High 45% / Low -53%)
IYT: Rising Trend Today 10% vs. Yesterday 7% (High 80% / Low -72%)
IDU: Unchanged Trend Today 53% vs. Yesterday 53% (High 64% / Low -64%)
XLE: Falling Trend Today 33% vs. Yesterday 38% (High 62% / Low -53%)
XLF: Rising Trend Today 16% vs. Yesterday 15% (High 41% / Low -33%)

Information provided by http://www.mktmetrics.com
A Marketing Alliance with Charles Schwab's CyberTrader
Discounts available for Schwab CyberTraders, Corporate Accounts and Trading Rooms

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
Next Day's Advance Market Decisions:
"We're not always right, just very seldom wrong."

Monday, November 13, 2006

DIA (Diamonds Monday Final)

Information provided by: www.MktMetrics.com

Monday's Details for DIA (Diamonds- Dow 30 Exchange Traded Fund)

Today's Date: 11/13/06
Last Updated: 11/13/06
11/13/06 Final Numbers vs. Monday's Forecast
(Open) 121.13 vs. Opening Fair Value: 121.42
(High) 121.82 vs. Predicted High: 121.60
(Low) 120.98 vs. Predicted Low: 120.72
(Close)121.35
(Range) 0.84 vs. Proposed Range: 1.02



tOFV yOPV PR-H PR-L yt00:45 UPOH DPOL MPT-R MPT-S t/OP
121.04 121.42 121.63 120.61 120.97 122.22 120.18 121.93 120.39 121.13
H:121.82L:120.98/2=121.40v:-0.57-121.42 122.07 120.03 121.85 120.32 121.63
t120.84vs.y120.79 (8-Day/mvg.)+ 121.59 122.02 119.98 121.82 120.30 121.55
t120.62vs.y120.54(21-Day/mvg.)+ DF:t99vs.y98 (50d:118.08+)(65d:116.91+) tR:0.84

DIA Monday Forecast

Information provided by: www.MktMetrics.com

Details for DIA (Diamonds- Dow 30 Exchange Traded Fund)

Today's Date: 11/13/06
Last Updated: 11/10/06
11/10/06 Final Numbers vs. Friday's Forecast
(Open) 121.10 vs. Opening Fair Value: 121.42
(High) 121.26 vs. Predicted High: 121.60
(Low) 120.77 vs. Predicted Low: 120.72
(Close)121.12
(Range) 0.49 vs. Proposed Range: 0.88

DIA Monday Forecast
Opening Fair Value: 121.04
Today's Predicted High: 121.63
Today's Predicted Low: 120.61
Today's Proposed Range: 1.02
Buy/Sell Rating: Strong Buy


Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 86 Down from 90
Volume Internal Strength: Positive 0.50/1.02 Down
Current Trend: Positive 40 Down from 46
Demand Factor: 99 Up from 98
Stock Volatility: -0.57 Down from 1.21

Predict Today's Upside & Downside Potential
11/10/06 12:45 Close: 120.97
Upside Potential: 122.22
Downside Potential: 120.18


Predicted Block Trading Activity
1. 123.19
2. 123.52
3. 123.54
4. 123.69

Predicted Block Trading Activity
1. 118.83
2. 118.70
3. 118.68
4. 118.35

DIA Key Moving Averages
8 DAY MOVING AVERAGE = 120.84
21 DAY MOVING AVERAGE = 120.62
30 DAY MOVING AVERAGE = 119.91
42 DAY MOVING AVERAGE = 118.78
50 DAY MOVING AVERAGE = 118.08
65 DAY MOVING AVERAGE = 116.91
30 WEEK MOVING AVERAGE = 113.84
200 DAY MOVING AVERAGE = 113.06

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Stock Market Strong Too Long

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Friday 11-10-06: DJIA close 12,108.43 +5.13 vs. Prior day: 12,103.30 -73.24
DJIA 21-Day Moving Average: 12,065.95 +11.96 vs. Prior day: 12,058.30 +11.96
(the DJIA closed above its 21-day moving average)

Before the U. S. Stock Market Opening
Monday November 13 Stock Market Forecast
*DJIA probability of closing "Up" Monday: 48%
(*Above 50% Bullish / Below 50% Bearish)


Market Comment: The MktMetrics DJIA forecast has posted 48% probability to be "Up" Monday. The DJIA Trend plummeted to 68% from 81% the previous day, a 13% drop. When a drop of 10% or more occurs with this trend statistic, it spells trouble ahead. It has been three days since the DJIA 8-day was flat. We feel that the last three days were a matter of inventory discharge and short positions implemented by the Exchange Insiders. There is plenty of resistance here at the upper DJIA Least Squares Regression Line. The last three days have delivered lower highs and lower lows on the DJIA. There are now 24 stocks of the DOW 30 that have positive momentum compared to 6 that have negative momentum (CAT; GE; INTC; UTX; VZ & WMT). We doubt that the DJIA will move higher from here without a pull-back of significance, which will be lead by these six stocks mentioned. Our Exchange Insiders and Institutional Investor Statistics section (see below) shows that the "smart money" is selling inventory and shorting at the close. The DJIA Trend has picked up momentum to the downside and is gaining strength in that direction. Futures and Options expire this week for this November cycle. It is now perfect timing for the Stock Market to decline. Good luck and Good trading.

Dow Jones Industrial Average Statistics (Historic High / Low):
DJIA Probability of Being "Up" Monday: 48% (High 100% / Low 0%)
DJIA Trend: Falling Today 68% vs. Yesterday 81% (High 94% / Low 10%)
DJIA Momentum: Unchanged Today 94% vs. Yesterday 94% (High 97% / Low 13%)
DJIA Flow of Funds: Falling Today 81% vs. Yesterday 84% (High 97% / Low 6%)
DJIA Volatility: Rising Today 0.38% vs Yesterday 1.18% (High 2.35% / Low -0.22%)

Institutional Investor Statistics (Historic High / Low):
Exchange Insiders' Inventory: Falling Today .10% vs Yesterday .11% (High .21% / Low -.24%)Mean= -.02%
Institutional Demand: Rising Today 79.23% vs Yesterday 78.55% (High 84.81% / Low 18.65%)Mean= 51.73%
Institutional Inventory: Falling Today 69.03% vs Yesterday 70.55% (High 79.00% / Low 25.23%)Mean= 52.12%
Institutional Accumulation/Distribution Trend: Falling Today .12% vs Yesterday .15%(High .35% / -.41%)Mean= -.03%

Outlook Statistics: Above 50% Bullish - Below 50% Bearish
DJIA Outlook: Bullish Unchanged Today 82% vs. Yesterday 82% (High 88% / Low 18%)
Stock Market Outlook: Bullish Rising Today 94.8% vs Yesterday 91.8% (High 100.0% / Low 4.8%) (DJIA, S&P 500, Russell 2000 & NASDAQ 100) Aggregate)

One-Year National CD Rate: Rising 5.24% vs Yesterday 5.23% (High 5.62% / 2.1%)
******************************************************************************
10-Key ETF Statistics: Above 0% Bullish - Below 0% Bearish
DIA: Falling Trend Today 40% vs. Yesterday 46% (High 70% / Low -48%)
SPY: Falling Trend Today 36% vs. Yesterday 43% (High 73% / Low -54%)
MDY: Falling Trend Today 30% vs. Yesterday 37% (High 85% / Low -80%)
IWM: Falling Trend Today 27% vs. Yesterday 30% (High 71% / Low -53%)
QQQQ: Falling Trend Today 19% vs. Yesterday 22% (High 54% / Low -43%)
SMH: Falling Trend Today -21% vs. Yesterday -15% (High 45% / Low -53%)
IYT: Falling Trend Today 7% vs. Yesterday 8% (High 80% / Low -72%)
IDU: Rising Trend Today 53% vs. Yesterday 52% (High 64% / Low -64%)
XLE: Falling Trend Today 38% vs. Yesterday 51% (High 62% / Low -53%)
XLF: Falling Trend Today 15% vs. Yesterday 16% (High 41% / Low -33%)

Information provided by http://www.mktmetrics.com
A Marketing Alliance with Charles Schwab's CyberTrader
Discounts available for Schwab CyberTraders, Corporate Accounts and Trading Rooms

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
Next Day's Advance Market Decisions:
"We're not always right, just very seldom wrong."

Sunday, November 12, 2006

Stand-out Stocks Last Week

Information provided by: www.MktMetrics.com
DJIA closed "UP" +122.15 for the week ending 11-10-06

DJIA Probability to be “Up” Monday is 48%

Stand-out Long Stocks for the week ending 11-10-06:
Symbol/Opening Fair Value (Statistics for Monday 11-13-06)
1. ACC OFV: 27.50
2. ADS OFV: 61.58
3. ALXN OFV: 42.27
4. APCC OFV: 30.33
5. BLC OFV: 18.08
6. BMC OFV: 33.20
7. BMET OFV: 38.45
8. BOBJ OFV: 38.94
9. CL OFV: 65.12
10. CPWR OFV: 8.47
11. CYPB OFV: 8.12
12. DD OFV: 47.14
13. ELX OFV: 19.86
14. ETM OFV: 29.23
15. EWD OFV: 29.98
16. EWM OFV: 8.39
17. FO OFV: 79.50
18. GNTX OFV: 16.58
19. GT OFV: 17.82
20. HSII OFV: 41.37
21. IBN OFV: 37.93
22. ISCA OFV: 53.23
23. JCP OFV: 80.44
24. KMX OFV: 46.88
25. LIZ OFV: 42.47
26. LTD OFV: 31.88
27. LTR OFV: 39.88
28. MAT OFV: 23.38
29. MIPS OFV: 8.29
30. MSTR OFV: 121.92
31. NCR OFV: 43.73
32. NEWP OFV: 22.24
33. NWK OFV: 5.86
34. PCG OFV: 44.17
35. PEO OFV: 36.12
36. PETM OFV: 30.86
37. PGNX OFV: 28.32
38. PLCM OFV: 28.78
39. RE OFV: 101.26
40. REXI OFV: 23.36
41. RNE OFV: 37.81
42. RX OFV: 29.31
43. SINA OFV: 28.16
44. SKYW OFV: 27.02
45. SYMM OFV: 8.74
46. UNFI OFV: 36.10


Next Day’s Advance Market Decisions:
"We’re not always right, just very seldom wrong."

Dow 30 Industrials Buy/Sell

DJIA Probability to be "Up" Monday is 48%

Nightly Analysis Update for Monday's Trading:
Symbol/Signal Demand Range IRS Trend
1. AA BUY 63- 0.48 72D 0.21+
2. AIG S/BUY 98+ 0.71 91U 0.26+
3. AXP BUY 82+ 0.72 86D 0.01+
4. BA S/BUY 45- 83D 0.10+
5. C BUY 87/ 0.64 80U 0.23+
6. CAT S/SELL - 4+ 0.71 9U -0.73+
7. DD S/BUY 100/ 0.78 95U 0.19/
8. DIA S/BUY 99+ 1.02 86D 0.40+
9. DIS S/BUY 100/ 0.47 81D 0.40+
10. GE SELL 79- 0.40 60D -0.08+
11. GM BUY 90+ 0.74 69U 0.31+
12. HD BUY 84- 0.57 70D -0.01/
13. HON S/BUY 98+ 0.67 81U 0.08/
14. HPQ BUY 92+ 0.55 83U 0.15+
15. IBM BUY 35- 1.13 80D 0.24+
16. INTC S/SELL 54+ 0.46 42D -0.24+
17. JNJ S/BUY 97+ 0.78 62D 0.23+
18. JPM BUY 90+ 0.65 67U 0.06+
19. KO S/BUY 88- 0.48 78D 0.26+
20. MCD BUY 87- 0.65 84D 0.08+
21. MMM BUY 23+ 1.09 62U 0.22+
22. MO BUY 89+ 0.86 64U 0.20+
23. MRK S/BUY 96+ 1.00 56D 0.27+
24. MSFT S/BUY 94+ 0.29 92D 0.03+
25. PFE BUY 95- 0.44 37D 0.04+
26. PG BUY 100+ 0.66 87D 0.42+
27. T S/BUY 69- 0.55 59D 0.02+
28. UTX SELL - 93+ 1.23 66D -0.03+
29. VZ SELL 92- 0.40 41D 0.10+
30. WMT SELL 33- 0.95 19D -0.18+
31. XOM BUY 100/ 1.07 98D 0.61+


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Saturday, November 11, 2006

The MktMetrics Weekly Stock Market Analysis

Our belief is that the Stock Market is controlled by the Specialists and Market Makers or Exchange Insiders. We developed MktMetrics over a four year period and performed a 30-year computer generated study to test our findings. Our sole purpose was to produce a mirror image of where the Exchange Insiders buy and sell their stock inventory. We hope you will subscribe to http://www.mktmetrics.com/ for $40.00 monthly and financially benefit by its consistently accurate daily results. After performing our extensive research, we found that the Exchange Insiders control the direction of the Stock Market by moving individual members of the Dow Jones Industrial Average to establish a trend for the purpose of accumulating at wholesale and distributing at retail, their stock inventory for maximum gain. Ergo, we pay strict attention to the numbers generated from the MktMetrics program to spot their intent. To that end, our focus is concentrated on the Dow Jones Industrial Average.
Dow Jones Industrials trading Range: High 12,239.94 - Low 9,961.52 = 2,278.42

Week Ending November 10, 2006
MktMetrics Weekly Stock Market Analysis:


DJIA Outlook: Bullish Rising 82% vs Last week: 81% (High 88% / Low 12%)
DJIA Closed: 12,108.43 vs Last week: 11,986.28 +122.15 / Prior week: -103.98
21-day M/A: 12,065.95 vs Last week: 12,005.21 +60.74 / Prior week: +67.10
DJIA Trend: Rising 68% vs Last week: 58% (High 94% / Low 10%)
DJIA Momentum: Unchanged 94% vs Last week: 94% (High 97% / Low 10%)
DJIA Volatility: Falling 0.38% vs Last week: 0.69% (High 2.35% / Low -0.22%)
DJIA Resistance: Rising Near Term 12,277 vs Last week: 12,215
DJIA Resistance: Rising Intermediate Term 12,488 vs Last week: 12,425
DJIA Support: Rising Near Term 11,855 vs Last week: 11,795
DJIA Support: Rising Intermediate Term 11,644 vs Last week: 11,585
DJIA Money Flow Index: Rising 81% vs Last week: 77% (High 97% / Low 08%)
DJIA Directional Indicator: +7.7 vs Last week: +5.7 (High 35.4 / Low -35.8)
21-Day M/A Price A/D Line: +312 vs Last week: +207 (High 647 / Low -455)
21-Day M/A Volume A/D Line: -66 vs Last week: -78 (High 188/ Low -439)
DJIA Price vs 21-Day M/A: +0.35% vs Last week: -0.16% (High 4.36% / Low -3.56%)
DJIA Moving Average Convergence/Divergence(MACD): SELL(-) vs Last week: SELL(-)
DJIA Overbought/Oversold (CCI): +15 vs Last week: -82 (High 255 / Low -202)
DJIA Stochastic 20-Day Indicator: 72 vs Last week: 54 (High 100 / Low 00)
DJIA Relative Strength 14-Day Indicator: 49 vs Last week: 51 (High 97 / Low 12)
DJIA Today vs 50-Day M/A Volume: 0.9 vs Last week: 0.9 (High 1.4 / Low 0.4)

Stock Market Outlook: Bullish Rising 94.8% vs Last week: 85.2% (100.0% / Low 8.0%)
Exchange Insiders' Inventory: Falling .10% vs Last week: .12% (High .19%/Low -.24%)
Institutional Demand Factor: Rising 79.2 vs Last week: 77.6 (High 84.8 / Low 18.7)
Institutional Inventory Factor: Rising 69.0 vs Last week: 62.8 (High 79.0 / 25.2)
Institutional Accumulation/Distribution Trend: Falling .12 vs Last week: .14 (High .35 / -.41)
Institutional Sentiment Index: Rising 115 vs Last week: 114 (High 124 / Low 68)
Speculation Indicator: Falling -.07 vs Last week: -.03 (High +.78 / Low -.71)
One-Year National CD Rate: Falling 5.23% vs Last week: 5.26% (5.62 / Low 2.1%)
*********************************************************************************
Exchange Traded Funds- Trend/Sector Analysis: (Change +/-)
Symbol/Trend/Historic(High-Low)/Rating/Demand Factor
Diamonds-Dow 30
DIA: +.40 vs Last week: +.41 (High .70 / Low -.48) Rating: BUY Demand Factor: 99+
SPDR-S&P 500
SPY: +.36 vs Last week: +.38 (High .73 / Low -.54) Rating: BUY Demand Factor: 99+
SPDR-S&P 400 Mid-Cap
MDY: +.30 vs Last week: +.35 (High .85 / Low -.80) Rating: BUY Demand Factor: 100+
Russell 2000 Small-Cap
IWM: +.27 vs Last week: +.30 (High .71 / Low -.42) Rating: BUY Demand Factor: 100+
Nasdaq 100 Large Growth
QQQQ: +.19 vs Last week: +.18 (High .54 / Low -.35) Rating: BUY Demand Factor: 100+
1. Biotech
BBH: +.19 vs Last week: +.26 (High 1.58 / Low -1.02)Rating: BUY Demand Factor: 98/
2. Broadband
BDH: -.33 vs Last week: -.25 (High .57 / Low -.54) Rating: SELL Demand Factor: 02-
3. Central Fund of Canada (Physical Precious Metals)
CEF: +.24 vs Last week: +.19 (High .41 / Low -.29) Rating: BUY Demand Factor: 81+
4. Deutsche Bank Commodity Index Tracking ETF
DBC: +.28 vs Last week: +.27 (High .56 / Low -.65) Rating: BUY Demand Factor: 99+
5. Emerging Markets
EEM: +.27 vs Last week: +.37 (High .84 / Low -.16) Rating: BUY Demand Factor: 83-
6. EAFE Global Equities (Europe, Australasia and Far East)
EFA: +.30 vs Last week: +.30 (High .56 / Low -.37) Rating: BUY Demand Factor: 92+
7. Pacific ex-Japan
EPP: +.48 vs Last week: +.66 (High .71 / Low -31) Rating: BUY Demand Factor: 88-
8. Canada
EWC: +.49 vs Last week: +.40 (High .52 / Low -.29) Rating: BUY Demand Factor: 98-
9. Sweden
EWD: +.44 vs Last week: +.51 (High .66 / Low -.26) Rating: BUY Demand Factor: 100+
10. Germany
EWG: +.17 vs Last week: +.16 (High .61 / Low -.19) Rating: BUY Demand Factor: 96+
11. Hong Kong
EWH: +.18 vs Last week: +.09 (High .43 / Low -.25) Rating: BUY Demand Factor: 98+
12. Japan
EWJ: +.11 vs Last week: +.29 (High .63 / Low -.43) Rating: BUY Demand Factor: 84-
13. Belgium
EWK: +.39 vs Last week: +.50 (High .60 / Low -.21) Rating: BUY Demand Factor: 99-
14. Switzerland
EWL: +.34 vs Last week: +.33 (High .64 / Low -.20) Rating: BUY Demand Factor: 100/
15. Malaysia
EWM: +.07 vs Last week: +.13 (High .29 / Low -.21) Rating: BUY Demand Factor: 95+
16. Netherlands
EWN: +.32 vs Last week: +.25 (High .49 / Low -.14) Rating: BUY Demand Factor: 94-
17. France
EWQ: +.30 vs Last week: +.33 (High .56 / Low -.36) Rating: BUY Demand Factor: 88-
18. Singapore
EWS: -.05 vs Last week: -.13 (High .38 / Low -.21) Rating: BUY Demand Factor: 62+
19. Taiwan
EWT: +.05 vs Last week: +.08 (High .23 / Low -.21) Rating: BUY Demand Factor: 81-
20. United Kingdom
EWU: +.29 vs Last week: +.61 (High .69 / Low -.20) Rating: BUY Demand Factor: 96-
21. Mexico
EWW: +.12 vs Last week: +.21 (High .50 / Low -.31) Rating: BUY Demand Factor: 87-
22. South Korea
EWY: +.49 vs Last week: +.47 (High .43 / Low -.53) Rating: BUY Demand Factor: 100+
23. Brazil
EWZ: +.17 vs Last week: +.38 (High .65 / Low -.28) Rating: BUY Demand Factor: 93-
24. Xinhua China
FXI: +.46 vs Last week: +.45 (High .62 / Low -.32) Rating: BUY Demand Factor: 98-
25. Street TRACKS Gold Trust
GLD: +.40 vs Last week: +.58 (High .54 / Low -.61) Rating: BUY Demand Factor: 86-
26. Internet
HHH: +.29 vs Last week: +.26 (High .50 / Low -.75) Rating: BUY Demand Factor: 87-
27. Internet Architecture
IAH: +.12 vs Last week: +.25 (High .65 / Low -.60) Rating: BUY Demand Factor: 73/
28. Comex Gold
IAU: +.36 vs Last week: +.54 (High .81 / Low -.65) Rating: BUY Demand Factor: 61-
29. Biotechnology
IBB: +.41 vs Last week: +.36 (High .58 / Low -.62) Rating: BUY Demand Factor: 100/
30. Utilities
IDU: +.53 vs Last week: +.51 (High .59 / Low -.54) Rating: BUY Demand Factor: 100+
31. S&P Europe 350 Index
IEV: +.70 vs Last week: +.73 (High .81 / Low -.48) Rating: BUY Demand Factor: 99/
32. Natural Resources
IGE: +.56 vs Last week: +.60 (High .88 / Low -.72) Rating: BUY Demand Factor: 99/
33. Networking
IGN: +.11 vs Last week: +.06 (High .38 / Low -.50) Rating: BUY Demand Factor: 96-
34. Software
IGV: +.19 vs Last week: +.22 (High .33 / Low -.60) Rating: BUY Demand Factor: 98+
35. Semiconductor
IGW: -.19 vs Last week: -.17 (High .62 / Low -.75) Rating: SELL Demand Factor: 67+
36. Internet Infrastructure
IIH: +.28 vs Last week: +.19 (High .37 / Low -.23) Rating: BUY Demand Factor: 97-
37. Mid-Cap 400 Blend
IJH: +.25 vs Last week: +.25 (High .44 / Low -.30) Rating: BUY Demand Factor: 97+
38. Mid-Cap 400 Growth
IJK: +.39 vs Last week: +.34 (High .48 / Low -.52) Rating: BUY Demand Factor: 100+
39. Small-Cap 600
IJR: +.23 vs Last week: +.31 (High .83 / Low -.41) Rating: BUY Demand Factor: 97+
40. S&P Latin America 40 Index
ILF: +.40 vs Last week: +.63 (High 1.19 / Low -.60)Rating: BUY Demand Factor: 94+
41. S&P 1500 Index
ISI: +.33 vs Last week: +.38 (High .79 / Low -.41) Rating: BUY Demand Factor: 94-
42. S&P/TOPIX 150 Japan Index
ITF: +.18 vs Last week: +.35 (High .92 / Low -.90) Rating: BUY Demand Factor: 86-
43. Global Financial
IXG: +.30 vs Last week: +.41 (High .79 / Low -.35) Rating: BUY Demand Factor: 95-
44. Consumer Cyclical
IYC: +.45 vs Last week: +.48 (High .78 / Low -.64) Rating: BUY Demand Factor: 99+
45. Energy
IYE: +.52 vs Last week: +.37 (High .79 / Low -.69) Rating: BUY Demand Factor: 41+
46. Healthcare
IYH: +.18 vs Last week: +.30 (High .39 / Low -.44) Rating: BUY Demand Factor: 100+
47. Industrial
IYJ: +.17 vs Last week: +.07 (High .52 / Low -.35) Rating: BUY Demand Factor: 96+
48. Consumer Non-Cyclical
IYK: +.68 vs Last week: +.62 (High .58 / Low -.56) Rating: BUY Demand Factor: 100+
49. Basic Materials
IYM: +.30 vs Last week: +.41 (High .51 / Low -.52) Rating: BUY Demand Factor: 87+
50. Real Estate
IYR: +.12 vs Last week: +.09 (High .62 / Low -.38) Rating: BUY Demand Factor: 95+
51. Transportation
IYT: +.07 vs Last week: -.01 (High .80 / Low -.52) Rating: BUY+ Demand Factor: 85+
52. Technology
IYW: -.00 vs Last week: +.09 (High .42 / Low -.50) Rating: SELL- Demand Factor: 63-
53. Telecommunications
IYZ: +.11 vs Last week: -.08 (High .43 / Low -.30) Rating: SELL Demand Factor: 60-
54. Oil Services
OIH: +.68 vs Last week: +.58 (High 1.63/ Low -.129) Rating: BUY Demand Factor: 84+
55. PowerShares WilderHill Clean Energy
PBW: +.19 vs Last week: +.03 (High .31 / Low -.24) Rating: BUY Demand Factor: 96+
56. Pharmaceutical
PPH: -.13 vs Last week: +.18 (High .49 / Low -.61) Rating: SELL- Demand Factor: 61-
57. PowerShares Dynamic OTC
PWO: -.52 vs Last week: -.54 (High .36 / Low -.54) Rating: SELL Demand Factor: 01/
58. Regional Bank
RKH: +.14 vs Last week: +.09 (High .88 / Low -.48) Rating: BUY+ Demand Factor: 95+
59. MS Eastern Europe Fund
RNE: +.59 vs Last week: +.28 (High .41 / Low -.29) Rating: BUY Demand Factor: 100+
60. Retail
RTH: -.14 vs Last week: -.02 (High .60 / Low -.58) Rating: SELL Demand Factor: 90+
61. Silver Trust
SLV: +1.01 vs Last week: +.90 (High 1.08 / Low -.88)Rating: BUY Demand Factor: 70+
62. Semiconductor
SMH: -.21 vs Last week: -.07 (High .45 / Low -.52) Rating: SELL Demand Factor: 52-
63. Software
SWH: +.10 vs Last week: +.06 (High .51 / Low -.41) Rating: BUY Demand Factor: 94+
64. Lehman 20+ Treasury Bond Fund
TLT: +.37 vs Last week: +.01 (High .53 / Low -.44) Rating: BUY Demand Factor: 100+
65. Telecommunications
TTH: -.15 vs Last week: +.29 (High .54 / Low -.31) Rating: BUY Demand Factor: 66-
66. Utilities
UTH: +.36 vs Last week: +.28 (High .68 / Low -.65) Rating: BUY Demand Factor: 61+
67. Wireless
WMH: -.18 vs Last week: -.07 (High .55 / Low -.64) Rating: SELL Demand Factor: 40+
68. Homebuilders
XHB: -.29 vs Last week: -.12 (High .69 / Low -.43) Rating: SELL Demand Factor: 24-
69. Materials Select Sector
XLB: +.13 vs Last week: +.25 (High .34 / Low -.41) Rating: BUY Demand Factor: 82-
70. S&P Energy Select
XLE: +.38 vs Last week: +.37 (High .76 / Low -.51) Rating: BUY Demand Factor: 96-
71. S&P Financial Select
XLF: +.15 vs Last week: +.16 (High .46 / Low -.23) Rating: BUY Demand Factor: 89+
72. Technology
XLK: +.10 vs Last week: +.16 (High .36 / Low -.32) Rating: BUY Demand Factor: 95+
73. Consumer Staples
XLP: +.26 vs Last week: +.28 (High .40 / Low -.29) Rating: BUY Demand Factor: 90/
74. Healthcare Select
XLV: +.11 vs Last week: +.19 (High .48 / Low -.28) Rating: BUY Demand Factor: 85-
75. Industrial Sector
XLY: +.19 vs Last week: +.25 (High .52 / Low -.45) Rating: BUY Demand Factor: 100+
76. Mining & Metals Sector
XME: +.14 vs Last week: +.44 (High .77 / Low -.35) Rating: BUY Demand Factor: 31-

Information provided by: www.MktMetrics.com
A Marketing Alliance with Charles Schwab's CyberTrader
Discounts available for Schwab CyberTraders, Corporate Accounts and Trading Rooms

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
"Just Suppose For A Moment, You Know What The Exchange Insiders Know!" MktMetrics Does.

Friday, November 10, 2006

MktMetrics NIFTY FIFTY Stock Portfolio

Updated before the Market opening 11-10-06

DJIA Probability to be “Up” Friday is 74%

Suggested Long Stocks:
Symbol/Opening Fair Value (Friday, 11-10-06)
1. OHI OFV: 16.17
2. MAA OFV: 59.89
3. EWK OFV: 24.66
4. TYL OFV: 13.60
5. RDK OFV: 27.80
6. NXL OFV: 27.33
7. SIMG OFV: 11.85
8. UBS OFV: 60.72
9. MLNM OFV: 11.47
10. NCR OFV: 43.84
11. ESS OFV: 127.16
12. LZ OFV: 47.49
13. SKT OFV: 36.56
14. UDR OFV: 30.79
15. EWU OFV: 23.25
16. PLCM OFV: 28.28
17. LOGI OFV: 27.16
18. MOGN OFV: 19.02
19. ADS OFV: 60.88
20. GILD OFV: 68.12
21. MALL OFV: 7.53
22. EOP OFV: 41.95
23. CERN OFV: 49.58
24. CSX OFV: 36.97
25. GS OFV: 186.81


Suggested Short Stocks:
Symbol/Opening Fair Value (Friday, 11-10-06)
1. BNT OFV: 9.76
2. LEN OFV: 45.05
3. DHI OFV: 21.77
4. PLAB OFV: 14.31
5. SALM OFV: 11.47
6. PGR OFV: 22.87
7. NOVL OFV: 6.75
8. BDH OFV: 16.19
9. TOL OFV: 27.10
10.CEGE OFV: 4.00
11.TARO OFV: 10.53
12.SMH OFV: 33.71
13.HET OFV: 74.84
14.USTR OFV: 46.57
15.KBH OFV: 42.57
16.IMAX OFV: 3.69
17.WMT OFV: 46.76
18.BC OFV: 31.18
19.AMTD OFV: 16.32
20.LNCR OFV: 34.93
21.KND OFV: 25.46
22.UNH OFV: 46.58
23.ALO OFV: 22.34
24.CC OFV: 25.13
25.WIRE OFV: 24.65


Next Day’s Advance Market Decisions:
"We’re not always right, just very seldom wrong."

DIA Friday Forecast

Information provided by: www.MktMetrics.com

Details for DIA (Diamonds- Dow 30 Exchange Traded Fund)

Today's Date: 11/10/06
Last Updated: 11/09/06
11/09/06 Final Numbers vs. Thursday's Forecast
(Open) 121.78 vs. Opening Fair Value: 121.48
(High) 121.90 vs. Predicted High: 122.19
(Low) 120.91 vs. Predicted Low: 121.31 (Predicted Downside Potential: 121.10)
(Close) 121.16
(Range) 0.99 vs. Predicted Range: 0.88

DIA Friday Forecast
Opening Fair Value: 121.42
Today's Predicted High: 121.60
Today's Predicted Low: 120.72
Today's Proposed Range: 0.88
Buy/Sell Rating: Strong Buy


Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 90 Down from 93
Volume Internal Strength: Positive 0.80/1.10 Down
Current Trend: Positive 46 Down from 52
Demand Factor: 98 Down from 100
Stock Volatility: 1.21 Up from 1.12

Predict Today's Upside & Downside Potential
11/09/06 12:45 Close: 121.53
Upside Potential: 121.83
Downside Potential: 120.07


Predicted Block Trading Activity
1. 123.33
2. 123.58
3. 124.22
4. 124.34

Predicted Block Trading Activity
1. 119.46
2. 119.34
3. 118.74
4. 118.49

DIA Key Moving Averages
8 DAY MOVING AVERAGE = 120.79
21 DAY MOVING AVERAGE = 120.54
30 DAY MOVING AVERAGE = 119.77
42 DAY MOVING AVERAGE = 118.64
50 DAY MOVING AVERAGE = 117.94
65 DAY MOVING AVERAGE = 116.76
30 WEEK MOVING AVERAGE = 113.78
200 DAY MOVING AVERAGE = 113.00

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Stock Market Dancing At Upper Range

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Thursday 11-10-06: DJIA close 12,103.30 -73.24 vs. Prior day: 12,176.54 +19.77
DJIA 21-Day Moving Average: 12,058.30 +11.96 vs. Prior day: 12,046.34 +14.74
(the DJIA closed above its 21-day moving average)

Before the U. S. Stock Market Opening
Friday November 10 Stock Market Forecast
*DJIA probability of closing "Up" Friday: 74%
(*Above 50% Bullish / Below 50% Bearish)


Market Comment: The MktMetrics DJIA forecast has posted 74% probability to be "Up" Friday. The DJIA Trend increased to 81% from 74% the previous day. As the DJIA 8-day and 21-day moving averages move higher, they are doing so at a reduced rate. There is plenty of resistance here at the upper DJIA Least Squares Regression Line. These channel statistics provide a solid "line in the sand" that will be tough to cross now that it has been tested and rejected in yesterday's romp. However, we must pay heed that in the face of Thursday's wash-out, the DJIA Trend was not affected and actually increased from the previous day. 25 stocks of the DOW 30 have positive momentum compared to 5 that have negative momentum (CAT; GE; INTC; VZ & WMT). We doubt that the DOW will move much higher from here without a pull-back of significance. Perhaps there will be some backing and filling for a few days. Perhaps not, as the DJIA Trend is where it was on this date last month. This tells us that the recent rise could have been a matter of swapping stocks between amonst Institutional and Retail Investors, with the Exchange Insiders providing their market making services for these two groups. Futures and Options expire in one week for this November cycle. Be sure to catch the Weekly Edition of MktMetrics Stock Market Analysis on Saturday and DOW Buy/Sell Analysis on Sunday. Good luck and Good trading.

Dow Jones Industrial Average Statistics (Historic High / Low):
DJIA Probability of Being "Up" Friday: 74% (High 100% / Low 0%)
DJIA Trend: Rising Today 81% vs. Yesterday 74% (High 94% / Low 10%)
DJIA Momentum: Unchanged Today 94% vs. Yesterday 94% (High 97% / Low 13%)
DJIA Flow of Funds: Falling Today 84% vs. Yesterday 87% (High 97% / Low 6%)
DJIA Volatility: Rising Today 1.18% vs Yesterday 0.96% (High 2.35% / Low -0.22%)

Institutional Investor Statistics (Historic High / Low):
Exchange Insiders' Inventory: Falling Today .11% vs Yesterday .14% (High .21% / Low -.24%)Mean= -.02%
Institutional Demand: Falling Today 78.55% vs Yesterday 82.84% (High 84.81% / Low 18.65%)Mean= 51.73%
Institutional Inventory: Falling Today 70.55% vs Yesterday 73.35% (High 79.00% / Low 25.23%)Mean= 52.12%
Institutional Accumulation/Distribution Trend: Falling Today .15% vs Yesterday .19%(High .35% / -.41%)Mean= -.03%

Outlook Statistics: Above 50% Bullish - Below 50% Bearish
DJIA Outlook: Bullish Rising Today 82% vs. Yesterday 80% (High 88% / Low 18%)
Stock Market Outlook: Bullish Falling Today 91.8% vs Yesterday 96.9% (High 100.0% / Low 4.8%) (DJIA, S&P 500, Russell 2000 & NASDAQ 100) Aggregate)

One-Year National CD Rate: Unchanged 5.23% vs Yesterday 5.23% (High 5.62% / 2.1%)
******************************************************************************
10-Key ETF Statistics: Above 0% Bullish - Below 0% Bearish
DIA: Falling Trend Today 46% vs. Yesterday 52% (High 70% / Low -48%)
SPY: Falling Trend Today 43% vs. Yesterday 48% (High 73% / Low -54%)
MDY: Falling Trend Today 37% vs. Yesterday 45% (High 85% / Low -80%)
IWM: Falling Trend Today 30% vs. Yesterday 35% (High 71% / Low -53%)
QQQQ: Falling Trend Today 22% vs. Yesterday 27% (High 54% / Low -43%)
SMH: Falling Trend Today -15% vs. Yesterday -0% (High 45% / Low -53%)
IYT: Falling Trend Today 8% vs. Yesterday 11% (High 80% / Low -72%)
IDU: Unchanged Trend Today 52% vs. Yesterday 52% (High 64% / Low -64%)
XLE: Rising Trend Today 51% vs. Yesterday 42% (High 62% / Low -53%)
XLF: Falling Trend Today 16% vs. Yesterday 21% (High 41% / Low -33%)

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A Marketing Alliance with Charles Schwab's CyberTrader
Discounts available for Schwab CyberTraders, Corporate Accounts and Trading Rooms

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
Next Day's Advance Market Decisions:
"We're not always right, just very seldom wrong."

Thursday, November 09, 2006

MktMetrics NIFTY FIFTY Stock Portfolio

Updated before the Market opening 11-09-06

DJIA Probability to be “Up” Thursday is 32%

Suggested Long Stocks:
Symbol/Opening Fair Value (Thursday, 11-09-06)
1. OHI OFV: 16.07
2. TYL OFV: 13.51
3. EWK OFV: 24.70
4. SBAC OFV: 27.19
5. IEV OFV: 102.11
6. NXL OFV: 27.16
7. SIMG OFV: 11.89
8. EWD OFV: 29.60
9. UBS OFV: 60.61
10. LZ OFV: 47.18
11. MENT OFV: 17.25
12. CELG OFV: 53.50
13. ESS OFV: 127.55
14. UDR OFV: 30.60
15. NCR OFV: 43.67
16. SKT OFV: 36.27
17. TNP OFV: 43.98
18. MAT OFV: 23.28
19. MLNM OFV: 11.86
20. WST OFV: 48.22
21. SHW OFV: 60.49
22. LOGI OFV: 26.29
23. ADS OFV: 60.77
24. MOGN OFV: 19.22
25. CSX OFV: 36.49


Suggested Short Stocks:
Symbol/Opening Fair Value (Tuesday, 11-07-06)
1. LPX OFV: 19.11
2. BNT OFV: 9.80
3. PLAB OFV: 14.32
4. LEN OFV: 44.98
5. PGR OFV: 23.11
6. DHI OFV: 22.03
7. BDH OFV: 16.41
8. SALM OFV: 11.68
9. TMB OFV: 36.75
10.TOL OFV: 27.61
11.CLZR OFV: 13.99
12.HET OFV: 75.13
13.UNH OFV: 48.06
14.KBH OFV: 42.60
15.AMD OFV: 21.21
16.XME OFV: 47.83
17.USTR OFV: 46.56
18.BC OFV: 31.22
19.MNST OFV: 41.77
20.ALO OFV: 22.18
21.LNCR OFV: 35.08
22.AMTD OFV: 16.32
23.WDC OFV: 19.06
24.KND OFV: 25.60
25.CC OFV: 25.35


Next Day’s Advance Market Decisions:
"We’re not always right, just very seldom wrong."

DIA Thursday Forecast

Information provided by: www.MktMetrics.com

Details for DIA (Diamonds- Dow 30 Exchange Traded Fund)

Today's Date: 11/09/06
Last Updated: 11/08/06
11/08/06 Final Numbers vs. Wednesday's Forecast
(Open) 121.20 vs. Opening Fair Value: 121.40
(High) 121.96 vs. Predicted High: 121.98
(Low) 121.00 vs. Predicted Low: 121.12
(Close) 121.75
(Range) 0.96 vs. Predicted Range 0.86

DIA Thursday Forecast
Opening Fair Value: 121.48
Today's Predicted High: 122.19
Today's Predicted Low: 121.31
Today's Proposed Range: 0.88
Buy/Sell Rating: Strong Buy

Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 93 Up from 85
Volume Internal Strength: Positive 1.30/1.15 Up
Current Trend: Positive 52 Up from 48
Demand Factor: 100 Unchanged
Stock Volatility: 1.12 Up from 1.04

Predict Today's Upside & Downside Potential
11/08/06 12:45 Close: 121.34
Upside Potential: 122.86
Downside Potential: 121.10


Predicted Block Trading Activity
1. 123.42
2. 123.62
3. 124.19
4. 124.40

Predicted Block Trading Activity
1. 119.52
2. 119.32
3. 118.78
4. 118.58

DIA Key Moving Averages
8 DAY MOVING AVERAGE = 120.73
21 DAY MOVING AVERAGE = 120.41
30 DAY MOVING AVERAGE = 119.62
42 DAY MOVING AVERAGE = 118.49
50 DAY MOVING AVERAGE = 117.79
65 DAY MOVING AVERAGE = 116.60
30 WEEK MOVING AVERAGE = 113.71
200 DAY MOVING AVERAGE = 112.93


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DJIA At Top Of Least Squares Regression

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Wednesday 11-08-06: DJIA close 12,176.54 +19.77 vs. Prior day: 12,156.77 +51.22
DJIA 21-Day Moving Average: 12,046.34 +14.74 vs. Prior day: 12,031.60 +14.23
(the DJIA closed above its 21-day moving average)

Before the U. S. Stock Market Opening
Thursday November 9 Stock Market Forecast
*DJIA probability of closing "Up" Thursday: 32%
(*Above 50% Bullish / Below 50% Bearish)


Market Comment: The MktMetrics DJIA forecast has posted 32% probability to be "Up" Thursday. The DJIA Trend jumped to 74% from 65% the previous day. The DJIA 8-day moving average is now moving higher as is the DJIA 21-day moving average. Yesterday posted a double-digit up day after surging 170+ points the previous two days. Three days positive after six days of negative results is normal ebb and flow for the DJIA. The DOW closed Wednesday at the upper Bollinger Band and at the top of its Least Squares Regression Line. We doubt that the DOW will move higher from here without a pull-back of significance. After all, this is how the Exchange Insiders make their money just before Futures and Options expiration, due in one week. Should this occur, we would expect the 8-day, 21-day and 30-day DJIA moving averages to be broken very quickly. Even though the DJIA Trend jumped 10% for each of the past two days, there was enough technical damage done last week to make us believe that the past three days were favorable for the Exchange Insiders to unload inventory and short into the strength that was created from the Elections. Now reality will set in and stock prices most likely will move lower. We believe that if today is a downer, selling pressure will resume and lower prices will occur. Good luck and Good trading.

Dow Jones Industrial Average Statistics (Historic High / Low):
DJIA Probability of Being "Up" Thursday: 32% (High 100% / Low 0%)
DJIA Trend: Rising Today 74% vs. Yesterday 65% (High 94% / Low 10%)
DJIA Momentum: Falling Today 94% vs. Yesterday 97% (High 97% / Low 13%)
DJIA Flow of Funds: Falling Today 87% vs. Yesterday 94% (High 97% / Low 6%)
DJIA Volatility: Rising Today 0.96% vs Yesterday 0.80% (High 2.35% / Low -0.22%)

Institutional Investor Statistics (Historic High / Low):
Exchange Insiders' Inventory: Rising Today .14% vs Yesterday .13% (High .21% / Low -.24%)Mean= -.02%
Institutional Demand: Rising Today 82.84% vs Yesterday 81.32% (High 84.81% / Low 18.65%)Mean= 51.73%
Institutional Inventory: Rising Today 73.35% vs Yesterday 70.03% (High 79.00% / Low 25.23%)Mean= 52.12%
Institutional Accumulation/Distribution Trend: Rising Today .19% vs Yesterday .18%(High .35% / -.41%)Mean= -.03%

Outlook Statistics: Above 50% Bullish - Below 50% Bearish
DJIA Outlook: Bullish Rising Today 80% vs. Yesterday 79% (High 88% / Low 18%)
Stock Market Outlook: Bullish Rising Today 96.9% vs Yesterday 94.8% (High 100.0% / Low 4.8%) (DJIA, S&P 500, Russell 2000 & NASDAQ 100) Aggregate)

One-Year National CD Rate: Falling 5.23% vs Yesterday 5.24% (High 5.62% / 2.1%)
******************************************************************************
10-Key ETF Statistics: Above 0% Bullish - Below 0% Bearish
DIA: Rising Trend Today 52% vs. Yesterday 48% (High 70% / Low -48%)
SPY: Rising Trend Today 48% vs. Yesterday 46% (High 73% / Low -54%)
MDY: Rising Trend Today 45% vs. Yesterday 42% (High 85% / Low -80%)
IWM: Rising Trend Today 35% vs. Yesterday 33% (High 71% / Low -53%)
QQQQ: Rising Trend Today 27% vs. Yesterday 24% (High 54% / Low -43%)
SMH: Rising Trend Today -0% vs. Yesterday -3% (High 45% / Low -53%)
IYT: Unchanged Trend Today 11% vs. Yesterday 11% (High 80% / Low -72%)
IDU: Rising Trend Today 52% vs. Yesterday 50% (High 64% / Low -64%)
XLE: Unchanged Trend Today 42% vs. Yesterday 42% (High 62% / Low -53%)
XLF: Rising Trend Today 21% vs. Yesterday 19% (High 41% / Low -33%)

Information provided by http://www.mktmetrics.com
A Marketing Alliance with Charles Schwab's CyberTrader
Discounts available for Schwab CyberTraders, Corporate Accounts and Trading Rooms

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
Next Day's Advance Market Decisions:
"We're not always right, just very seldom wrong."

Wednesday, November 08, 2006

MktMetrics NIFTY FIFTY Stock Portfolio

Updated before the Market opening 11-08-06

DJIA Probability to be “Up” Wednesday is 39%

Suggested Long Stocks:
Symbol/Opening Fair Value (Wedesday, 11-08-06)
1. EWK OFV: 24.68
2. SBAC OFV: 27.34
3. NXL OFV: 27.45
4. SIMG OFV: 12.06
5. EWD OFV: 29.56
6. UBS OFV: 61.15
7. ITF OFV: 121.63
8. CELG OFV: 52.06
9. LZ OFV: 47.18
10. ESS OFV: 128.24
11. NCR OFV: 42.55
12. UDR OFV: 30.77
13. TNP OFV: 43.90
14. MLNM OFV: 11.74
15. MAT OFV: 23.15
16. SHW OFV: 59.87
17. EOP OFV: 42.01
18. IPG OFV: 10.67
19. SKT OFV: 36.16
20. MOGN OFV: 19.39
21. SVU OFV: 33.42
22. MALL OFV: 7.95
23. CSX OFV: 36.29
24. WRLD OFV: 48.47
25. CERN OFV: 49.66


Suggested Short Stocks:
Symbol/Opening Fair Value (Tuesday, 11-07-06)
1. BNT OFV: 10.03
2. PGR OFV: 23.25
3. PLAB OFV: 14.34
4. BDH OFV: 16.62
5. DHI OFV: 22.60
6. CLZR OFV: 14.03
7. TIN OFV: 38.45
8. CEGE OFV: 4.10
9. HET OFV: 75.05
10.KBH OFV: 43.30
11.DRTE OFV: 11.02
12.AMTD OFV: 16.56
13.KND OFV: 25.74
14.WDC OFV: 18.89
15.ALO OFV: 22.20
16.ADM OFV: 33.92
17.WIRE OFV: 25.48
18.MATK OFV: 24.45
19.BC OFV: 31.45
20.INTL OFV: 20.75
21.IMGC OFV: 27.42
22.FCS OFV: 16.54
23.PHM OFV: 29.93
24.XHB OFV: 33.21
25.GBL OFV: 39.29


Next Day’s Advance Market Decisions:
"We’re not always right, just very seldom wrong."

DIA Wednesday Forecast

Information provided by: www.MktMetrics.com

Details for DIA (Diamonds- Dow 30 Exchange Traded Fund)

Today's Date: 11/08/06
Last Updated: 11/07/06
11/07/06 Final Numbers vs. Tuesday's Forecast
(Open) 121.12 vs. Predicted OFV: 120.57
(High) 121.88 vs. Predicted High: 121.47
(Low) 120.96 vs. Predicted Low: 120.56
(Close)121.55
(Range) 0.92 vs. Predicted Range: 0.91

DIA Wednesday Forecast
Opening Fair Value: 121.40
Today's Predicted High: 121.98
Today's Predicted Low: 121.12
Today's Proposed Range: 0.86
Buy/Sell Rating: Strong Buy


Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 85 Up from 78
Volume Internal Strength: Positive 1.40/1.13 Up
Current Trend: Positive 48 Up from 47
Demand Factor: 100 Up from 99
Stock Volatility: 1.04 Down from 1.54

Predict Today's Upside & Downside Potential
11/07/06 12:45 Close: 121.84
Upside Potential: 122.36
Downside Potential: 120.64


Predicted Block Trading Activity
1. 123.38
2. 123.54
3. 123.98
4. 124.32

Predicted Block Trading Activity
1. 119.44
2. 119.12
3. 118.70
4. 118.54

DIA Key Moving Averages
8 DAY MOVING AVERAGE = 120.62
21 DAY MOVING AVERAGE = 120.26
30 DAY MOVING AVERAGE = 119.47
42 DAY MOVING AVERAGE = 118.31
50 DAY MOVING AVERAGE = 117.62
65 DAY MOVING AVERAGE = 116.45
30 WEEK MOVING AVERAGE = 113.64
200 DAY MOVING AVERAGE = 112.86

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Stock Market May Enter New Trading Range

"Just Suppose For A Moment, You Know What The Exchange Insiders Know!" MktMetrics Does.

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Tuesday 11-07-06: DJIA close 12,156.77 +51.22 vs. Prior day: 12,105.55 +119.27
DJIA 21-Day Moving Average: 12,031.60 +14.23 vs. Prior day: 12,017.37 +12.16
(the DJIA closed above its 21-day moving average)

Before the U. S. Stock Market Opening
Wednesday November 8 Stock Market Forecast
*DJIA probability of closing "Up" Wednesday: 39%
(*Above 50% Bullish / Below 50% Bearish)


Market Comment: The MktMetrics DJIA forecast has posted 39% probability to be "Up" Wednesday. The DJIA Trend jumped to 65% from 55% the previous day. The DJIA 8-day moving average is flat, but the DJIA closed above its 21-day moving average Tuesday, which is now at 12,030. The MktMetrics forecast posted Tuesday to be "Up" was only 6% and today is 39%, which is indicative of a probable pull-back for Wednesday. Even though the DJIA Trend jumped 10% yesterday, there was enough technical damage done last week to make us believe that Monday and Tuesday's 170+ rise was perfect for the Exchange Insiders to unload inventory and short into the strength that was created from the Elections. Now reality will set in and stock prices most likely will move lower. We believe that if today returns yesterday's gains, the downward pressure will resume and lower prices will occur. Should today be a strong day, it would indicate that the Stock Market still has the ability to go higher. The statistics below tell us that the Stock Market may be entering a new phase of distribution here at the top and expect a decline up to Thanksgiving. Still quite early to be sure but maybe a trading range of 1,000 points between 11,400 and 12,400 is forthcoming. Let's see what happens. Good luck and Good trading.

Dow Jones Industrial Average Statistics (Historic High / Low):
DJIA Probability of Being "Up" Wednesday: 39% (High 100% / Low 0%)
DJIA Trend: Rising Today 65% vs. Yesterday 55% (High 94% / Low 10%)
DJIA Momentum: Rising Today 97% vs. Yesterday 94% (High 97% / Low 13%)
DJIA Flow of Funds: Rising Today 94% vs. Yesterday 87% (High 97% / Low 6%)
DJIA Volatility: Falling Today 0.80% vs Yesterday 0.86% (High 2.35% / Low -0.22%)

Institutional Investor Statistics (Historic High / Low):
Exchange Insiders' Inventory: Unchanged Today .13% vs Yesterday .13% (High .21% / Low -.24%)Mean= -.02%
Institutional Demand: Falling Today 81.32% vs Yesterday 82.03% (High 84.81% / Low 18.65%)Mean= 51.73%
Institutional Inventory: Rising Today 70.03% vs Yesterday 66.84% (High 79.00% / Low 25.23%)Mean= 52.12%
Institutional Accumulation/Distribution Trend: Falling Today .18% vs Yesterday .19%(High .35% / -.41%)Mean= -.03%

Outlook Statistics: Above 50% Bullish - Below 50% Bearish
DJIA Outlook: Bullish Unchanged Today 79% vs. Yesterday 79% (High 88% / Low 18%)
Stock Market Outlook: Bullish Rising Today 94.8% vs Yesterday 91.6% (High 100.0% / Low 4.8%) (DJIA, S&P 500, Russell 2000 & NASDAQ 100) Aggregate)

One-Year National CD Rate: Falling 5.24% vs Yesterday 5.25% (High 5.62% / 2.1%)
******************************************************************************
10-Key ETF Statistics: Above 0% Bullish - Below 0% Bearish
DIA: Rising Trend Today 48% vs. Yesterday 47% (High 70% / Low -48%)
SPY: Unchanged Trend Today 46% vs. Yesterday 46% (High 73% / Low -54%)
MDY: Falling Trend Today 42% vs. Yesterday 45% (High 85% / Low -80%)
IWM: Falling Trend Today 33% vs. Yesterday 38% (High 71% / Low -53%)
QQQQ: Unchanged Trend Today 24% vs. Yesterday 24% (High 54% / Low -43%)
SMH: Falling Trend Today -3% vs. Yesterday -2% (High 45% / Low -53%)
IYT: Falling Trend Today 11% vs. Yesterday 13% (High 80% / Low -72%)
IDU: Falling Trend Today 50% vs. Yesterday 53% (High 64% / Low -64%)
XLE: Rising Trend Today 42% vs. Yesterday 35% (High 62% / Low -53%)
XLF: Falling Trend Today 19% vs. Yesterday 22% (High 41% / Low -33%)

Information provided by http://www.mktmetrics.com
A Marketing Alliance with Charles Schwab's CyberTrader
Discounts available for Schwab CyberTraders, Corporate Accounts and Trading Rooms

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
Next Day's Advance Market Decisions:
"We're not always right, just very seldom wrong."

Tuesday, November 07, 2006

MktMetrics.com Model Portfolio

Updated Tuesday before the opening 11-07-06

DJIA Probability to be “Up” Tuesday is 6%

Suggested Long Stocks:
Symbol/Opening Fair Value (Tuesday, 11-07-06)
1. ACC OFV: 26.93
2. ACV OFV: 50.67
3. ATLS OFV: 48.21
4. AVY OFV: 64.22
5. CEN OFV: 24.83
6. CEPH OFV: 71.06
7. CHL OFV: 44.77
8. CMCSK OFV: 40.36
9. CMK OFV: 8.34
10. CPWR OFV: 8.14
11. CVX OFV: 69.36
12. EPP OFV: 121.03
13. EWC OFV: 25.03
14. EWD OFV: 29.29
15. EWH OFV: 15.04
16. EWK OFV: 24.45
17. EWU OFV: 23.12
18. FCX OFV: 60.89
19. FISV OFV: 50.10
20. FXI OFV: 88.20
21. HGSI OFV: 13.52
22. HHH OFV: 53.26
23. IART OFV: 39.74
24. IEV OFV: 101.26
25. IGE OFV: 98.42
26. IGN OFV: 30.95
27. ISCA OFV: 52.71
28. KMX OFV: 44.08
29. KOSP OFV: 76.99
30. LTD OFV: 30.02
31. LZ OFV: 46.60
32. LZ OFV:
33. MA OFV: 93.46
34. MALL OFV: 7.88
35. MHP OFV: 64.95
36. MVSN OFV: 27.37
37. NEWP OFV: 21.27
38. OI OFV: 16.97
39. PD OFV: 100.88
40. PG OFV: 63.42
41. PGNX OFV: 25.72
42. PRGS OFV: 28.82
43. REGN OFV: 22.22
44. RTI OFV: 64.43
45. SCHW OFV: 18.51
46. SINA OFV: 27.84
47. SVU OFV: 33.33
48. SYY OFV: 34.98
49. TDS OFV: 52.41
50. TECH OFV: 56.05
51. TRA OFV: 9.40
52. UIS OFV: 6.79
53. UNP OFV: 90.93
54. USM OFV: 65.99
55. WRLD OFV: 47.96
56. XOM OFV: 72.49


Suggested Short Stocks:
Symbol/Opening Fair Value (Tuesday, 11-07-06)
1. ADLR OFV: 8.17
2. ADM OFV: 34.21
3. ATAC OFV: 17.85
4. GLBL OFV: 14.10
5. KND OFV: 26.09
6. WIRE OFV: 25.96


Next Day’s Advance Market Decisions:
"We’re not always right, just very seldom wrong."

Diamonds (DIA) Tuesday Forecast

Information provided by: www.MktMetrics.com

Details for DIA (Diamonds- Dow 30 Exchange Traded Fund)

Today's Date: 11/07/06
Last Updated: 11/06/06
11/06/06 Final Numbers vs. Monday’s Forecast
(Open) 120.06 vs. Predicted OFV: 120.11
(High) 121.14 vs. Predicted High: 120.18
(Low) 120.02 vs. Predicted Low: 119.39
(Close) 121.01
(Range) 1.12 vs. Predicted Range: 0.79

DIA Tuesday Forecast
Opening Fair Value: 120.57
Today's Predicted High: 121.47
Today's Predicted Low: 120.56
Today's Proposed Range: 0.91
Buy/Sell Rating: Strong Buy


Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 78 Up from 71
Volume Internal Strength: Positive 1.10/1.03 Up
Current Trend: Positive 47 Up from 41
Demand Factor: 99 Up from 95
Stock Volatility: 1.54 Up from 1.48

Predict Today's Upside & Downside Potential
11/06/06 12:45 Close: 120.72
Upside Potential: 122.17
Downside Potential: 120.35


Predicted Block Trading Activity
1. 122.42
2. 122.46
3. 123.43
4. 123.56

Predicted Block Trading Activity
1. 118.72
2. 118.59
3. 117.66
4. 117.62

DIA Key Moving Averages
8 DAY MOVING AVERAGE = 120.61
21 DAY MOVING AVERAGE = 120.12
30 DAY MOVING AVERAGE = 119.30
42 DAY MOVING AVERAGE = 118.13
50 DAY MOVING AVERAGE = 117.46
65 DAY MOVING AVERAGE = 116.31
30 WEEK MOVING AVERAGE = 113.58
200 DAY MOVING AVERAGE = 112.78

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Election Day May Bring New Leadership

"Just Suppose For A Moment, You Know What The Exchange Insiders Know!" MktMetrics Does.

Subscribe today for a "14-day Free Look" to: www.mktmetrics.com - See for yourself before you make a trade, at what prices Specialists and Market Makers are only interested to buy and sell your stocks.

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Monday 11-06-06: DJIA close 12,105.55 +119.27 vs. Prior day: 11,986.28 -32.26
DJIA 21-Day Moving Average: 12,017.37 +12.16 vs. Prior day: 12,005.21 +5.70
(the DJIA closed above its 21-day moving average)

Before the U. S. Stock Market Opening
Tuesday November 7 Stock Market Forecast
*DJIA probability of closing "Up" Tuesday: 6%
(*Above 50% Bullish / Below 50% Bearish)


Market Comment: The MktMetrics DJIA forecast has posted 6% probability to be "Up" Tuesday. The DJIA Trend declined to 55% from 58% the previous day. The DJIA 8-day moving average is moving lower. But the DJIA closed above its 21-day moving average Monday, which is now at 12,017. However, MktMetrics.com forecasted Monday to up after the Dow had closed down 6 days in a row. We are expecting a continuation of the declining DJIA Trend as Monday's triple digit Dow close did not help push this key indicator higher. Typically, when the DJIA retreats to the 21-day moving average after making new highs as it did October 26th, there is a positive bounce of a day or two in which the Exchange Insiders use to attract capital to buy their remaining inventory before taking their equities lower. When this occurs, it is the ideal time to be shorting stocks. We believe the DJIA Trend is declining until proven otherwise and that the potential to move lower is building sponsorship. Get out and vote today. Election Day may bring new leadership. Good luck and Good trading.

Dow Jones Industrial Average Statistics (Historic High / Low):
DJIA Probability of Being "Up" Tuesday: 6% (High 100% / Low 0%)
DJIA Trend: Falling Today 55% vs. Yesterday 58% (High 94% / Low 10%)
DJIA Momentum: Unchanged Today 94% vs. Yesterday 94% (High 94% / Low 13%)
DJIA Flow of Funds: Rising Today 87% vs. Yesterday 77% (High 97% / Low 6%)
DJIA Volatility: Rising Today 0.86% vs Yesterday 0.69% (High 2.35% / Low -0.22%)

Institutional Investor Statistics (Historic High / Low):
Exchange Insiders' Inventory: Rising Today .13% vs Yesterday .12% (High .21% / Low -.24%)Mean= -.02%
Institutional Demand: Rising Today 82.03% vs Yesterday 77.55% (High 84.81% / Low 18.65%)Mean= 51.73%
Institutional Inventory: Rising Today 66.84% vs Yesterday 62.77% (High 79.00% / Low 25.23%)Mean= 52.12%
Institutional Accumulation/Distribution Trend: Rising Today .19% vs Yesterday .14%(High .35% / -.41%)Mean= -.03%

Outlook Statistics: Above 50% Bullish - Below 50% Bearish
DJIA Outlook: Bullish Falling Today 79% vs. Yesterday 81% (High 88% / Low 18%)
Stock Market Outlook: Bullish Rising Today 91.6% vs Yesterday 85.2% (High 100.0% / Low 4.8%) (DJIA, S&P 500, Russell 2000 & NASDAQ 100) Aggregate)

One-Year National CD Rate: Unchanged 5.25% vs Yesterday 5.25% (High 5.62% / 2.1%)
******************************************************************************
10-Key ETF Statistics: Above 0% Bullish - Below 0% Bearish
DIA: Rising Trend Today 47% vs. Yesterday 41% (High 70% / Low -48%)
SPY: Rising Trend Today 46% vs. Yesterday 38% (High 73% / Low -54%)
MDY: Rising Trend Today 45% vs. Yesterday 35% (High 85% / Low -80%)
IWM: Rising Trend Today 38% vs. Yesterday 30% (High 71% / Low -53%)
QQQQ: Rising Trend Today 24% vs. Yesterday 18% (High 54% / Low -43%)
SMH: Rising Trend Today -2% vs. Yesterday -7% (High 45% / Low -53%)
IYT: Rising Trend Today 13% vs. Yesterday -1% (High 80% / Low -72%)
IDU: Rising Trend Today 53% vs. Yesterday 51% (High 64% / Low -64%)
XLE: Falling Trend Today 35% vs. Yesterday 37% (High 62% / Low -53%)
XLF: Rising Trend Today 22% vs. Yesterday 16% (High 41% / Low -33%)

Information provided by http://www.mktmetrics.com
A Marketing Alliance with Charles Schwab's CyberTrader
Discounts available for Schwab CyberTraders, Corporate Accounts and Trading Rooms

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
Next Day's Advance Market Decisions:
"We're not always right, just very seldom wrong."

Monday, November 06, 2006

MktMetrics.com Model Portfolio

Updated Sunday 11-05-06

DJIA Probability to be “Up” Monday is 77%

Suggested Long Stocks:
Symbol/Opening Fair Value (Monday, 11-06-06)
1. CEN OFV: 24.58
2. CERN OFV: 48.98
3. CHL OFV: 42.86
4. ELX OFV: 19.12
5. EWC OFV: 24.85
6. EWK OFV: 24.33
7. GLD OFV: 62.07
8. HGSI OFV: 13.26
9. IGN OFV: 30.41
10. LTD OFV: 29.63
11. LWSN OFV: 7.70
12. LXK OFV: 63.51
13. MA OFV: 88.34
14. REGN OFV: 20.54
15. SCHW OFV: 17.99
16. TDS OFV: 51.71
17. TRP OFV: 32.99
18. USM OFV: 64.77
19. XOM OFV: 71.84


Suggested Short Stocks:
Symbol/Opening Fair Value (Monday, 11-06-06)
1. ADM OFV: 34.91
2. ATAC OFV: 18.20
3. CHP OFV: 4.04
4. CMX OFV: 47.72
5. CVS OFV: 28.98
6. GLBL OFV: 14.51
7. IDXX OFV: 82.60
8. KND OFV: 26.25
9. LUV OFV: 14.71
10. NFI OFV: 30.14
11. OSK OFV: 44.73
12. SIE OFV: 32.98
13. TIN OFV: 38.35
14. WFMI OFV: 46.95


Next Day’s Advance Market Decisions:
"We’re not always right, just very seldom wrong."

Diamonds (DIA) Monday Forecast

Information provided by: www.MktMetrics.com

Details for DIA (Diamonds- Dow 30 Exchange Traded Fund)

Today's Date: 11/06/06
Last Updated: 11/03/06
11/03/06 Final Numbers vs. Friday’s Forecast
(Open) 120.46 vs. Predicted OFV: 119.98
(High) 120.62 vs. Predicted High: 120.45
(Low) 119.60 vs. Predicted Low: 119.72
(Close) 119.78
(Range) 1.02 vs. Proposed Range: 0.73

DIA Monday Forecast
Opening Fair Value: 120.11
Today's Predicted High: 120.18
Today's Predicted Low: 119.39
Today's Proposed Range: 0.79
Buy/Sell Rating: Strong Buy


Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 71 Down from 79
Volume Internal Strength: Positive 1.00/1.07 Down
Current Trend: Positive 41 Down from 51
Demand Factor: 95 Down from 99
Stock Volatility: 1.48 Up from 0.10

Predict Today's Upside & Downside Potential
11/03/06 12:45 Close: 119.62
Upside Potential: 120.52
Downside Potential: 118.94


Predicted Block Trading Activity
1. 121.99
2. 122.18
3. 122.87
4. 123.03

Predicted Block Trading Activity
1. 118.21
2. 118.05
3. 117.38
4. 117.21

DIA Key Moving Averages
8 DAY MOVING AVERAGE = 120.65
21 DAY MOVING AVERAGE = 120.00
30 DAY MOVING AVERAGE = 119.12
42 DAY MOVING AVERAGE = 117.95
50 DAY MOVING AVERAGE = 117.30
65 DAY MOVING AVERAGE = 116.18
30 WEEK MOVING AVERAGE = 113.52
200 DAY MOVING AVERAGE = 112.71

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Stock Markets React To Weekend News

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Friday 11-03-06: DJIA close 11,986.28 -32.26 vs. Prior day: 12,018.54 -12.48
DJIA 21-Day Moving Average: 12,005.21 +5.70 vs. Prior day: 11,999.51 +7.99
(the DJIA closed below its 21-day moving average)

Before the U. S. Stock Market Opening
Monday November 6 Stock Market Forecast
*DJIA probability of closing "Up" Monday: 77%
(*Above 50% Bullish / Below 50% Bearish)


Market Comment: The MktMetrics DJIA forecast has posted 77% probability to be "Up" Monday. The DJIA Trend declined to 58% from 61% the previous day. We track a variety of technical indicators and key moving averages because this information signals to the user when a sea change is about to occur. Thus, we bring to your attention that on Thursday of last week the DJIA 8-day moving average breached its upward progress by posting a decline for the first time in several months. When this happens, it is typical for the next level to be tested. That next level is the 21-day moving average which is now at 12,005. The DJIA closed below its 21-day moving average on Friday. However, the Dow has closed down 6 days in a row and should deliver an up day of consolidation before going lower. We believe the DJIA Trend is declining until proven otherwise and that the potential to move lower is building sponsorship. Mondays, stock markets like to digest what news occurred over the weekend, so let's see what is in store for today. Good luck and Good trading.

Dow Jones Industrial Average Statistics (Historic High / Low):
DJIA Probability of Being "Up" Monday: 77% (High 100% / Low 0%)
DJIA Trend: Falling Today 58% vs. Yesterday 61% (High 94% / Low 10%)
DJIA Momentum: Unchanged Today 94% vs. Yesterday 94% (High 94% / Low 13%)
DJIA Flow of Funds: Falling Today 77% vs. Yesterday 84% (High 97% / Low 6%)
DJIA Volatility: Rising Today 0.69% vs Yesterday 0.17% (High 2.35% / Low -0.22%)

Institutional Investor Statistics (Historic High / Low):
Exchange Insiders' Inventory: Falling Today .12% vs Yesterday .14% (High .21% / Low -.24%)Mean= -.02
Institutional Demand: Falling Today 77.55% vs Yesterday 80.26% (High 84.81% / Low 18.65%)Mean= 51.73
Institutional Inventory: Falling Today 62.77% vs Yesterday 66.35% (High 79.00% / Low 25.23%)Mean= 52.12
Institutional Accumulation/Distribution Trend: Falling Today .14% vs Yesterday .16%(High .35% / -.41%)Mean= -.03

Outlook Statistics: Above 50% Bullish - Below 50% Bearish
DJIA Outlook: Bullish Falling Today 81% vs. Yesterday 83% (High 88% / Low 18%)
Stock Market Outlook: Bullish Falling Today 85.2% vs Yesterday 86.2% (High 100.0 / Low 4.8%) (DJIA, S&P 500, Russell 2000 & NASDAQ 100) Aggregate)

One-Year National CD Rate: Falling 5.25% vs Yesterday 5.26% (High 5.62% / 2.1%)
******************************************************************************
10-Key ETF Statistics: Above 0% Bullish - Below 0% Bearish
DIA: Falling Trend Today 41% vs. Yesterday 51% (High 70% / Low -48%)
SPY: Falling Trend Today 38% vs. Yesterday 43% (High 73% / Low -54%)
MDY: Falling Trend Today 35% vs. Yesterday 39% (High 85% / Low -80%)
IWM: Falling Trend Today 30% vs. Yesterday 37% (High 71% / Low -53%)
QQQQ: Falling Trend Today 18% vs. Yesterday 23% (High 54% / Low -43%)
SMH: Unchanged Trend Today -7% vs. Yesterday -7% (High 45% / Low -53%)
IYT: Falling Trend Today -1% vs. Yesterday 11% (High 80% / Low -72%)
IDU: Falling Trend Today 51% vs. Yesterday 53% (High 64% / Low -64%)
XLE: Rising Trend Today 37% vs. Yesterday 34% (High 62% / Low -53%)
XLF: Rising Trend Today 16% vs. Yesterday 12% (High 41% / Low -33%)

Information provided by http://www.mktmetrics.com
A Marketing Alliance with Charles Schwab's CyberTrader
Discounts available for Schwab CyberTraders, Corporate Accounts and Trading Rooms

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
Next Day's Advance Market Decisions:
"We're not always right, just very seldom wrong."

Sunday, November 05, 2006

MktMetrics.com Model Portfolio

Updated Sunday 11-05-06

DJIA Probability to be “Up” Monday is 77%

Suggested Long Stocks:
Symbol/Opening Fair Value (Monday, 11-06-06)
1. CEN 24.58
2. CERN 48.98
3. CHL 42.86
4. ELX 19.12
5. EWC 24.85
6. EWK 24.33
7. GLD 62.07
8. HGSI 13.26
9. IGN 30.41
10. LTD 29.63
11. LWSN 7.70
12. LXK 63.51
13. MA 88.34
14. REGN 20.54
15. SCHW 17.99
16. TDS 51.71
17. TRP 32.99
18. USM 64.77
19. XOM 71.84


Suggested Short Stocks:
Symbol/Opening Fair Value (Monday, 11-06-06)
1. ADM 34.91
2. ATAC 18.20
3. CHP 4.04
4. CMX 47.72
5. CVS 28.98
6. GLBL 14.51
7. IDXX 82.60
8. KND 26.25
9. LUV 14.71
10. NFI 30.14
11. OSK 44.73
12. SIE 32.98
13. TIN 38.35
14. WFMI 46.95


Next Day’s Advance Market Decisions:
"We’re not always right, just very seldom wrong."

Dow 30 Industrials Buy/Sell

DJIA Probability to be "Up" Monday is 77%

Symbol/Signal Demand Range IRS Trend
1. AA S/BUY 54- 0.84 65D 0.18+
2. AIG S/BUY 98+ 0.68 61D 0.16+
3. AXP BUY - 74- 0.44 68D 0.11+
4. BA S/SELL - 23+ 0.40 35U -0.25+
5. C BUY 70- 0.39 37D 0.04+
6. CAT S/SELL - 00- 0.87 12D -0.59+
7. DD S/BUY 80- 0.68 67D 0.17+
8. DIA S/BUY 95- 0.79 71D 0.41+
9. DIS BUY 100/ 0.49 84U 0.34+
10.GE SELL 79- 0.36 35D -0.05+
11.GM BUY - 90- 0.80 72D 0.13+
12.HD S/BUY 99+ 0.50 75D 0.14+
13.HON SELL - 86- 0.74 66D -0.01+
14.HPQ BUY 77- 0.84 59D 0.03+
15.IBM BUY 44- 1.57 83D 0.38+
16.INTC S/SELL - 59- 0.50 47D -0.10+
17.JNJ S/BUY 77- 0.67 70D 0.26+
18.JPM SELL - 89/ 0.59 49D 0.14+
19.KO BUY 82- 0.40 77D 0.15+
20.MCD BUY 94- 0.63 80D 0.36+
21.MMM BUY 23- 1.02 59D 0.20+
22.MO BUY 90/ 0.95 68D 0.26+
23.MRK S/BUY 94+ 0.52 86D 0.51+
24.MSFT S/BUY 91- 0.45 91D 0.08+
25.PFE BUY 85- 0.45 36D 0.08/
26.PG S/BUY 100/ 0.86 83U 0.39+
27.T S/BUY 83- 0.53 76D 0.30+
28.UTX SELL - 86- 0.78 47D -0.06+
29.VZ S/BUY 92- 1.23 54D 0.20+
30.WMT BUY + 90- 0.75 40D 0.01+
31.XOM BUY 100/ 1.13 93U 0.47+


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Saturday, November 04, 2006

The MktMetrics Weekly Stock Market Analysis

Our belief is that the Stock Market is controlled by the Specialists and Market Makers or Exchange Insiders. We developed MktMetrics over a four year period and performed a 30-year computer generated study to test our findings. Our sole purpose was to produce a mirror image of where the Exchange Insiders buy and sell their stock inventory. We hope you will subscribe to http://www.mktmetrics.com/ for $40.00 monthly and financially benefit by its consistently accurate daily results. After performing our extensive research, we found that the Exchange Insiders control the direction of the Stock Market by moving individual members of the Dow Jones Industrial Average to establish a trend for the purpose of accumulating at wholesale and distributing at retail, their stock inventory for maximum gain. Ergo, we pay strict attention to the numbers generated from the MktMetrics program to spot their intent. To that end, our focus is concentrated on the Dow Jones Industrial Average.
Dow Jones Industrial Average trading Range: High 12236.10 - Low 9,961.52 = 2,274.58

Week Ending November 3, 2006
MktMetrics Weekly Stock Market Analysis:


DJIA Outlook: Bullish Falling 81% vs Last week: 86% (High 88% / Low 12%)
DJIA Closed: 11,986.28 vs Last week: 12,090.26 -103.98 / Prior week: +87.89
21-day M/A: 12,005.21 vs Last week: 11,938.11 +67.10 / Prior week: +117.70
DJIA Trend: Falling 58% vs Last week: 81% (High 94% / Low 10%)
DJIA Momentum: Rising 94% vs Last week: 90% (High 94% / Low 10%)
DJIA Volatility: Rising 0.69% vs Last week: 0.49% (High 2.35% / Low -0.22%)
DJIA Resistance: Rising Near Term 12,215 vs Last week: 12,147
DJIA Resistance: Rising Intermediate Term 12,425 vs Last week: 12,356
DJIA Support: Rising Near Term 11,795 vs Last week: 11,729
DJIA Support: Rising Intermediate Term 11,585 vs Last week: 11,520
DJIA Money Flow Index: Falling 77% vs Last week: 94% (High 97% / Low 08%)
DJIA Directional Indicator: +5.7 vs Last week: +17.7 (High 35.4 / Low -35.8)
21-Day M/A Price A/D Line: +207 vs Last week: +378 (High 647 / Low -455)
21-Day M/A Volume A/D Line: -78 vs Last week: +36 (High 188/ Low -439)
DJIA Price vs 21-Day M/A: -0.16% vs Last week: 1.27% (High 4.36% / Low -3.56%)
DJIA Moving Average Convergence/Divergence(MACD): SELL(-) vs Last week: SELL(-)
DJIA Overbought/Oversold (CCI): -82 vs Last week: 79 (High 255 / Low -202)
DJIA Stochastic 20-Day Indicator: 54 vs Last week: 84 (High 100 / Low 00)
DJIA Relative Strength 14-Day Indicator: 51 vs Last week: 74 (High 97 / Low 12)
DJIA Today vs 50-Day M/A Volume: 0.9 vs Last week: 1.0 (High 1.4 / Low 0.4)

Stock Market Outlook: Bullish Falling 85.2% vs Last week: 93.8% (100.0% / Low 8.0%)
Exchange Insiders'Inventory: Falling .12% vs Last week: .17% (High .19% / Low -.24%)
Institutional Demand Factor: Falling 77.6 vs Last week: 81.8 (High 84.8 / Low 18.7)
Institutional Inventory Factor: Falling 62.8 vs Last week: 75.7 (High 79.0 / 25.2)
Institutional Accumulation/Distribution Trend: Falling .14 vs Last week: .24 (High .35 / -.41)
Institutional Sentiment Index: Rising 114 vs Last week: 111 (High 124 / Low 68)
Speculation Indicator: Unchanged -.03 vs Last week: -.03 (High +.78 / Low -.71)
One-Year National CD Rate: Unchanged 5.26% vs Last week: 5.26% (5.62 / Low 2.1%)
*********************************************************************************
Exchange Traded Funds- Trend/Sector Analysis: (Change +/-)
Symbol/Trend/Historic(High-Low)/Rating/Demand Factor
Diamonds-Dow 30
DIA: +.41 vs Last week: +.61 (High .70 / Low -.48) Rating: BUY Demand Factor: 95-
SPDR-S&P 500
SPY: +.38 vs Last week: +.61 (High .73 / Low -.54) Rating: BUY Demand Factor: 94-
SPDR-S&P 400 Mid-Cap
MDY: +.35 vs Last week: +.56 (High .85 / Low -.80) Rating: BUY Demand Factor: 97/
Russell 2000 Small-Cap
IWM: +.30 vs Last week: +.47 (High .71 / Low -.42) Rating: BUY Demand Factor: 94-
Nasdaq 100 Large Growth
QQQQ: +.18 vs Last week: +.26 (High .54 / Low -.35) Rating: BUY Demand Factor: 97+
1. Biotech
BBH: +.26 vs Last week: +.56 (High 1.58 / Low -1.02)Rating: BUY Demand Factor: 98+
2. Broadband
BDH: -.25 vs Last week: -.09 (High .57 / Low -.54) Rating: SELL Demand Factor: 04-
3. Central Fund of Canada (Physical Precious Metals)
CEF: +.19 vs Last week: -.01 (High .41 / Low -.29) Rating: BUY Demand Factor: 67+
4. Deutsche Bank Commodity Index Tracking ETF
DBC: +.27 vs Last week: +.42 (High .56 / Low -.65) Rating: BUY Demand Factor: 96-
5. Emerging Markets
EEM: +.37 vs Last week: +.35 (High .84 / Low -.16) Rating: BUY Demand Factor: 86-
6. EAFE Global Equities (Europe, Australasia and Far East)
EFA: +.30 vs Last week: +.44 (High .56 / Low -.37) Rating: BUY Demand Factor: 90-
7. Pacific ex-Japan
EPP: +.66 vs Last week: +.71 (High .71 / Low -31) Rating: BUY Demand Factor: 95-
8. Canada
EWC: +.40 vs Last week: +.30 (High .52 / Low -.29) Rating: BUY Demand Factor: 100/
9. Sweden
EWD: +.51 vs Last week: +.63 (High .66 / Low -.26) Rating: BUY Demand Factor: 97+
10. Germany
EWG: +.16 vs Last week: +.41 (High .61 / Low -.19) Rating: BUY Demand Factor: 90-
11. Hong Kong
EWH: +.09 vs Last week: +.07 (High .43 / Low -.25) Rating: BUY Demand Factor: 96+
12. Japan
EWJ: +.29 vs Last week: +.32 (High .63 / Low -.43) Rating: BUY Demand Factor: 95-
13. Belgium
EWK: +.50 vs Last week: +.48 (High .60 / Low -.21) Rating: BUY Demand Factor: 100+
14. Switzerland
EWL: +.33 vs Last week: +.36 (High .64 / Low -.20) Rating: BUY Demand Factor: 100/
15. Malaysia
EWM: +.13 vs Last week: +.06 (High .29 / Low -.21) Rating: BUY Demand Factor: 79-
16. Netherlands
EWN: +.25 vs Last week: +.27 (High .49 / Low -.14) Rating: BUY Demand Factor: 99-
17. France
EWQ: +.33 vs Last week: +.02 (High .56 / Low -.36) Rating: BUY Demand Factor: 89-
18. Singapore
EWS: -.13 vs Last week: +.14 (High .38 / Low -.21) Rating: BUY Demand Factor: 21-
19. Taiwan
EWT: +.08 vs Last week: -.06 (High .23 / Low -.21) Rating: BUY+ Demand Factor: 85+
20. United Kingdom
EWU: +.61 vs Last week: +.67 (High .69 / Low -.20) Rating: BUY Demand Factor: 100+
21. Mexico
EWW: +.21 vs Last week: +.33 (High .50 / Low -.31) Rating: BUY Demand Factor: 88+
22. South Korea
EWY: +.47 vs Last week: +.38 (High .43 / Low -.53) Rating: BUY Demand Factor: 98+
23. Brazil
EWZ: +.38 vs Last week: +.34 (High .65 / Low -.28) Rating: BUY Demand Factor: 99+
24. Xinhua China
FXI: +.45 vs Last week: +.37 (High .62 / Low -.32) Rating: BUY Demand Factor: 100+
25. Street TRACKS Gold Trust
GLD: +.58 vs Last week: +.20 (High .54 / Low -.61) Rating: BUY Demand Factor: 100+
26. Internet
HHH: +.26 vs Last week: +.45 (High .50 / Low -.75) Rating: BUY Demand Factor: 97+
27. Internet Architecture
IAH: +.25 vs Last week: +.39 (High .65 / Low -.60) Rating: BUY Demand Factor: 73+
28. Comex Gold
IAU: +.54 vs Last week: -.03 (High .81 / Low -.65) Rating: BUY+ Demand Factor: 76+
29. Biotechnology
IBB: +.36 vs Last week: +.48 (High .58 / Low -.62) Rating: BUY Demand Factor: 100+
30. Utilities
IDU: +.51 vs Last week: +.52 (High .59 / Low -.54) Rating: BUY Demand Factor: 96-
31. S&P Europe 350 Index
IEV: +.73 vs Last week: +.81 (High .81 / Low -.48) Rating: BUY Demand Factor: 99/
32. Natural Resources
IGE: +.60 vs Last week: +.52 (High .88 / Low -.72) Rating: BUY Demand Factor: 99+
33. Networking
IGN: +.06 vs Last week: +.09 (High .38 / Low -.50) Rating: BUY Demand Factor: 100+
34. Software
IGV: +.22 vs Last week: +.08 (High .33 / Low -.60) Rating: BUY Demand Factor: 92+
35. Semiconductor
IGW: -.17 vs Last week: -.24 (High .62 / Low -.75) Rating: SELL Demand Factor: 55+
36. Internet Infrastructure
IIH: +.19 vs Last week: +.17 (High .37 / Low -.23) Rating: BUY Demand Factor: 100+
37. Mid-Cap 400 Blend
IJH: +.25 vs Last week: +.38 (High .44 / Low -.30) Rating: BUY Demand Factor: 90-
38. Mid-Cap 400 Growth
IJK: +.34 vs Last week: +.40 (High .48 / Low -.52) Rating: BUY Demand Factor: 97/
39. Small-Cap 600
IJR: +.31 vs Last week: +.39 (High .83 / Low -.41) Rating: BUY Demand Factor: 96-
40. S&P Latin America 40 Index
ILF: +.63 vs Last week: +.83 (High 1.19 / Low -.60)Rating: BUY Demand Factor: 93-
41. S&P 1500 Index
ISI: +.38 vs Last week: +.73 (High .79 / Low -.41) Rating: BUY Demand Factor: 97-
42. S&P/TOPIX 150 Japan Index
ITF: +.35 vs Last week: +.67 (High .92 / Low -.90) Rating: BUY Demand Factor: 95-
43. Global Financial
IXG: +.41 vs Last week: +.69 (High .79 / Low -.35) Rating: BUY Demand Factor: 96-
44. Consumer Cyclical
IYC: +.48 vs Last week: +.68 (High .78 / Low -.64) Rating: BUY Demand Factor: 97/
45. Energy
IYE: +.37 vs Last week: +.10 (High .79 / Low -.69) Rating: BUY Demand Factor: 34+
46. Healthcare
IYH: +.30 vs Last week: +.35 (High .39 / Low -.44) Rating: BUY Demand Factor: 99-
47. Industrial
IYJ: +.07 vs Last week: +.41 (High .52 / Low -.35) Rating: BUY Demand Factor: 85-
48. Consumer Non-Cyclical
IYK: +.62 vs Last week: +.55 (High .58 / Low -.56) Rating: BUY Demand Factor: 98-
49. Basic Materials
IYM: +.41 vs Last week: +.44 (High .51 / Low -.52) Rating: BUY Demand Factor: 85-
50. Real Estate
IYR: +.09 vs Last week: +.46 (High .62 / Low -.38) Rating: BUY Demand Factor: 83-
51. Transportation
IYT: -.01 vs Last week: +.52 (High .80 / Low -.52) Rating: SELL- Demand Factor: 74-
52. Technology
IYW: +.09 vs Last week: +.22 (High .42 / Low -.50) Rating: BUY Demand Factor: 79-
53. Telecommunications
IYZ: -.08 vs Last week: -.02 (High .43 / Low -.30) Rating: SELL Demand Factor: 61/
54. Oil Services
OIH: +.58 vs Last week: +.44 (High 1.63/ Low -.129) Rating: BUY Demand Factor: 77+
55. PowerShares WilderHill Clean Energy
PBW: +.03 vs Last week: +.18 (High .31 / Low -.24) Rating: BUY Demand Factor: 61-
56. Pharmaceutical
PPH: +.18 vs Last week: +.47 (High .49 / Low -.61) Rating: BUY Demand Factor: 75-
57. PowerShares Dynamic OTC
PWO: -.54 vs Last week: +.30 (High .36 / Low -.54) Rating: SELL- Demand Factor: 01-
58. Regional Bank
RKH: +.09 vs Last week: +.39 (High .88 / Low -.48) Rating: SELL- Demand Factor: 92-
59. MS Eastern Europe Fund
RNE: +.28 vs Last week: +.41 (High .41 / Low -.29) Rating: BUY Demand Factor: 83-
60. Retail
RTH: -.02 vs Last week: +.27 (High .60 / Low -.58) Rating: SELL- Demand Factor: 86-
61. Silver Trust
SLV: +.90 vs Last week: +.40 (High .91 / Low -.88) Rating: BUY Demand Factor: 65+
62. Semiconductor
SMH: -.07 vs Last week: +.03 (High .45 / Low -.52) Rating: SELL Demand Factor: 59-
63. Software
SWH: +.06 vs Last week: +.10 (High .51 / Low -.41) Rating: BUY Demand Factor: 68-
64. Lehman 20+ Treasury Bond Fund
TLT: +.01 vs Last week: -.02 (High .53 / Low -.44) Rating: BUY+ Demand Factor: 95-
65. Telecommunications
TTH: +.29 vs Last week: +.39 (High .54 / Low -.31) Rating: BUY Demand Factor: 95-
66. Utilities
UTH: +.28 vs Last week: +.45 (High .68 / Low -.65) Rating: BUY Demand Factor: 51-
67. Wireless
WMH: -.07 vs Last week: +.29 (High .55 / Low -.64) Rating: SELL- Demand Factor: 38-
68. Homebuilders
XHB: -.12 vs Last week: +.03 (High .69 / Low -.43) Rating: SELL- Demand Factor: 35-
69. Materials Select Sector
XLB: +.25 vs Last week: +.29 (High .34 / Low -.41) Rating: BUY Demand Factor: 83-
70. S&P Energy Select
XLE: +.37 vs Last week: +.30 (High .76 / Low -.51) Rating: BUY Demand Factor: 97+
71. S&P Financial Select
XLF: +.16 vs Last week: +.42 (High .46 / Low -.23) Rating: BUY Demand Factor: 84-
72. Technology
XLK: +.16 vs Last week: +.28 (High .36 / Low -.32) Rating: BUY Demand Factor: 90-
73. Consumer Staples
XLP: +.28 vs Last week: +.40 (High .40 / Low -.29) Rating: BUY Demand Factor: 90-
74. Healthcare Select
XLV: +.19 vs Last week: +.47 (High .48 / Low -.28) Rating: BUY Demand Factor: 86-
75. Industrial Sector
XLY: +.25 vs Last week: +.44 (High .52 / Low -.45) Rating: BUY Demand Factor: 92-
76. Mining & Metals Sector
XME: +.44 vs Last week: +.70 (High .77 / Low -.35) Rating: BUY Demand Factor: 42/

Information provided by: www.MktMetrics.com
A Marketing Alliance with Charles Schwab's CyberTrader
Discounts available for Schwab CyberTraders, Corporate Accounts and Trading Rooms

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
"Just Suppose For A Moment, You Know What The Exchange Insiders Know!" MktMetrics Does.

Friday, November 03, 2006

Friday's POSITIVE/NEGATIVE Momentum Stocks

Information provided by: www.MktMetrics.com

Today's Positive Momentum Long Ideas
OFV=Opening Fair Value
1. IXG OFV= 86.23
2. EWU OFV= 22.97
3. UDR OFV= 31.43
4. ESS OFV= 130.91
5. RSP OFV= 45.59
6. IDU OFV= 87.33
7. IJR OFV= 63.08
8. TEX OFV= 51.09
9. SKT OFV= 36.01
10.CSX OFV= 35.60


Today's Negative Momentum Short Ideas
OFV=Opening Fair Value
1. XHB OFV= 33.69
2. TARO OFV= 10.24
3. PHM OFV= 30.93
4. PGR OFV= 23.75
5. LEN OFV= 46.67
6. KBH OFV= 44.56
7. CEGE OFV= 4.17
8. UNH OFV= 48.59
9. HOV OFV= 29.84
10.DHI OFV= 23.16


Next Day’s Advance Market Decisions:
We’re not always right, just very seldom wrong.

Diamonds (DIA) Friday Forecast

Information provided by: www.MktMetrics.com

Details for DIA (Diamonds- Dow 30 Exchange Traded Fund)

Today's Date: 11/03/06
Last Updated: 11/02/06
11/02/06 Final Numbers vs. Thursday’s Forecast
(Open) 119.91 vs. Predicted OFV: 120.57
(High) 120.24 vs. Predicted High: 120.63
(Low) 119.72 vs. Predicted Low: 119.90
(Close) 120.08
(Range) .52 vs. Proposed Range: .73

DIA Friday Forecast
Opening Fair Value: 119.98
Today's Predicted High: 120.45
Today's Predicted Low: 119.72
Today's Proposed Range: 0.73
Buy/Sell Rating: Strong Buy


Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 79 Down from 84
Volume Internal Strength: Positive 1.00/1.07 Down
Current Trend: Positive 51 Down from 61
Demand Factor: 99 Up from 97
Stock Volatility: 0.10 Down from 1.93

Predict Today's Upside & Downside Potential
11/02/06 12:45 Close: 119.91
Upside Potential: 120.91
Downside Potential: 119.45


Predicted Block Trading Activity
1. 122.11
2. 122.31
3. 122.48
4. 122.64

Predicted Block Trading Activity
1. 117.84
2. 117.68
3. 117.51
4. 117.33

DIA Key Moving Averages
8 DAY MOVING AVERAGE = 120.84
21 DAY MOVING AVERAGE = 119.95
30 DAY MOVING AVERAGE = 118.96
42 DAY MOVING AVERAGE = 117.82
50 DAY MOVING AVERAGE = 117.16
65 DAY MOVING AVERAGE = 116.07
30 WEEK MOVING AVERAGE = 113.47
200 DAY MOVING AVERAGE = 112.65

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Stock Market: People Lie, Numbers Never Lie

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Thursday 11-02-06: DJIA close 12,018.54 -12.48 vs. Prior day: 12,031.02 -49.71
DJIA 21-Day Moving Average: 11,999.51 +7.99 vs. Prior day: 11,991.52 +14.46
(the DJIA closed above its 21-day moving average)

Before the U. S. Stock Market Opening
Friday November 3 Stock Market Forecast
*DJIA probability of closing "Up" Friday: 48%
(*Above 50% Bullish / Below 50% Bearish)


Market Comment: The MktMetrics DJIA forecast has posted 48% probability to be "Up" Friday. The DJIA Trend fell to 61% from 71% the previous day. We use "fell" rather than "declined" when this indicator drops 10% or more. However, the DJIA Demand Factor increased to 80.26% from 78.16 the previous day illustrating that smart money was covering their short positions at the close. Since the Dow has dropped five days in row, we are expecting a bounce off of the 21-day moving average where the DJIA closed Thursday. We are still under the distinct impression that the Trend has been broken, at least for now. The NASDAQ COMPX closed for the second day below its 21-day moving average and the SPX closed right on its 21-day moving average, dito the DJIA. The DJIA Volume 21-day moving average is now negative. The infamous Joseph Granville of E.F. Hutton during the 60's discovered that volume precedes price. The DJIA results of yesterday could be building a case for such a decline. But keep in mind that this Tuesday is Election Day and according to historic statistics, it would be timely to see some improvement here, even if it is only a temporary situation. We are Trend followers and have been patiently waiting for the DJIA Trend to move below 70% before examining short candidates. The Trend now is posting 61% and is declining until proven otherwise. We believe that a reversal of the DJIA Trend is near, if it hasn't begun already. However, we are also well aware of November and December can be a positive season for stocks. This is why MktMetrics.com was created, to track the Exchange Insiders and identify what they are doing with their inventory. Remember this: "People lie, numbers never lie." The Exchange Insiders always leave footprints that can be easily identified by following the numbers! Be sure to catch the "Weekly Edition of MktMetrics.com" on Saturday and the "Dow 30 BUY/SELL" analysis on Sunday. Good luck and Good trading.

Dow Jones Industrial Average Statistics (Historic High / Low):
DJIA Probability of Being "Up" Friday: 48% (High 100% / Low 0%)
DJIA Trend: Falling Today 61% vs. Yesterday 71% (High 94% / Low 10%)
DJIA Momentum: Unchanged Today 94% vs. Yesterday 94% (High 94% / Low 13%)
DJIA Flow of Funds: Falling Today 84% vs. Yesterday 90% (High 97% / Low 6%)
DJIA Volatility: Falling Today 0.17% vs Yesterday 0.80% (High 2.35% / Low -0.22%)

Institutional Investor Statistics (Historic High / Low):
Exchange Insiders' Inventory: Falling Today .14% vs Yesterday .17% (High .21% / Low -.24%)Mean= -.02
Institutional Demand: Rising Today 80.26% vs Yesterday 78.16% (High 84.81% / Low 18.65%)Mean= 51.73
Institutional Inventory: Falling Today 66.35% vs Yesterday 68.32% (High 79.00% / Low 25.23%)Mean= 52.12
Institutional Accumulation/Distribution Trend: Falling Today .16% vs Yesterday .22%(High .35% / -.41%)Mean= -.03

Outlook Statistics: Above 50% Bullish - Below 50% Bearish
DJIA Outlook: Bullish Falling Today 83% vs. Yesterday 85% (High 88% / Low 18%)
Stock Market Outlook: Bullish Falling Today 86.2% vs Yesterday 87.0% (High 100.0 / Low 4.8%) (DJIA, S&P 500, Russell 2000 & NASDAQ 100) Aggregate)

One-Year National CD Rate: Unchanged 5.26% vs Yesterday 5.26% (High 5.62% / 2.1%)
******************************************************************************
10-Key ETF Statistics: Above 0% Bullish - Below 0% Bearish
DIA: Falling Trend Today 51% vs. Yesterday 61% (High 70% / Low -48%)
SPY: Falling Trend Today 43% vs. Yesterday 54% (High 73% / Low -54%)
MDY: Falling Trend Today 39% vs. Yesterday 50% (High 85% / Low -80%)
IWM: Falling Trend Today 37% vs. Yesterday 52% (High 71% / Low -53%)
QQQQ: Falling Trend Today 23% vs. Yesterday 31% (High 54% / Low -43%)
SMH: Falling Trend Today -7% vs. Yesterday 3% (High 45% / Low -53%)
IYT: Falling Trend Today 11% vs. Yesterday 28% (High 80% / Low -72%)
IDU: Falling Trend Today 53% vs. Yesterday 62% (High 64% / Low -64%)
XLE: Falling Trend Today 34% vs. Yesterday 40% (High 62% / Low -53%)
XLF: Falling Trend Today 12% vs. Yesterday 23% (High 41% / Low -33%)

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A Marketing Alliance with Charles Schwab's CyberTrader
Discounts available for Schwab CyberTraders, Corporate Accounts and Trading Rooms

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
Next Day's Advance Market Decisions:
"We're not always right, just very seldom wrong."

Thursday, November 02, 2006

Thursday's POSITIVE/NEGATIVE Momentum Stocks

Information provided by: www.MktMetrics.com

Today's Positive Momentum Long Ideas
OFV=Opening Fair Value
1. EOP OFV= 42.96
2. DRE OFV= 40.07
3. FPL OFV= 51.37
4. PRGS OFV= 28.80
5. DTE OFV= 45.86
6. SO OFV= 36.47
7. HAS OFV= 26.31
8. CMK OFV= 8.26
9. SYY OFV= 35.05


Today's Negative Momentum Short Ideas
OFV=Opening Fair Value
1. SIE OFV= 34.18
2. CEGE OFV= 4.33
3. ESRX OFV= 63.42
4. LUV OFV= 15.01
5. CHP OFV= 4.69
6. ELX OFV= 18.91
7. PGR OFV= 24.13
8. BDH OFV= 16.49
9. CAT OFV= 60.56


Next Day’s Advance Market Decisions:
We’re not always right, just very seldom wrong.

Diamonds (DIA) Thursday Forecast

Information provided by: ww.MktMetrics.com

Details for DIA (Diamonds- Dow 30 Exchange Traded Fund)

Today's Date: 11/02/06
Last Updated: 11/01/06
11/01/06 Final Numbers vs. Wednesday's Forecast
(Open) 121.06 vs. Predicted OFV: 120.63
(High) 121.11 vs. Predicted High: 121.05
(Low) 119.98 vs. Predicted Low: 120.42 (Downside Potential was: 120.36)
(Close)120.26

DIA Thursday Forecast
Opening Fair Value: 120.57
Today's Predicted High: 120.63
Today's Predicted Low: 119.90
Today's Proposed Range: 0.73
Buy/Sell Rating: Strong Buy


Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 84 Down from 89
Volume Internal Strength: Positive 1.10/1.12 Down
Current Trend: Positive 61 Down from 70
Demand Factor: 97 Down from 100
Stock Volatility: 1.93 Up from 1.47

Predict Today's Upside & Downside Potential
11/01/06 12:45 Close : 120.27
Upside Potential: 120.90
Downside Potential: 119.44


Predicted Block Trading Activity
1. 122.38
2. 122.67
3. 123.48
4. 123.53

Predicted Block Trading Activity
1. 118.69
2. 118.64
3. 117.85
4. 117.58

DIA Key Moving Averages
8 DAY MOVING AVERAGE = 120.94
21 DAY MOVING AVERAGE = 119.87
30 DAY MOVING AVERAGE = 118.81
42 DAY MOVING AVERAGE = 117.69
50 DAY MOVING AVERAGE = 117.02
65 DAY MOVING AVERAGE = 115.94
30 WEEK MOVING AVERAGE = 113.41
200 DAY MOVING AVERAGE = 112.59

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Dow Support At 11,992 Moving Average

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Wednesday 11-01-06: DJIA close 12,031.02 -49.71 vs. Prior day: 12,080.73 -5.77
DJIA 21-Day Moving Average: 11,991.52 +14.46 vs. Prior day: 11,977.06 +19.87
(the DJIA closed above its 21-day moving average)

Before the U. S. Stock Market Opening
Thursday November 2 Stock Market Forecast
*DJIA probability of closing "Up" Thursday: 77%
(*Above 50% Bullish / Below 50% Bearish)


Market Comment: The MktMetrics DJIA forecast has posted 77% probability to be "Up" Thursday. The DJIA Trend declined to 71% from 74% the previous day. We are Trend followers and have been patiently waiting for the DJIA Trend to move below 70% before examining short candidates. We believe that a reversal of the DJIA Trend is near, which seems a little awkward since historically speaking the Stock Market rises before the election. So we are very close but remain on the sideline with anticipation, without capital commitment. The NASDAQ declined below the 21-day moving average and the SPX is at the 21-day moving average. Same with the DJIA. However, after four down days, MktMetrics has posted 77% probability to be "Up" today. So whether it is today or Friday, there may be an up day. Either way, the DJIA Trend and the DJIA MACD have been broken. This is not good for the Bulls. Caution is advised here and Bears should be ready to capitalize on a possible sea change. The current the DJIA 21-day Moving Average stands at 11,992. Let's see if that will act as support today. Good luck and Good trading.

Dow Jones Industrial Average Statistics (Historic High / Low):
DJIA Probability of Being "Up" Thursday: 77% (High 100% / Low 0%)
DJIA Trend: Falling Today 71% vs. Yesterday 74% (High 94% / Low 10%)
DJIA Momentum: Unchanged Today 94% vs. Yesterday 94% (High 94% / Low 13%)
DJIA Flow of Funds: Falling Today 90% vs. Yesterday 97% (High 97% / Low 6%)
DJIA Volatility: Rising Today 0.80% vs Yesterday 0.62% (High 2.35% / Low -0.22%)

Institutional Investor Statistics (Historic High / Low):
Exchange Insiders' Inventory: Falling Today .17% vs Yesterday .21% (High .21% / Low -.24%)Mean= -.02
Institutional Demand: Falling Today 78.16% vs Yesterday 82.48% (High 84.81% / Low 18.65%)Mean= 51.73
Institutional Inventory: Falling Today 68.32% vs Yesterday 71.87% (High 79.00% / Low 25.23%)Mean= 52.12
Institutional Accumulation/Distribution Trend: Falling Today .22% vs Yesterday .27%(High .35% / -.41%)Mean= -.03

Outlook Statistics: Above 50% Bullish - Below 50% Bearish
DJIA Outlook: Bullish Falling Today 85% vs. Yesterday 86% (High 88% / Low 18%)
Stock Market Outlook: Bullish Falling Today 87.0% vs Yesterday 94.0% (High 100.0 / Low 4.8%) (DJIA, S&P 500, Russell 2000 & NASDAQ 100) Aggregate)

One-Year National CD Rate: Unchanged 5.26% vs Yesterday 5.26% (High 5.62% / 2.1%)
******************************************************************************
10-Key ETF Statistics: Above 0% Bullish - Below 0% Bearish
DIA: Falling Trend Today 61% vs. Yesterday 70% (High 70% / Low -48%)
SPY: Falling Trend Today 54% vs. Yesterday 65% (High 73% / Low -54%)
MDY: Falling Trend Today 50% vs. Yesterday 70% (High 85% / Low -80%)
IWM: Falling Trend Today 52% vs. Yesterday 63% (High 71% / Low -53%)
QQQQ: Falling Trend Today 31% vs. Yesterday 41% (High 54% / Low -43%)
SMH: Falling Trend Today 3% vs. Yesterday 13% (High 45% / Low -53%)
IYT: Falling Trend Today 28% vs. Yesterday 49% (High 80% / Low -72%)
IDU: Falling Trend Today 62% vs. Yesterday 64% (High 64% / Low -64%)
XLE: Rising Trend Today 40% vs. Yesterday 29% (High 62% / Low -53%)
XLF: Falling Trend Today 23% vs. Yesterday 34% (High 41% / Low -33%)

Information provided by http://www.mktmetrics.com
A Marketing Alliance with Charles Schwab's CyberTrader
Discounts available for Schwab CyberTraders, Corporate Accounts and Trading Rooms

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
Next Day's Advance Market Decisions:
"We're not always right, just very seldom wrong."

Wednesday, November 01, 2006

Wednesday's SENSATIONAL SEVENTEEN Momentum Stocks

Information provided by: www.MktMetrics.com

OFV=Opening Fair Value
1. EWG OFV= 25.12
2. ESS OFV= 133.04
3. EWU OFV= 22.87
4. IJR OFV= 64.51
5. PD OFV= 98.98
6. SKT OFV= 37.40
7. XLB OFV= 33.47
8. DRE OFV= 39.90
9. GGP OFV= 51.79
10.EPP OFV= 118.91
11.NITE OFV= 18.53
12.NXL OFV= 28.68
13.SSS OFV= 59.10
14.DB OFV= 125.51
15.IFF OFV= 42.28
16.ITF OFV= 121.35
17.TYL OFV= 14.15


Next Day’s Advance Market Decisions:
We’re not always right, just very seldom wrong.

Diamonds (DIA) Wednesday Forecast

Information provided by: MktMetrics.com

Details for DIA (Diamonds- Dow 30 Exchange Traded Fund)

Today's Date: 11/01/06
Last Updated: 10/31/06
10/31/06 Final Numbers vs. Tuesday's Forecast
(Open) 120.85 vs. Predicted OFV 120.70
(High) 121.03 vs. Predicted High 121.21
(Low) 120.12 vs. Predicted Low 120.34
(Close)120.73

DIA Wednesday 11/01/06 Forecast
Opening Fair Value:120.63
Today's Predicted High:121.05
Today's Predicted Low:120.42
Today's Proposed Range:0.63


DIA Buy/Sell Rating: Strong Buy
Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 89 Down from 92
Volume Internal Strength: Positive 1.20/1.12 Up
Current Trend: Positive 70 Up from 65
Demand Factor: 100 Up from 98
Stock Volatility: 1.47 Up from 0.36

Predict Today's Upside & Downside Potential
10/31/06 12:45 Close: 120.13
Upside Potential: 121.62
Downside Potential: 120.36


Predicted Block Trading Activity
1. 122.52
2. 123.14
3. 123.27
4. 123.45

Predicted Block Trading Activity
1. 118.61
2. 118.43
3. 118.32
4. 117.72

DIA Key Moving Averages
8 DAY MOVING AVERAGE = 120.90
21 DAY MOVING AVERAGE = 119.72
30 DAY MOVING AVERAGE = 118.67
42 DAY MOVING AVERAGE = 117.56
50 DAY MOVING AVERAGE = 116.88
65 DAY MOVING AVERAGE = 115.80
30 WEEK MOVING AVERAGE = 113.35
200 DAY MOVING AVERAGE = 112.53

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Dow Moving Average May Test Today

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Tuesday 10-30-06: DJIA close 12,080.73 -5.77 vs. Prior day: 12,086.50 -3.76
DJIA 21-Day Moving Average: 11,977.06 +19.87 vs. Prior day: 11,957.51 +19.40
(the DJIA closed above its 21-day moving average)

Before the U. S. Stock Market Opening
Wednesday November 1 Stock Market Forecast
*DJIA probability of closing "Up" Wednesday: 61%
(*Above 50% Bullish / Below 50% Bearish)


Market Comment: The MktMetrics DJIA forecast has posted 61% probability to be "Up" Wednesday. The DJIA Trend fell to 74% from 84% the previous day. We use the word "fell" vs. "declined" because this indicator had a 10% drop, which we recognize as a meaningful move. However, many of the indicators are still producing good results and Wednesday is typically the most positive day of the week. What all this means is that the Momentum and Relative Strength is still solid, while the Trend was affected by the three days of pull-back to the rising 21-day moving average. So the Bears remain in hibernation until there is a real reason to commence short selling. The Stock Market needs to put in a strong showing today. Otherwise, the result could damage the positive momentum as the Moving Average Convergence/Divergence (MACD)has rendered a "Sell" signal, which Institutional Investors monitor closely. Perhaps the DJIA 21-day Moving Average currently at 11,977 will be tested today. Good luck and Good trading.

Dow Jones Industrial Average Statistics (Historic High / Low):
DJIA Probability of Being "Up" Wednesday: 61% (High 100% / Low 0%)
DJIA Trend: Falling Today 74% vs. Yesterday 84% (High 94% / Low 10%)
DJIA Momentum: Rising Today 94% vs. Yesterday 90% (High 94% / Low 13%)
DJIA Flow of Funds: Rising Today 97% vs. Yesterday 90% (High 97% / Low 6%)
DJIA Volatility: Rising Today 0.62% vs Yesterday 0.39% (High 2.35% / Low -0.22%)

Institutional Investor Statistics (Historic High / Low):
Exchange Insiders' Inventory: Rising Today .21% vs Yesterday .20% (High .21% / Low -.24%)Mean= -.02
Institutional Demand: Rising Today 82.48% vs Yesterday 81.90% (High 84.81% / Low 18.65%)Mean= 51.73
Institutional Inventory: Falling Today 71.87% vs Yesterday 74.58% (High 79.00% / Low 25.23%)Mean= 52.12
Institutional Accumulation/Distribution Trend: Rising Today .27% vs Yesterday .26%(High .35% / -.41%)Mean= -.03

Outlook Statistics: Above 50% Bullish - Below 50% Bearish
DJIA Outlook: Bullish Unchanged Today 86% vs. Yesterday 86% (High 88% / Low 18%)
Stock Market Outlook: Bullish Falling Today 94.0% vs Yesterday 95.7% (High 100.0 / Low 4.8%) (DJIA, S&P 500, Russell 2000 & NASDAQ 100) Aggregate)

One-Year National CD Rate: Unchanged 5.26% vs Yesterday 5.26% (High 5.62% / 2.1%)
******************************************************************************
10-Key ETF Statistics: Above 0% Bullish - Below 0% Bearish
DIA: Rising Trend Today 70% vs. Yesterday 65% (High 70% / Low -48%)
SPY: Rising Trend Today 65% vs. Yesterday 63% (High 73% / Low -54%)
MDY: Rising Trend Today 70% vs. Yesterday 67% (High 85% / Low -80%)
IWM: Rising Trend Today 63% vs. Yesterday 60% (High 71% / Low -53%)
QQQQ: Rising Trend Today 41% vs. Yesterday 34% (High 54% / Low -43%)
SMH: Rising Trend Today 13% vs. Yesterday 6% (High 45% / Low -53%)
IYT: Falling Trend Today 49% vs. Yesterday 55% (High 80% / Low -72%)
IDU: Rising Trend Today 64% vs. Yesterday 52% (High 64% / Low -64%)
XLE: Rising Trend Today 29% vs. Yesterday 16% (High 62% / Low -53%)
XLF: Falling Trend Today 34% vs. Yesterday 42% (High 41% / Low -33%)

Information provided by http://www.mktmetrics.com
A Marketing Alliance with Charles Schwab's CyberTrader
Discounts available for Schwab CyberTraders, Corporate Accounts and Trading Rooms

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
Next Day's Advance Market Decisions:
"We're not always right, just very seldom wrong."