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Next Day's Advance Market Decisions: October 2007

Wednesday, October 31, 2007

Stock Trading Ideas For Thursday November 1

Information provided by: http://www.mktmetrics.com/



Stocks expected to move "HIGHER" Thursday

Buy-Long Day Trading Ideas suggested for November 1 2007

Symbol OFV (Opening Fair Value)

ABT OFV: 54.43

AET OFV: 55.82

AGN OFV: 66.77

APD OFV: 97.10

AT OFV: 71.12

AU OFV: 46.06

AVID OFV: 28.96

AVP OFV: 40.76

CF OFV: 86.73

DD OFV: 48.86

DIS OFV: 34.42

DWSN OFV: 78.52

ECL OFV: 46.79

EMN OFV: 66.31

EWO OFV: 40.60

GNTX OFV: 20.85

GR OFV: 69.42

HBC OFV: 98.88

KBR OFV: 41.82

LMT OFV: 109.16

MA OFV: 184.32

MATK OFV: 30.23

MCK OFV: 64.52

MSFT OFV: 36.23

OLN OFV: 22.32

ONXX OFV: 46.12

PCP OFV: 148.53

PNC OFV: 71.70

RDK OFV: 33.42

RIGL OFV: 10.37

RNOW OFV: 19.82

SEIC OFV: 31.19

SWY OFV: 33.53

TNH OFV: 124.20

WY OFV: 74.93

X OFV: 106.41



Stocks expected to move "LOWER" Thursday

Sell-Short Day Trading Ideas suggested for November 1 2007

Symbol OFV (Opening Fair Value)

AMR OFV: 24.15

ANF OFV: 79.40

BBOX OFV: 41.44

EAT OFV: 25.38

ETN OFV: 92.39

EWM OFV: 12.93

FLE OFV: 9.13

FPIC OFV: 41.70

GYMB OFV: 34.44

HOV OFV: 11.89

INSP OFV: 19.37

LEN OFV: 23.82

MTSN OFV: 8.70

PDLI OFV: 21.08

QSFT OFV: 17.34

TLAB OFV: 8.85

TOL OFV: 22.94

USU OFV: 8.67


Today's Portfolio Performance


*WEDNESDAY'S RESULTS*

Day Trading Ideas that were expected to move "HIGHER" Wednesday

Buy-Long suggestions Wednesday October 31 2007

CHB +.21

FLEX +.01

IDXX +3.94

PGNX +.36

SEPR +.81

USG +.02

WAG +.17



*WEDNESDAY'S RESULTS*

Day Trading Ideas that were expected to move "LOWER" Wednesday

Sell-Short suggestions Wednesday October 31 2007

ADI -.02

AEPI +1.55

ALL +.72

ALO -.47

AVY +.66

BGG -.20

BHS +.06

BRKS +.49

CAS +2.45

CBS +.32

CEPH +2.24

COHU +.43

CSL -.24

CTB +1.09

ETM -.22

FAF -1.18

GMT +1.48

GNW -.36

IMN -.65

ISCA +.21

JBLU -.14

JOSB +.27

KEY +.11

KLIC -.08

LCAV -2.03

LLTC +.60

LOW -.10

MEDX +.04

MMSI .00

MSM +.94

NBIX +.13

NVEC +.26

OSK +.83

PTEN +.74

Q +.12

QID -.96

ROH +.89

SHLM -.61

SHW +.44

TNB +2.05

WGO -.30

WHR -2.58

WWW +.36

XLNX +.10

ZMH +.97



DIA holding: Short 138.45; 138.51, 3,000 shares,

INTC holding: Short 26.52; 26.63; 26.66, 3000 shares



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


Full disclosure:
Long/Short individual stocks and ETFs mentioned above and owned at time of writing by its author- None, Cash-at-Market Close. (Except for DIA & INTC)


Disclaimer:
The information and data contained in this site was obtained from independent research and development believed to be reliable, but accuracy is not guaranteed. Neither the information, nor any opinion expressed, constitutes a recommendation to purchase or sell a security, or to provide investment advice. Stocks and stock options involve risks and are not suitable for all investors. This site is not a solicitation of an offer to buy shares in any fund whose performance is provided in this site. Such an offer can be solicited only by a fund directly or its agent.

Dow 30 ETF (DIA) Wednesday October 31 Forecast

Announcement: Exhibitor Booth 921 "Free Traders Event"
Sign-up today: http://lasvegastradersexpo.com/?scode=009783
Traders Expo Las Vegas, November 15-18, at The Mandalay Bay Resort & Casino. At the Expo you will learn specific trading strategies and techniques from more than 75 trading experts in 125+ workshops, live trading events, and interactive panels; browse the exhibit hall with over 100 product-and-service providers; and much, much more!

Information provided by: http://www.mktmetrics.com/

Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 10/31/07
Last Updated: 10/30/07
10/30/07 Final Numbers
(Open) 138.10
(High) 138.39
(Low) 137.66
(Close) 137.76
(Range) 0.73

DIA Wednesday Forecast
Opening Fair Value: 138.00
Today's Predicted High: 138.69
Today's Predicted Low: 136.83
Today's Proposed Range: 1.86
Buy/Sell Rating: Sell (down from strong Buy)

Market Comment:
DJIA closed -.71% below its falling 21-day moving average vs. -.25% previously. Dow Trend on Tuesday changed direction to "Up" from "Down" and the Dow Outlook has also changed to Bullish. Wednesday should see higher stock prices when the FOMC cuts interest rates today.

DIA Resistance: Mean 138.97 / Intermediate 153.48 / Breakout 167.99
DIA Support: Mean 138.83 / Intermediate 124.26 / Breakdown 109.68

DIA Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 67 Down from 68
Volume Internal Strength: Negative 0.70/0.97 Down
Current Trend: Negative -10 Down from 7
Demand Factor: 95 Down from 100
Stock Volatility: -1.53 Unch

Predict DIA Upside and Downside Potential
10/30/07 12:45 Close: 138.30
Upside Potential: 139.35
Downside Potential: 135.63

Information for Extreme Trading Days
Predicted Block Trading Resistance Levels (100,000+ shares)
1. 140.41
2. 140.52
3. 140.86
4. 141.16

Predicted Block Trading Support Levels (100,000+ shares)
1. 135.62
2. 135.34
3. 135.00
4. 134.91

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 136.82
21 DAY MOVING AVERAGE = 138.83
30 DAY MOVING AVERAGE = 138.72
42 DAY MOVING AVERAGE = 137.28
50 DAY MOVING AVERAGE = 136.47
65 DAY MOVING AVERAGE = 135.52
30 WEEK MOVING AVERAGE = 134.16
200 DAY MOVING AVERAGE = 131.77

DIA Probability Percent of "Up" at the Close
DIA probability "Up%" Wednesday: 71%
DIA Past 4 Wednesdays: Rising 73.5% / 73.0% / 74.50% / 77.7%
(Higher opening and higher closing from opening is greatest for Wednesday)
DIA Trend: Falling Today Negative -10 Down from 7
DIA MACD: Unch Today, SELL as of Wednesday 10-10-07
DIA Open/Close 20-Day Trend: Open Up/Close Down
*(Open/Close Trend Changed as of Thursday 10-11-07)

DJIA Probability Percent of "Up" at the Close
DJIA probability "Up%" Wednesday: 62%
DJIA Trend: Rising Today 45% vs. 39%
DJIA Trend Direction: Changed "Up" from "Down" Monday 10-30-07
DJIA MACD: Unch Today SELL as of Wednesday 10-10-07

Subscribe to MktMetrics.com and receive the above information daily for any stock or ETF you are trading today! Market Makers have daily trading parameters, why shouldn't you?

Full disclosure:
Long/Short individual stocks mentioned above at time of writing by author? None

Please refer to:
Next Day's Advance Market Decisions "Trading Ideas" to see suggested trades for today.

Stock Market Forecast Wednesday 10-31-07

Information provided by: http://www.mktmetrics.com/

"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.

Tuesday 10-30-07 DJIA closed: 13,792.47 -77.79 vs. Prior day: 13,870.26 +63.56
DJIA 21-Day Moving Average: 13,891.05 -14.05 vs. Prior day: 13,905.10 -1.21
(DJIA closed -.71% below its falling 21-day moving average vs. -.25% prior day)

Before the New York Stock Exchange Open
Wednesday October 31 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Wednesday: 62%
DIA probability of closing "Up" Wednesday: 71%
DIA Past 4 Wednesdays: Rising 73.5% / 73.0% / 74.50% / 77.7%
(Higher opening and higher closing from opening is greatest for Wednesday)
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Rising Today Up 14 vs Down 17 (+2 vs -1 prior day)
DJIA Trend: Rising Today 45% vs Yesterday 39% (High 97% / Low 0%)
Change in Trend: To "Up" from "Down" as of Tuesday, 10-30-07
DJIA MACD: Unch Today, SELL as of Wednesday, 10-10-07 (12,26 computation)
DJIA Momentum: Unch Today 71% vs Yesterday 71% (High 97% / Low 13%)
DJIA Volatility: Falling Today -0.11% vs Yesterday 0.13% (High 3.24% / Low -1.09%)
DJIA 50-Day Net Change: Falling Today +671 vs Yesterday +791 (High 1450 / Low -734)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -734 8-15-07 (today+671= 46.3% of High)

DJIA Resistance Levels: Mean= 13,905 / Intermediate Term 14,141 / Breakout 14,377
DJIA Support Levels: Mean= 13,891 / Intermediate Term 13,648 / Breakdown 13,405

Market Comment:
DJIA closed -.71% below its falling 21-day moving average vs. -.25% previously. Dow Trend on Tuesday changed direction to "Up" from "Down" and the Dow Outlook has also changed to Bullish. Wednesday should see higher stock prices when the FOMC cuts interest rates today.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Falling Today .02% vs Yesterday .07% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, positive yet decreasing.

Institutional Money Flow: Falling Today 48% vs Yesterday 68% (High 97% / Low 6%) Mean= 52% Closed above its Mean, Negative and decreasing.

Institutional Demand: Falling Today 70.32% vs Yesterday 72.94% (High 86.84% / Low 18.65%) Mean= 52.8% Closed above its Mean, positive yet decreasing.

Institutional Inventory: Unch Today 57.65% vs Yesterday 57.65% (High 81.06% / Low 25.23%) Mean= 52.2% Closed above its Mean, positive yet flat.

Institutional Accumulation/Distribution Trend: Falling Today -.02% vs Yesterday .07% (High .35% / -.41%) Mean= -.03% Closed above its Mean, Neutral yet decreasing.

Outlook Statistics: Above 50% Bullish/Below 50% Bearish (Historic High/Low)

DJIA Outlook: Bullish Rising Today 52% vs. Yesterday 49% (High 89% / Low 18%) Mean= 53.5% Closed below its Mean, Neutral yet increasing.

Stock Market Outlook: Bullish, yet Falling Today 83.9% vs Yesterday 88.2% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

11 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Falling Trend Today -10% vs. Yesterday 7% (High 95% / Low -59%)
SPY: Falling Trend Today 16% vs. Yesterday 35% (High 77% / Low -77%)
MDY: Falling Trend Today 16% vs. Yesterday 36% (High 91% / Low -100%)
IWM: Falling Trend Today 14% vs. Yesterday 33% (High 71% / Low -67%)
QQQQ: Falling Trend Today 36% vs. Yesterday 41% (High 54% / Low -43%)
SMH: Falling Trend Today -13% vs. Yesterday -10% (High 48% / Low -53%)
IYT: Falling Trend Today 3% vs. Yesterday 15% (High 80% / Low -73%)
IDU: Falling Trend Today 22% vs. Yesterday 33% (High 80% / Low -68%)
XLE: Falling Trend Today 6% vs. Yesterday 33% (High 70% / Low -55%)
XLF: Falling Trend Today 13% vs. Yesterday 21% (High 45% / Low -39%)
IAI: Falling Trend Today 42% vs. Yesterday 55% (High 54% / Low -69%)

Stock Market Plurality:
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Falling Trend Today 75 vs. Yesterday 156 (High 367 / Low 4)
Demand Factor "0": Rising Trend Today 48 vs. Yesterday 42 (High 210 / Low 7)

Information provided by http://www.mktmetrics.com/
A Marketing Alliance with Schwab ActiveTrader
A Strategic Collaboration with TigerSoft.com
http://www.tigersoft.com/DG/TigerSoft-Blog.htm is a great daily read.

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
http://www.mktmetrics.com/
Next Day's Advance Market Decisions:
"Not always right, just very seldom wrong."

Tuesday, October 30, 2007

Stock Trading Ideas For Wednesday October 31

Information provided by: http://www.mktmetrics.com/

Stocks expected to move "HIGHER" Wednesday
Buy-Long Day Trading Ideas suggested for October 31 2007
Symbol OFV (Opening Fair Value)
CHB OFV: 11.44
FLEX OFV: 12.32
IDXX OFV: 117.43
PGNX OFV: 22.37
SEPR OFV: 26.17
USG OFV: 38.99
WAG OFV: 39.52

Stocks expected to move "LOWER" Wednesday
Sell-Short Day Trading Ideas suggested for October 31 2007
Symbol OFV (Opening Fair Value)
ADI OFV: 33.45
AEPI OFV: 38.70
ALL OFV: 51.99
ALO OFV: 21.49
AVY OFV: 57.46
BGG OFV: 22.79
BHS OFV: 15.20
BRKS OFV: 12.59
CAS OFV: 27.75
CBS OFV: 28.55
CEPH OFV: 71.76
COHU OFV: 16.02
CSL OFV: 39.74
CTB OFV: 21.24
ETM OFV: 18.62
FAF OFV: 31.81
GMT OFV: 39.47
GNW OFV: 27.88
IMN OFV: 23.10
ISCA OFV: 44.23
JBLU OFV: 9.26
JOSB OFV: 29.30
KEY OFV: 28.41
KLIC OFV: 7.62
LCAV OFV: 20.72
LLTC OFV: 32.46
LOW OFV: 27.15
MEDX OFV: 11.93
MMSI OFV: 13.06
MSM OFV: 48.02
NBIX OFV: 9.22
NVEC OFV: 28.67
OSK OFV: 54.85
PTEN OFV: 19.40
Q OFV: 7.28
QID OFV: 34.98
ROH OFV: 51.56
SHLM OFV: 23.41
SHW OFV: 63.81
TNB OFV: 54.44
WGO OFV: 25.99
WHR OFV: 82.72
WWW OFV: 25.30
XLNX OFV: 24.43
ZMH OFV: 69.01


UNDER CONSTRUCTION
CHECK BACK THIS WEEK

Today's Portfolio Performance
*WEDNESDAY'S RESULTS*
Day Trading Ideas that were expected to move "HIGHER" Wednesday
Buy-Long suggestions Wednesday October 31 2007
CHB
FLEX
IDXX
PGNX
SEPR
USG
WAG

*WEDNESDAY'S RESULTS*
Day Trading Ideas that were expected to move "LOWER" Wednesday
Sell-Short suggestions Wednesday October 31 2007
ADI
AEPI
ALL
ALO
AVY
BGG
BHS
BRKS
CAS
CBS
CEPH
COHU
CSL
CTB
ETM
FAF
GMT
GNW
IMN
ISCA
JBLU
JOSB
KEY
KLIC
LCAV
LLTC
LOW
MEDX
MMSI
MSM
NBIX
NVEC
OSK
PTEN
Q
QID
ROH
SHLM
SHW
TNB
WGO
WHR
WWW
XLNX
ZMH

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

Full disclosure:
Long/Short individual stocks and ETFs mentioned above and owned at time of writing by its author- None, Cash-at-Market Close.

Disclaimer:
The information and data contained in this site was obtained from independent research and development believed to be reliable, but accuracy is not guaranteed. Neither the information, nor any opinion expressed, constitutes a recommendation to purchase or sell a security, or to provide investment advice. Stocks and stock options involve risks and are not suitable for all investors. This site is not a solicitation of an offer to buy shares in any fund whose performance is provided in this site. Such an offer can be solicited only by a fund directly or its agent.

Dow 30 ETF (DIA) Tuesday October 30 Forecast

Announcement: Exhibitor Booth 921 "Traders Event is Free"
Sign-up today: http://lasvegastradersexpo.com/?scode=009783
Traders Expo Las Vegas, November 15-18, at The Mandalay Bay Resort & Casino. At the Expo you will learn specific trading strategies and techniques from more than 75 trading experts in 125+ workshops, live trading events, and interactive panels; browse the exhibit hall with over 100 product-and-service providers; and much, much more!

Information provided by: http://www.mktmetrics.com/

Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 10/30/07
Last Updated: 10/29/07
10/29/07 Final Numbers
(Open) 138.28
(High) 138.87
(Low) 138.16
(Close) 138.65
(Range) 0.71

DIA Tuesday Forecast
Opening Fair Value: 138.50
Today's Predicted High: 139.57
Today's Predicted Low: 137.74
Today's Proposed Range: 1.83
Buy/Sell Rating: Strong Buy

Market Comment:
DJIA closed -.25% below its falling 21-day moving average vs. -.72% previously. Dow Trend on Monday changed direction to "Down" from "Up" and the Dow Outlook remains Bearish. Tuesday most likely will see lower stock prices in advance of the FOMC meeting.

DIA Resistance: Mean 138.98 / Intermediate 141.75 / Breakout 144.53
DIA Support: Mean 138.97 / Intermediate 136.19 / Breakdown 133.41

DIA Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 68 Up from 62
Volume Internal Strength: Positive 0.70/1.03 Down
Current Trend: Positive 7 Up from 4
Demand Factor: 100 Unch
Stock Volatility: -1.53 Down from -0.50

Predict DIA Upside and Downside Potential
10/29/07 12:45 Close: 138.56
Upside Potential: 140.56
Downside Potential: 136.90

Information for Extreme Trading Days
Predicted Block Trading Resistance Levels (100,000+ shares)
1. 140.92
2. 141.05
3. 141.42
4. 141.65

Predicted Block Trading Support Levels (100,000+ shares)
1. 136.09
2. 135.88
3. 135.51
4. 135.40

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 136.95
21 DAY MOVING AVERAGE = 138.97
30 DAY MOVING AVERAGE = 138.71
42 DAY MOVING AVERAGE = 137.15
50 DAY MOVING AVERAGE = 136.33
65 DAY MOVING AVERAGE = 135.45
30 WEEK MOVING AVERAGE = 134.06
200 DAY MOVING AVERAGE = 131.71

DIA Probability Percent of "Up" at the Close
DIA probability "Up%" Tuesday: 23%
DIA Past 4 Tuesdays: Rising 60.3% / 59.6% / 60.7% / 59.2%
(Lower opening is greatest for Tuesday)
DIA Trend: Rising Today Positive 7 Up from 4
DIA MACD: Rising Today, SELL as of Wednesday 10-10-07
DIA Open/Close 20-Day Trend: Open Up/Close Down
*(Open/Close Trend Changed as of Thursday 10-11-07)

DJIA Probability Percent of "Up" at the Close
DJIA probability "Up%" Tuesday: 50%
DJIA Trend: Falling Today 39% vs. 42%
DJIA Trend Direction: Changed "Down" from "Up" Monday 10-29-07
DJIA MACD: Rising Today SELL as of Wednesday 10-10-07

Subscribe to MktMetrics.com and receive the above information daily for any stock or ETF you are trading today! Market Makers have daily trading parameters, why shouldn't you?

Full disclosure:
Long/Short individual stocks mentioned above at time of writing by author? None

Please refer to:
Next Day's Advance Market Decisions "Trading Ideas" to see suggested trades for today.

Stock Market Forecast Tuesday 10-30-07

Information provided by: http://www.mktmetrics.com/

"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.

Monday 10-26-07 DJIA closed: 13,870.26 +63.56 vs. Prior day: 13,806.70 +134.78
DJIA 21-Day Moving Average: 13,905.10 -1.21 vs. Prior day: 13,906.31 -5.05
(DJIA closed -.25% below its falling 21-day moving average, vs. -.72% prior day)

Before the New York Stock Exchange Open
Tuesday October 30 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Tuesday: 50%
DIA probability of closing "Up" Tuesday: 23%
DIA Past 4 Tuesdays: Rising 60.3% / 59.6% / 60.7% / 59.2%
(Lower opening is greatest for Tuesday)
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Falling Today Up 12 vs Down 19 (-1 vs +6 prior day)
DJIA Trend: Falling Today 39% vs Yesterday 42% (High 97% / Low 0%)
Change in Trend: To "Down" from "Up" as of Monday, 10-27-07
DJIA MACD: Rising Today, SELL as of Wednesday, 10-10-07 (12,26 computation)
DJIA Momentum: Unch Today 71% vs Yesterday 71% (High 97% / Low 13%)
DJIA Volatility: Falling Today 0.13% vs Yesterday 0.45% (High 3.24% / Low -1.09%)
DJIA 50-Day Net Change: Falling Today +791 vs Yesterday +961 (High 1450 / Low -734)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -734 8-15-07 (today+791= 54.6% of High)

DJIA Resistance Levels: Mean= 13,906 / Intermediate Term 14,148 / Breakout 14,391
DJIA Support Levels: Mean= 13,905 / Intermediate Term 13,662 / Breakdown 13,418

Market Comment:
DJIA closed -.25% below its falling 21-day moving average vs. -.72% previously. Dow Trend on Monday changed direction to "Down" from "Up" and the Dow Outlook remains Bearish. Tuesday most likely will see lower stock prices in advance of the FOMC meeting.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Rising Today .07% vs Yesterday .06% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, Positive and increasing.

Institutional Money Flow: Unch Today 68% vs Yesterday 68% (High 97% / Low 6%) Mean= 52% Closed above its Mean, positive yet flat.

Institutional Demand: Falling Today 72.94% vs Yesterday 73.06% (High 86.84% / Low 18.65%) Mean= 52.8% Closed above its Mean, positive yet decreasing.

Institutional Inventory: Rising Today 57.65% vs Yesterday 54.90% (High 81.06% / Low 25.23%) Mean= 52.2% Closed above its Mean, Positive and increasing.

Institutional Accumulation/Distribution Trend: Rising Today .07% vs Yesterday .04% (High .35% / -.41%) Mean= -.03% Closed above its Mean, Positive and increasing.

Outlook Statistics: Above 50% Bullish/Below 50% Bearish (Historic High/Low)

DJIA Outlook: Bearish, yet Rising Today 49% vs. Yesterday 48% (High 89% / Low 18%) Mean= 53.5% Closed below its Mean, negative yet increasing.

Stock Market Outlook: Bullish Rising Today 88.2% vs Yesterday 85.8% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

11 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Rising Trend Today 7% vs. Yesterday 4% (High 95% / Low -59%)
SPY: Rising Trend Today 35% vs. Yesterday 30% (High 77% / Low -77%)
MDY: Rising Trend Today 36% vs. Yesterday 30% (High 91% / Low -100%)
IWM: Rising Trend Today 33% vs. Yesterday 26% (High 71% / Low -67%)
QQQQ: Rising Trend Today 41% vs. Yesterday 39% (High 54% / Low -43%)
SMH: Rising Trend Today -10% vs. Yesterday -16% (High 48% / Low -53%)
IYT: Falling Trend Today 15% vs. Yesterday 21% (High 80% / Low -73%)
IDU: Rising Trend Today 33% vs. Yesterday 24% (High 80% / Low -68%)
XLE: Rising Trend Today 33% vs. Yesterday 23% (High 70% / Low -55%)
XLF: Rising Trend Today 21% vs. Yesterday 17% (High 45% / Low -39%)
IAI: Rising Trend Today 55% vs. Yesterday 47% (High 54% / Low -69%)

Stock Market Plurality:
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Falling Trend Today 156 vs. Yesterday 181 (High 367 / Low 4)
Demand Factor "0": Rising Trend Today 42 vs. Yesterday 40 (High 210 / Low 7)

Information provided by http://www.mktmetrics.com/
A Marketing Alliance with Schwab ActiveTrader
A Strategic Collaboration with TigerSoft.com
http://www.tigersoft.com/DG/TigerSoft-Blog.htm is a great daily read.

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
http://www.mktmetrics.com/
Next Day's Advance Market Decisions:
"Not always right, just very seldom wrong."

Monday, October 29, 2007

Trading Ideas Unavailable

Trading Ideas Unavailable.

Will Resume Tomorrow Night.

Dow 30 ETF (DIA) Monday October 29 Forecast

Announcement: Exhibitor Booth 921 "This Traders Event is Free"
Sign-up today: http://lasvegastradersexpo.com/?scode=009783
Traders Expo Las Vegas, November 15-18, at The Mandalay Bay Resort & Casino. At the Expo you will learn specific trading strategies and techniques from more than 75 trading experts in 125+ workshops, live trading events, and interactive panels; browse the exhibit hall with over 100 product-and-service providers; and much, much more!

Information provided by: http://www.mktmetrics.com/

Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 10/29/07
Last Updated: 10/26/07
10/26/07 Final Numbers
(Open) 137.61
(High) 138.06
(Low) 136.84
(Close) 137.95
(Range) 1.22

DIA Monday Forecast
Opening Fair Value: 137.53
Today's Predicted High: 138.99
Today's Predicted Low: 136.91
Today's Proposed Range: 2.08
Buy/Sell Rating: Strong Buy (up from buy)

Market Comment:
DJIA closed -.72% below its falling 21-day moving average vs. -1.72% previously. Dow Trend on Friday changed direction to "Up" from "Down" and the Dow Outlook has stabilized. Monday most likely will be on hold as traders await results from FOMC meeting this week. Utility stocks may perform better on Monday. Suggest Investors "begin to accumulate" value stocks. Stock Market may trade positive for another day. Be selective and don't over commit.

DIA Resistance: Mean 139.04 / Intermediate 141.79 / Breakout 144.54
DIA Support: Mean 138.98 / Intermediate 136.20 / Breakdown 133.42

DIA Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 62 Up from 56
Volume Internal Strength: Positive 0.70/1.28 Down
Current Trend: Positive 4 Up from -1
Demand Factor: 100 Unch
Stock Volatility: -0.50 Down from 1.98

Predict DIA Upside and Downside Potential
10/26/07 12:45 Close: 137.30
Upside Potential: 140.41
Downside Potential: 136.25

Information for Extreme Trading Days
Predicted Block Trading Resistance Levels (100,000+ shares)
1. 139.58
2. 140.36
3. 140.71
4. 140.82

Predicted Block Trading Support Levels (100,000+ shares)
1. 135.30
2. 135.19
3. 134.86
4. 134.10

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 137.01
21 DAY MOVING AVERAGE = 138.98
30 DAY MOVING AVERAGE = 138.56
42 DAY MOVING AVERAGE = 137.01
50 DAY MOVING AVERAGE = 136.17
65 DAY MOVING AVERAGE = 135.35
30 WEEK MOVING AVERAGE = 133.96
200 DAY MOVING AVERAGE = 131.65

DIA Probability Percent of "Up" at the Close
DIA probability "Up%" Monday: 10%
DIA Past 4 Mondays: Rising 58.3% / 57.4% / 58.6% / 59.1%
DIA Trend: Rising Today Positive 4 Up from -1
DIA MACD: Rising Today, SELL as of Wednesday 10-10-07
DIA Open/Close 20-Day Trend: Open Up/Close Down
*(Open/Close Trend Changed as of Thursday 10-11-07)

DJIA Probability Percent of "Up" at the Close
DJIA probability "Up%" Monday: 66%
DJIA Trend: Rising Today 42% vs. 23%
DJIA Trend Direction: Changed "Up" from "Down" Friday 10-26-07
DJIA MACD: Rising Today SELL as of Wednesday 10-10-07

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Long/Short individual stocks mentioned above at time of writing by author? None

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Stock Market Forecast Monday 10-29-07

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Friday 10-26-07 DJIA closed: 13,671.92 -3.33 vs. Prior day: 13,671.92 -3.33
DJIA 21-Day Moving Average: 13,906.31 -5.05 vs. Prior day: 13,911.36 -9.83
(DJIA closed -.72% below its falling 21-day moving average, vs. -1.72% prior day)

Before the New York Stock Exchange Open
Monday October 29 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Monday: 50%
DIA probability of closing "Up" Monday: 52%
DIA Past 4 Mondays: Rising 58.3% / 57.4% / 58.6% / 59.1%
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Rising Today Up 13 vs Down 18 (+6 vs -2 prior day)
DJIA Trend: Rising Today 42% vs Yesterday 23% (High 97% / Low 0%)
Change in Trend: To "Up" from "Down" as of Friday, 10-26-07
DJIA MACD: Rising Today, SELL as of Wednesday, 10-10-07 (12,26 computation)
DJIA Momentum: Rising Today 71% vs Yesterday 68% (High 97% / Low 13%)
DJIA Volatility: Falling Today 0.45% vs Yesterday 1.87% (High 3.24% / Low -1.09%)
DJIA 50-Day Net Change: Rising Today +961 vs Yesterday +810 (High 1450 / Low -734)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -734 8-15-07 (today+961= 66.3% of High)

DJIA Resistance Levels: Mean= 13,911 / Intermediate Term 14,152 / Breakout 14,393
DJIA Support Levels: Mean= 13,906 / Intermediate Term 13,663 / Breakdown 13,420

Market Comment:
DJIA closed -.72% below its falling 21-day moving average vs. -1.72% previously. Dow Trend on Friday changed direction to "Up" from "Down" and the Dow Outlook has stabilized. Monday most likely will be on hold as traders await results from FOMC meeting this week. Utility stocks may perform better on Monday. Suggest Investors "begin to accumulate" value stocks. Stock Market may trade positive for another day. Be selective and don't over commit.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Rising Today .10% vs Yesterday .05% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, Positive and increasing.

Institutional Money Flow: Rising Today 68% vs Yesterday 55% (High 97% / Low 6%) Mean= 52% Closed above its Mean, Positive and increasing.

Institutional Demand: Rising Today 73.06% vs Yesterday 70.71% (High 86.84% / Low 18.65%) Mean= 52.8% Closed above its Mean, Positive and increasing.

Institutional Inventory: Rising Today 54.90% vs Yesterday 51.52% (High 81.06% / Low 25.23%) Mean= 52.2% Closed above its Mean, Positive and increasing.

Institutional Accumulation/Distribution Trend: Rising Today .04% vs Yesterday .01% (High .35% / -.41%) Mean= -.03% Closed above its Mean, Positive and increasing.

Outlook Statistics: Above 50% Bullish/Below 50% Bearish (Historic High/Low)

DJIA Outlook: Bearish, yet Rising Today 48% vs. Yesterday 46% (High 89% / Low 18%) Mean= 53.5% Closed below its Mean, negative yet increasing.

Stock Market Outlook: Bullish Rising Today 85.8% vs Yesterday 78.6% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

11 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Rising Trend Today 4% vs. Yesterday -1% (High 95% / Low -59%)
SPY: Rising Trend Today 30% vs. Yesterday 20% (High 77% / Low -77%)
MDY: Rising Trend Today 30% vs. Yesterday 25% (High 91% / Low -100%)
IWM: Rising Trend Today 26% vs. Yesterday 18% (High 71% / Low -67%)
QQQQ: Rising Trend Today 39% vs. Yesterday 35% (High 54% / Low -43%)
SMH: Rising Trend Today -16% vs. Yesterday -17% (High 48% / Low -53%)
IYT: Rising Trend Today 21% vs. Yesterday 6% (High 80% / Low -73%)
IDU: Rising Trend Today 24% vs. Yesterday 8% (High 80% / Low -68%)
XLE: Falling Trend Today 23% vs. Yesterday 27% (High 70% / Low -55%)
XLF: Rising Trend Today 17% vs. Yesterday 7% (High 45% / Low -39%)
IAI: Rising Trend Today 47% vs. Yesterday 44% (High 54% / Low -69%)

Stock Market Plurality:
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Rising Trend Today 181 vs. Yesterday 149 (High 367 / Low 4)
Demand Factor "0": Falling Trend Today 40 vs. Yesterday 41 (High 210 / Low 7)

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Gale Financial Market Econometrics, Inc.http://www.mktmetrics.com/
Next Day's Advance Market Decisions:
"Not always right, just very seldom wrong."

Sunday, October 28, 2007

Dow 30 + DIA Buy/Sell Monday 10-29-07

Information provided by: http://www.mktmetrics.com/

DIA Probability to be "Up" Monday: 10%
DJIA Probability to be "Up" Monday: 66%
(DIA & DJIA are weighted differently)

DIA Probability Percent of "Up" at the Close
This Week's Five Day Forecast
Information provided by:
http://www.tigersoft.com/DG/welcome.htm
Mondays: Past 48 Rising 58.3% / 57.4% / 58.6% / 59.1%

Tuesdays: Past 53 Rising 60.3% / 59.6% / 60.7% / 59.2%
(Lower opening is greatest for Tuesday)

Wednesdays: Past 53 Rising 73.5% / 73.0% / 74.50% / 77.7%
(Higher opening and higher closing from opening is greatest for Wednesday)

Thursdays: Past 54 Rising 53.7% / 52.8% / 53.8% / 54.5%

Fridays: Past 54 Rising 51.8% / 50.9% / 51.9% / 49.0%
(Lower closing from opening is greatest for Friday)

All days: Past 262 Days Rising 59.5% / 58.8% / 59.9% / 59.9%

Dow 30 + DIA Buy/Sell Signals & Trends
Sym/Sig/Demand/Range/IRS*/Trend
AA BUY+ 82+ 0.94 57U 0.16+
AIG SELL 100/ 1.40 36U -0.14+
AXP S/BUY+ 91+ 1.58 58U 0.10+
BA SELL 64+ 2.48 31U -0.54+*
C SELL 14+ 1.25 13U -0.34+*
CAT BUY 99+ 2.30 41U 0.08/
DD SELL 41- 1.42 43U -0.08+
DIA S/BUY+ 100/ 2.08 62U 0.04+
DIS S/BUY+ 88+ 0.86 64D 0.03+
GE BUY 100/ 0.68 54U 0.21+
GM BUY+ 85+ 1.72 57D 0.11+
HD S/SELL 6+ 0.97 11U -0.19+
HON BUY 58+ 1.80 46U 0.14+
HPQ BUY 100+ 1.26 78U 0.33+
IBM S/SELL 62+ 2.45 39U -0.18+
INTC S/BUY 56- 0.69 55D 0.05+
JNJ S/SELL 29+ 0.82 42U -0.13+
JPM S/BUY+ 82+ 1.26 59U 0.12+
KO S/BUY 100/ 0.87 99U 0.42+*
MCD BUY 100/ 0.89 96U 0.44+*
MMM SELL 89+ 4.00 36U -0.31+
MO BUY 100+ 1.23 95U 0.34+*
MRK S/BUY 100/ 2.57 94U 0.44+*
MSFT S/BUY 71- 0.66 90D 0.27+
PFE SELL 21+ 0.37 29U 0.00+
PG BUY 100+ 1.31 74U 0.19+
T BUY 87+ 0.82 54U -0.11+
UTX SELL 33- 1.45 21D -0.45+
VZ S/BUY+ 100/ 0.82 77U 0.21/
WMT BUY+ 8+ 1.32 25U 0.03+
XOM S/BUY 99/ 2.33 66U 0.11+
*Internal Relative Strength

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MktMetrics Weekly Stocks In Review

Information provided by: http://www.MktMetrics.com/

This week's BEST & WORST Performers

Top 23 Most Positive Stocks
Steady Accumulaton confirmed by an Up Trend
Statistics for 10-29-07 Monday's Open
Symbol OFV (proposed range): BUY-LONG
1. AVID OFV: 26.85 (0.95)
2. BC OFV: 21.34 (0.58)
3. DECK OFV: 137.92 (8.30)
4. DGII OFV: 15.19 (0.72)
5. DIS OFV: 34.37 (0.86)
6. DTV OFV: 25.55 (0.72)
7. DW OFV: 41.89 (1.66)
8. ED OFV: 46.51 (0.88)
9. EPIQ OFV: 18.88 (1.23)
10. FE OFV: 67.87 (1.35)
11. GM OFV: 37.63 (1.72)
12. KND OFV: 20.30 (0.71)
13. LAVA OFV: 14.47 (0.47)
14. MPS OFV: 11.91 (0.71)
15. MRCY OFV: 14.53 (0.63)
16. NEM OFV: 47.22 (1.04)
17. PRGO OFV: 23.17 (0.43)
18. RIGL OFV: 9.96 (0.45)
19. SKT OFV: 41.01 (1.60)
20. SLV OFV: 140.63 (3.15)
21. SNX OFV: 22.15 (0.78)
22. UIS OFV: 6.25 (0.54)
23. WEN OFV: 34.27 (0.68)

Top 39 Most Negative Stocks
Steady Distribution confirmed by a Down Trend
Statistics for 10-29-07 Monday's Open
Symbol OFV (proposed range): SELL-SHORT
1.. ADI OFV: 33.13 (0.93)
2. AEPI OFV: 39.57 (1.17)
3. BGG OFV: 22.63 (0.82)
4. BHS OFV: 16.42 (0.89)
5. BRKS OFV: 12.92 (0.40
6. CAS OFV: 27.88 (1.28)
7. COHU OFV: 16.89 (1.18)
8. CSL OFV: 41.18 (1.22)
9. CTB OFV: 21.86 (0.99)
10. DBD OFV: 40.90 (0.65)
11. EPIC OFV: 11.15 (0.43)
12. FFIV OFV: 34.86 (1.28)
13. GLYT OFV: 58.32 (1.64)
14. GNW OFV: 28.61 (1.02)
15. HW OFV: 13.77 (0.85)
16. ISCA OFV: 45.22 (1.42)
17. JBLU OFV: 9.22 (0.36)
18. KEY OFV: 28.68 (0.94)
19. LH OFV: 69.87 (1.44)
20. LIZ OFV: 28.23 (1.18)
21. MATR OFV: 24.34 (0.95)
22. MZZ OFV: 51.18 (2.21)
23. NBIX OFV: 9.78 (0.40)
24. PMTI OFV: 23.03 (1.04)
25. PNRA OFV: 41.35 (1.38)
26. QID OFV: 35.38 (1.52)
27. ROH OFV: 51.65 (1.72)
28. SDS OFV: 50.66 (1.60)
29. SHLM OFV: 23.39 (1.51)
30. SHW OFV: 64.69 (3.16)
31. SJH OFV: 79.50 (3.62)
31. SMRT OFV: 6.65 (0.39)
32. SNDK OFV: 41.00 (3.00)
33. TMO OFV: 58.30 (2.05)
34. TRID OFV: 7.75 (0.53)
35. TSCO OFV: 42.02 (1.76)
36. USTR OFV: 54.50 (1.87)
37. WHR OFV: 84.25 (3.98)
38. WM OFV: 28.80 (1.48)
39. ZMH OFV: 69.19 (2.35)

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

Saturday, October 27, 2007

MktMetrics Weekly Stock Market Analysis

Stock Market Analysis for Week Ending October 26, 2007

Dow Jones Industrial Average (DJIA) Trading Range:
High 14,279.96 (10-11-07) / Low 10,653.23 (6-13-06)= Range: 3,626.73

DJIA Outlook: Bullish, yet Falling 48% vs Last week: 61% (High 89% / Low 12%)

DJIA Closed: 13,806.70 vs Last week: 13,522.02 +284.68 / Prior week: -571.06
DJIA 50-Day Net Change: Rising +961 vs Last week +251 (High +1450 / Low -734)
DJIA 21-day Moving Average: 13,906.31 vs Last week: 13,942.11 -35.80 / Prior week: +49.22
DJIA Trend: Rising 42% vs Last week: 32% (High 97% 9-19-07&10-1-07 / Low 0% 6-13-07)
DJIA Momentum: Rising 71% vs Last week: 48% (High 97% / Low 10%)
DJIA Volatility: Falling 0.45% vs Last week: 3.23% (High 6.00% / Low -1.09%)
DJIA Resistance: Falling Near Term 14,152 vs Last week 14,191 -39 / Prior week: +56
DJIA Breakout: Falling Intermediate Term 14,393 vs Last week 14,330
DJIA Support: Falling Near Term 13,663 vs Last week: 13,698 -35 / Prior week: +64
DJIA Breakdown: Falling Intermediate Term 13,420 vs Last week: 13,454
DJIA Directional Indicator: Rising -5.1 vs Last week: -11.7 (High +49.4 / Low -52.9)
DJIA Price Advance/Decline Line: Rising +31 vs Last week: +10 (High +647 / Low -660)
DJIA Volume Advance/Decline Line: Rising -28 vs Last week: -113 (High +349 / Low -484)DJIA Price vs 21-Day Moving Average: Falling -0.7% vs Last week: -3.0% (High +4.4% / Low -4.5%)
DJIA Moving Average Convergence/Divergence(MACD): SELL / Last week: SELL
DJIA Overbought/Oversold (CCI): Rising -24 vs Last week: -258 (High +255 / Low -285)
DJIA Stochastic 20-Day Indicator: Rising 40 vs Last week: 27 (High 100 / Low 00)
DJIA 14-Day Relative Strength Indicator: Rising 40 vs Last week: 26 (High 97 / Low 12)
DJIA Volume vs 50-Day Moving Average: Rising 2.2 vs Last week: 1.1 (High 3.3 / Low 0.3)

Stock Market Outlook: Bullish Rising 85.8% vs Last week: 64.3% (100.0% / Low 8.0%)

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Rising .10% vs Last week: -.05% (High .29% (4-19-07) / Low -.24% (6-6-06)

Institutional Money Flow Index: Rising 68% vs Last week: 39% (High 97% / Low 08%)

Institutional Demand Factor: Rising 73.1 vs Last week: 46.7 (High 86.8 / Low 18.7)

Institutional Inventory Index: Rising 54.9 vs Last week: 44.5 (High 81.1 / 25.2)

Institutional Accumulation/Distribution: Rising .04 vs Last week: -.10 (High .35 / -.41)

Institutional Sentiment Index: Rising 146 vs Last week: 144 (High 179 (5-30-07) / (Low 68 (6-13-06)

Speculation Indicator Index: Rising .217 vs Last week: -.533 (High .749 (7-19-07) / (Low -683 (8-15-07)

One Year High Yield National CD Rate: Falling 4.95% vs Last week: 4.97% (5.27 / Low 2.19%)*****************************************************************************************************************
108 Exchange Traded Funds
Trends & Sector Analysis

Symbol: Trend +/- (Historic High-Low) / Rating / Demand Factor
Diamonds-Dow 30
DIA: +.04 vs Last week: -.22 (High .95 / Low -.59) Rating: BUY+ Demand Factor: 100+
SPDR-S&P 500
SPY: +.30 vs Last week: -.08 (High .77 / Low -.77) Rating: BUY+ Demand Factor: 100+
SPDR-S&P 400 Mid-Cap
MDY: +.30 vs Last week: -.00 (High .89 / Low -1.00) Rating: BUY+ Demand Factor: 100+
Russell 2000 Small-Cap
IWM: +.26 vs Last week: -.04 (High .71 / Low -.67) Rating: BUY+ Demand Factor: 100+
Nasdaq 100 Large Growth
QQQQ: +.39 vs Last week: +.30 (High .54 / Low -.35) Rating: BUY Demand Factor: 96+
1. Biotech
BBH: +.23 vs Last week: +.15 (High 1.58 / Low -1.02) Rating: BUY Demand Factor: 94+
2. Broadband
BDH: +.16 vs Last week: +.25 (High .57 / Low -.54) Rating: BUY Demand Factor: 96+
3. Central Fund of Canada (Physical Precious Metals)
CEF: +.29 vs Last week: +.32 (High .41 / Low -.29) Rating: BUY Demand Factor: 100/
4. CHICAGO MERCANTILE EXCHANGE
CME: +3.61 vs Last week: +3.57 (High 4.84 / Low -2.93) Rating: BUY Demand Factor: 89/
5. Deutsche Bank Commodity Index Tracking
DBC: +.36 vs Last week: +.42 (High .56 / Low -.65) Rating: BUY Demand Factor: 100/
6. ULTRA DOW 30 POWER SHARES
DDM: +.15 vs Last week: -.29 (High 1.00 / Low -.77) Rating: BUY+ Demand Factor: 100+
7. UltraShort Oil & Gas ProShares (2:1 Leveraged ETF)
DUG: -.24 vs Last week: +.02 (High 1.07/ Low -1.02) Rating: SELL- Demand Factor: 4-
8. Dow Jones Select Dividend Index
DVY: +.07 vs Last week: -.31 (High .58 / Low -.46) Rating: BUY+ Demand Factor: 76+
9. ULTRA SHORT DOW 30 POWER SHARES
DXD: -.15 vs Last week: +.12 (High .64 / Low -.70) Rating: SELL- Demand Factor: 1-
10. CLAYMORE/BNY BRIC ETF (Brazil Russia India China)
EEB: +.77 vs Last week: +.73 (High .86 / Low -.43) Rating: BUY Demand Factor: 100+
11. Emerging Markets
EEM: +.94 vs Last week: +.56 (High 1.29 / Low -1.19) Rating: BUY Demand Factor: 100+
12. EAFE Global Equities (Europe, Australasia and Far East)
EFA: +.38 vs Last week: +.12 (High .62 / Low -.65) Rating: BUY Demand Factor: 100+
13. Pacific ex-Japan
EPP: +.83 vs Last week: +.52 (High 1.36 / Low -1.18) Rating: BUY Demand Factor: 100+
14. Australia
EWA: +.40 vs Last week: +.40 (High .81 / Low -.45) Rating: BUY Demand Factor: 100+
15. Canada
EWC: +.27 vs Last week: +.14 (High .52 / Low -.37) Rating: BUY Demand Factor: 100+
16. Sweden
EWD: +.19 vs Last week: -.03 (High .79 / Low -.44) Rating: BUY+ Demand Factor: 100+
17. Germany
EWG: +.18 vs Last week: +.14 (High .61 / Low -.26) Rating: BUY Demand Factor: 100+
18. Hong Kong
EWH: +.32 vs Last week: +.10 (High .48 / Low -.25) Rating: BUY Demand Factor: 100+
19. Italy
EWI: -.04 vs Last week: -.21 (High .51 / Low -.40) Rating: SELL Demand Factor: 60+
20. Japan
EWJ: -.04 vs Last week: -.04 (High .63 / Low -.43) Rating: SELL Demand Factor: 76+
21. Belgium
EWK: +.34 vs Last week: +.18 (High .60 / Low -.40) Rating: BUY Demand Factor: 100+
22. Switzerland
EWL: +.34 vs Last week: +.22 (High .64 / Low -.49) Rating: BUY Demand Factor: 82+
23. Malaysia
EWM: +.12 vs Last week: +.07 (High .39 / Low -.21) Rating: BUY Demand Factor: 87+
24. Netherlands
EWN: +.12 vs Last week: +.03 (High .61 / Low -.30) Rating: BUY Demand Factor: 90+
25. Austria
EWO: -.02 vs Last week: -.18 (High .49 / Low -.30) Rating: SELL Demand Factor: 40+
26. Spain
EWP: +.68 vs Last week: +.44 (High .58 / Low -.43) Rating: BUY Demand Factor: 100+
27. France
EWQ: +.20 vs Last week: +.06 (High .56 / Low -.43) Rating: BUY Demand Factor: 100+
28. Singapore
EWS: +.15 vs Last week: +.05 (High .45 / Low -.21) Rating: BUY Demand Factor: 100+
29. Taiwan
EWT: +.15 vs Last week: +.21 (High .40 / Low -.23) Rating: BUY Demand Factor: 100+
30. United Kingdom
EWU: +.25 vs Last week: +.08 (High .69 / Low -.28) Rating: BUY Demand Factor: 100+
31. Mexico
EWW: +.47 vs Last week: +.31 (High .72 / Low -.57) Rating: BUY Demand Factor: 100+
32. South Korea
EWY: +.42 vs Last week: +.15 (High .68 / Low -.53) Rating: BUY Demand Factor: 100+
33. Brazil
EWZ: +.73 vs Last week: +.61 (High 1.00 / Low -.81) Rating: BUY Demand Factor: 100+
34. FTSE/Xinhua China 25 Index
FXI: +1.73 vs Last week: +1.65 (High 2.58 / Low -.82) Rating: BUY Demand Factor: 100+
35. Street TRACKS Gold Trust
GLD: +.68 vs Last week: +.45 (High .61 / Low -.61) Rating: BUY Demand Factor: 100/
36. Internet
HHH: +.29 vs Last week: +.20 (High .63 / Low -.75) Rating: BUY Demand Factor: 100+
37. Internet Architecture
IAH: +.23 vs Last week: +.24 (High .65 / Low -.60) Rating: BUY Demand Factor: 87+
38. U.S. Broker-Dealers
IAI: +.47 vs Last week: +.35 (High .49 / Low -.69) Rating: BUY Demand Factor: 100+
39. Comex Gold
IAU: +.66 vs Last week: +.38 (High .81 / Low -.65) Rating: BUY Demand Factor: 100/
40. Biotechnology
IBB: +.15 vs Last week: -.06 (High .70 / Low -.62) Rating: BUY+ Demand Factor: 38+
41. InterContinental Exchange, Inc.
ICE: +1.01 vs Last week: +1.67 (High 1.81/Low -2.00) Rating: BUY Demand Factor: 93-
42. Cohen & Steers Realty Majors
ICF: +.17 vs Last week: +.02 (High .98 / Low -.81) Rating: BUY+ Demand Factor: 100+
43. Utilities
IDU: +.24 vs Last week: -.30 (High .78 / Low -.68) Rating: BUY+ Demand Factor: 52+
44. S&P Europe 350 Index
IEV: +.51 vs Last week: +.18 (High .84 / Low -.88) Rating: BUY Demand Factor: 100+
45. Natural Resources
IGE: +.65 vs Last week: +.28 (High .88 / Low -.75) Rating: BUY Demand Factor: 100+
46. Networking
IGN: -.05 vs Last week: -.07 (High .48 / Low -.50) Rating: SELL Demand Factor: 69+
47. Software
IGV: +.34 vs Last week: +.26 (High .66 / Low -.60) Rating: BUY Demand Factor: 95+
48. Semiconductor
IGW: -.20 vs Last week: -.15 (High .62 / Low -.75) Rating: SELL Demand Factor: 10+
49. MS India Investment Fund
IIF: +.28 vs Last week: +.11 (High .88 / Low -.72) Rating: BUY Demand Factor: 74%
50. Internet Infrastructure
IIH: +.03 vs Last week: -.02 (High .64 / Low -.52) Rating: BUY Demand Factor: 65/
51. Mid-Cap 400 Blend
IJH: +.24 vs Last week: +.05 (High .78 / Low -.54) Rating: BUY Demand Factor: 100+
52. Mid-Cap 400 Growth
IJK: +.62 vs Last week: +.20 (High .66 / Low -.86) Rating: BUY Demand Factor: 73+
53. Small-Cap 600
IJR: +.12 vs Last week: -.01 (High .83 / Low -.41) Rating: BUY+ Demand Factor: 100+
54. S&P Latin America 40 Index
ILF: +1.35 vs Last week: +1.28 (High 2.68 / Low -2.31) Rating: BUY Demand Factor: 100+
55. International Securities Exchange Holdings, Inc.
ISE: +.41 vs Last week: +.21 (High 1.12 / Low -.60) Rating: BUY Demand Factor: 92+
56. S&P 1500 Index
ISI: +.44 vs Last week: -.26 (High .79 / Low -.65) Rating: BUY+ Demand Factor: 93+
57. S&P/TOPIX 150 Japan Index
ITF: +.44 vs Last week: +.35 (High .92 / Low -.90) Rating: BUY+ Demand Factor: 100+
58. Global Financial
IXG: +.34 vs Last week: +.19 (High .79 / Low -.73) Rating: BUY+ Demand Factor: 91+
59. Consumer Cyclical
IYC: +.45 vs Last week: +.29 (High .78 / Low -.64) Rating: BUY+ Demand Factor: 100+
60. Energy
IYE: +.27 vs Last week: +.10 (High .97 / Low -.85) Rating: BUY Demand Factor: 99+
61. Financial Services
IYG: +.05 vs Last week: -.38 (High .79 / Low -.96) Rating: BUY+ Demand Factor: 100+
62. Healthcare
IYH: +.40 vs Last week: +.31 (High .54 / Low -.63) Rating: BUY Demand Factor: 97+
63. Industrial
IYJ: +.34 vs Last week: +.06 (High .52 / Low -.35) Rating: BUY Demand Factor: 100+
64. Consumer Non-Cyclical
IYK: +.36 vs Last week: +.19 (High .58 / Low -.56) Rating: BUY Demand Factor: 100+
65. Basic Materials
IYM: +.28 vs Last week: +.13 (High .69 / Low -.61) Rating: BUY Demand Factor: 100+
66. Real Estate
IYR: +.12 vs Last week: -.08 (High .64 / Low -.67) Rating: BUY+ Demand Factor: 95+
67. Transportation
IYT: +.21 vs Last week: -.07 (High .80 / Low -.73) Rating: BUY+ Demand Factor: 50+
68. U.S. Technology
IYW: +.45 vs Last week: +.01 (High .54 / Low -.50) Rating: BUY Demand Factor: 100+
69. U.S. Total Market Index
IYY: +.40 vs Last week: +.21 (High .84 / Low -.72) Rating: BUY Demand Factor: 100+
70. U.S. Telecommunications
IYZ: +.13 vs Last week: +.06 (High .43 / Low -.30) Rating: BUY+ Demand Factor: 100+
71. ULTRA SHORT MID-CAP 400 POWER SHARES
MZZ: -.30 vs Last week: -.03 (High .73 / Low -.82) Rating: SELL Demand Factor: 0-
72. NYSE Euronext Group, Inc.
NYX: +.62 vs Last week: +.59 (High 1.77 / Low -1.30 Rating: BUY Demand Factor: 100+
73. NASDAQ Stock Market, Inc.
NDAQ: +.42 vs Last week: +.34 (High 1.07/ Low -1.02) Rating: BUY Demand Factor: 65+
74. Oil Services
OIH: +.01 vs Last week: -.24 (High 1.70/Low -1.29) Rating: BUY Demand Factor: 97+
75. PowerShares WilderHill Clean Energy
PBW: +.13 vs Last week: +.09 (High .66 / Low -.33) Rating: BUY Demand Factor: 96+
76. Pharmaceuticals
PPH: +.12 vs Last week: -.12 (High .80 / Low -.61) Rating: BUY+ Demand Factor: 64+
77. PowerShares Dynamic OTC
PWO: +.27 vs Last week: +.14 (High .51 / Low -.54) Rating: BUY Demand Factor: 98+
78. ULTRA SHORT QQQ POWER SHARES
QID: -.48 vs Last week: -.39 (High .59 / Low -.73) Rating: SELL Demand Factor: 0-
79. ULTRA QQQ PROSHARES
QLD: +.84 vs Last week: +.68 (High 1.07 / Low -1.00) Rating: BUY Demand Factor: 100+
80. Regional Banks
RKH: -.14 vs Last week: -.66 (High .95 / Low -.98) Rating: SELL Demand Factor: 30+
81. MS Eastern Europe Fund
RNE: +.25 vs Last week: +.02 (High .55 / Low -.63) Rating: BUY Demand Factor: 83+
82. Retail
RTH: +.05 vs Last week: -.33 (High .60 / Low -.66) Rating: BUY+ Demand Factor: 92+
83. DJ Wilshire REIT
RWR: +.53 vs Last week: +.17 (High .78 / Low -.67) Rating: BUY+ Demand Factor: 100+
84. ULTRA SHORT S&P 500 Power Shares
SDS: -.32 vs Last week: +.07 (High .64 / Low: -.69) Rating: SELL- Demand Factor: 0-
85. ULTRA SHORT Russell 2000 Value ProShares
SJH: -.23 vs Last week: +.25 (High .63 / Low -.68) Rating: SELL- Demand Factor: 0-
86. Silver Trust
SLV: +.36 vs Last week: +.12 (High 1.09 / Low -1.05) Rating: BUY Demand Factor: 81+
87. Semiconductor
SMH: -.16 vs Last week: -.21 (High .48 / Low -.52) Rating: SELL Demand Factor: 52+
88. UltraShort Real Estate ProShares (2:1 Leveraged ETF)
SRS: -.03 vs Last week: -.01 (High .61 / Low -.43) Rating: SELL Demand Factor: 6-
89. Software
SWH: +.22 vs Last week: -.10 (High .61 / Low -.43) Rating: BUY Demand Factor: 100+
90. Lehman 20+ Treasury Bond Fund
TLT: +.24 vs Last week: +.39 (High .53 / Low -.49) Rating: BUY Demand Factor: 84-
91. Telecommunications Holders Trust
TTH: -.03 vs Last week: -.04 (High .54 / Low -.31) Rating: SELL Demand Factor: 75+
92. Utilities
UTH: -.57 vs Last week: -1.13 (High .95 / Low -1.13) Rating: SELL Demand Factor: 71+
93. Wireless
WMH: +.22 vs Last week: +.33 (High .87 / Low -.64) Rating: BUY Demand Factor: 92+
94. Homebuilders Select Sector
XHB: +.14 vs Last week: -.34 (High .69 / Low -.56) Rating: BUY+ Demand Factor: 34+
95. Materials Select Sector
XLB: +.16 vs Last week: -.05 (High .40 / Low -.41) Rating: BUY+ Demand Factor: 100+
96. Energy Select Sector
XLE: +.23 vs Last week: +.06 (High .76 / Low -.55) Rating: BUY Demand Factor: 100+
97. Financial Select Sector
XLF: +.17 vs Last week: -.06 (High .46 / Low -.43) Rating: BUY+ Demand Factor: 81+
98. Industrial Select Sector
XLI: +.35 vs Last week: +.08 (High .46 / Low -.24) Rating: BUY Demand Factor: 100+
99. Technology Select Sector
XLK: +.22 vs Last week: +.01 (High .51 / Low -.32) Rating: BUY Demand Factor: 100+
100. Consumer Staples Select Sector
XLP: +.13 vs Last week: +.09 (High .59 / Low -.29) Rating: BUY Demand Factor: 79+
101. Healthcare Select Sector
XLV: +.28 vs Last week: +.08 (High .57 / Low -.33) Rating: BUY Demand Factor: 100+
102. Industrial Select Sector
XLY: +.10 vs Last week: -.13 (High .44 / Low -.45) Rating: BUY+ Demand Factor: 34+
103. Mining & Metals Select Sector
XME: +.41 vs Last week: -.04 (High .92 / Low -.78) Rating: BUY Demand Factor: 93+

108 Total Exchange Traded Funds Tracked: (BUY High= 90%) / (BUY Low= (49%)
Buy 91/Sell 16(84%) vs. Last week: Buy 70/Sell 37(65%) vs. Prior week: Buy 92/Sell 13(88%)

DJIA closed this week: +284.68 vs. Last week: -571.06
(This week: Up/Last week: Down/Prior: Up 5 weeks-in-a-row)

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Douglas Gale, President, Gale Financial Market Econometrics, Inc.
"Just Suppose For A Moment, You Know What The Exchange Insiders Know!" MktMetrics does.

As Advertised on:
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A daily Internet video webcast called MktMetrics Morning appears late morning on YouTube and Yahoo Video, that can be searched under: "MktMetrics"

www.galefinancialmarketeconometrics.blogspot.com/
Next Day's Advance Market Decisions
The three blogs provide Trading Ideas (11:15pmEST), Stock Market Forecast and Institutional Investor Statistics, and Diamonds (DIA) (8:00amEST) as we track what the Exchange Insiders (Specialists & Market Makers) are currently doing with their inventory.

Total number of Blogs archived: 1,347 since April 2005

Friday, October 26, 2007

Dow 30 ETF (DIA) Friday October 26 Forecast

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Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 10/26/07
Last Updated: 10/25/07
10/25/07 Final Numbers
(Open) 136.75
(High) 137.29
(Low) 135.35
(Close) 136.71
(Range) 1.94

DIA Friday Forecast
Opening Fair Value: 136.42
Today's Predicted High: 137.67
Today's Predicted Low: 135.75
Today's Proposed Range: 1.92
Buy/Sell Rating: Buy (down from strong Buy)

Market Comment:
DJIA closed -1.72% below its falling 21-day moving average vs. -1.77% previously. Dow Trend yesterday change direction to "Down" from "Up" and the Dow Outlook is still falling. Friday most likely will be a positive day for traders. Suggest Investors "begin to accumulate" value stocks. Stock Market may trade positive for another two days. Be nimble and selective.

DIA Resistance: Mean 139.12 / Intermediate 141.85 / Breakout 144.59
DIA Support: Mean 139.03 / Intermediate 136.25 / Breakdown 133.47

DIA Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 56 Up from 51
Volume Internal Strength: Positive 1.20/1.28 Down
Current Trend: Negative -1 Down from 1
Demand Factor: 100 Up from 97
Stock Volatility: 1.98 Down from 2.45

Predict DIA Upside and Downside Potential
10/25/07 12:45 Close: 136.27
Upside Potential: 138.91
Downside Potential: 135.07

Information for Extreme Trading Days
Predicted Block Trading Resistance Levels (100,000+ shares)
1. 138.06
2. 139.44
3. 139.49
4. 140.04

Predicted Block Trading Support Levels (100,000+ shares)
1. 134.54
2. 134.02
3. 133.98
4. 132.64

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 137.14
21 DAY MOVING AVERAGE = 139.03
30 DAY MOVING AVERAGE = 138.43
42 DAY MOVING AVERAGE = 136.83
50 DAY MOVING AVERAGE = 135.99
65 DAY MOVING AVERAGE = 135.30
30 WEEK MOVING AVERAGE = 133.87
200 DAY MOVING AVERAGE = 131.58

DIA Probability Percent of "Up" at the Close
DIA probability "Up%" Friday: 52%
DIA Past 4 Fridays: Falling 50.9% / 51.9% / 49.0% / 48.1%
(Lower closing from opening is greatest for Friday)
DIA Trend: Falling Today Negative -1 Down from 1
DIA MACD: Unch Today, SELL as of Wednesday 10-10-07
DIA Open/Close 20-Day Trend: Open Up/Close Down
*(Open/Close Trend Changed as of Thursday 10-11-07)

DJIA Probability Percent of "Up" at the Close
DJIA probability "Up%" Friday: 50%
DJIA Trend: Falling Today 23% vs. 29%
DJIA Trend Direction: Changed "Down" from "Up" Thursday 10-25-07
DJIA MACD: Unch Today SELL as of Wednesday 10-10-07

Subscribe to MktMetrics.com and receive the above information daily for any stock or ETF you are trading today! Market Makers have daily trading parameters, why shouldn't you?

Full disclosure:
Long/Short individual stocks mentioned above at time of writing by author? None

Please refer to:
Next Day's Advance Market Decisions "Trading Ideas" to see suggested trades for today.

Stock Market Forecast Friday 10-26-07

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Thursday 10-25-07 DJIA closed: 13,671.92 -3.33 vs. Prior day: 13,675.25 -0.98
DJIA 21-Day Moving Average: 13,911.36 -9.83 vs. Prior day: 13,921.19 -4.92
(DJIA closed -1.72% below its falling 21-day moving average, vs. -1.77% prior day)

Before the New York Stock Exchange Open
Friday October 26 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Friday: 50%
DIA probability of closing "Up" Friday: 52%
DIA Past 4 Fridays: Falling 50.9% / 51.9% / 49.0% / 48.1%
(Lower closing from opening is greatest for Friday)
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Falling Today Up 7 vs Down 24 (-2 vs +1 prior day)
DJIA Trend: Falling Today 23% vs Yesterday 29% (High 97% / Low 0%)
Change in Trend: To "Down" from "Up" as of Thursday, 10-25-07
DJIA MACD: Unch Today, SELL as of Wednesday, 10-10-07 (12,26 computation)
DJIA Momentum: Rising Today 68% vs Yesterday 61% (High 97% / Low 13%)
DJIA Volatility: Rising Today 1.87% vs Yesterday 1.34% (High 3.24% / Low -1.09%)
DJIA 50-Day Net Change: Rising Today +??? vs Yesterday +646 (High 1450 / Low -734)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -734 8-15-07 (today+???= 44.6% of High)

DJIA Resistance Levels: Mean= 13,926 / Intermediate Term 14,167 / Breakout 14,408
DJIA Support Levels: Mean= 13,921 / Intermediate Term 13,678 / Breakdown 13,434

Market Comment:
DJIA closed -1.72% below its falling 21-day moving average vs. -1.77% previously.
Dow Trend yesterday change direction to "Down" from "Up" and the Dow Outlook is still falling. Friday most likely will be a positive day for traders. Suggest Investors "begin to accumulate" value stocks. Stock Market may trade positive for another two days. Be careful here though.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Unch Today .5% vs Yesterday .5% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, Neutral and flat.

Institutional Money Flow: Falling Today 55% vs Yesterday 58% (High 97% / Low 6%) Mean= 52% Closed above its Mean, positive yet decreasing.

Institutional Demand: Rising Today 70.71% vs Yesterday 68.35% (High 86.84% / Low 18.65%) Mean= 52.8% Closed above its Mean, Positive and increasing.

Institutional Inventory: Rising Today 51.52% vs Yesterday 50.42% (High 81.06% / Low 25.23%) Mean= 52.2% Closed below its Mean, negative yet increasing.

Institutional Accumulation/Distribution Trend: Rising Today .01% vs Yesterday .03% (High .35% / -.41%) Mean= -.03% Closed above its Mean, positive yet decreasing.

Outlook Statistics: Above 50% Bullish/Below 50% Bearish (Historic High/Low)

DJIA Outlook: Bearish Falling Today 46% vs. Yesterday 49% (High 89% / Low 18%) Mean= 53.5% Closed below its Mean, Negative and decreasing.

Stock Market Outlook: Bullish, yet Falling Today 78.6% vs Yesterday 79.5% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

11 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Falling Trend Today -1% vs. Yesterday 1% (High 95% / Low -59%)
SPY: Falling Trend Today 20% vs. Yesterday 22% (High 77% / Low -77%)
MDY: Falling Trend Today 25% vs. Yesterday 33% (High 91% / Low -100%)
IWM: Falling Trend Today 18% vs. Yesterday 26% (High 71% / Low -67%)
QQQQ: Falling Trend Today 35% vs. Yesterday 46% (High 54% / Low -43%)
SMH: Falling Trend Today -17% vs. Yesterday -14% (High 48% / Low -53%)
IYT: Falling Trend Today 6% vs. Yesterday 15% (High 80% / Low -73%)
IDU: Rising Trend Today 8% vs. Yesterday -1% (High 80% / Low -68%)
XLE: Rising Trend Today 27% vs. Yesterday 24% (High 70% / Low -55%)
XLF: Falling Trend Today 7% vs. Yesterday 9% (High 45% / Low -39%)
IAI: Rising Trend Today 44% vs. Yesterday 36% (High 54% / Low -69%)

Stock Market Plurality:
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Falling Trend Today 149 vs. Yesterday 170 (High 367 / Low 4)
Demand Factor "0": Rising Trend Today 41 vs. Yesterday 40 (High 210 / Low 7)

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Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
http://www.mktmetrics.com/
Next Day's Advance Market Decisions:
"Not always right, just very seldom wrong."

Thursday, October 25, 2007

Stock Trading Ideas For Friday October 26

Information provided by: http://www.mktmetrics.com/

Stocks expected to move "HIGHER" Friday
Buy-Long Day Trading Ideas suggested for October 26 2007
Symbol OFV (Opening Fair Value)
ADVS OFV: 52.97
AET OFV: 55.36
ALXN OFV: 75.60
AXP OFV: 59.16
CEG OFV: 91.67
CMLS OFV: 10.38
DJ OFV: 59.86
FPL OFV: 63.24
GD OFV: 90.35
GLW OFV: 22.82
IDU OFV: 98.84
LEN OFV: 22.95
LIFC OFV: 41.27
MA OFV: 148.57
MLNM OFV: 11.51
MSFT OFV: 31.84
OKE OFV: 48.86
PCP OFV: 149.60
PHM OFV: 14.84
PNC OFV: 69.55
POSS OFV: 13.94
RNOW OFV: 18.60
SLV OFV: 137.88
SNE OFV: 47.28
TIE OFV: 34.07
TMK OFV: 63.79
TOL OFV: 22.55

Stocks expected to move "LOWER" Friday
Sell-Short Day Trading Ideas suggested for October 26 2007
Symbol OFV (Opening Fair Value)
ADCT OFV: 18.48
BLL OFV: 51.54
BSC OFV: 112.24
CCRT OFV: 20.18
CDNS OFV: 19.95
COF OFV: 62.63
CSK OFV: 7.83
DIS OFV: 34.61
DOVV: 46.21
DW OFV: 40.77
ETFC OFV: 10.32
FFIV OFV: 35.78
GLBL OFV: 24.58
GM OFV: 38.06
HBC OFV: 93.09
HCR OFV: 51.57
KSS OFV: 56.63
LAVA OFV: 13.40
LCAV OFV: 27.33
LH OFV: 70.17
LNCR OFV: 34.18
MFLO OFV: 16.84
MGAM OFV: 9.12
OSK OFV: 55.17
RDK OFV: 33.08
RESP OFV: 47.03
RIGL OFV: 9.82
RPM OFV: 20.93
SHW OFV: 40.81
SLB OFV: 99.95
SNA OFV: 50.25
SUPX OFV: 36.27
USU OFV: 8.39
WDC OFV: 23.98
WFMI OFV: 47.71

UNDER CONSTRUCTION
CHECK BACK NEXT WEEK

Today's Portfolio PerformanceIncluding overnight positionsWednesday October 17 2007(Long) 14 positions up out of 19 (73.7% accurate)Current Value $889,920.00Gross Gain $6,360.00Thursday October 18 2007(Long) 9 positions up out of 15 (60% accurate)Current Value $705,517.50Gross Gain $957.49Wednesday October 17 2007(Short) 15 positions down out of 23 (65.2% accurate)Current Value $945,557.50Gross Gain $14,872.50Thursday's Net After Commissions Trade Totals:$6,926.62+$659.06 Net Gain from Positive suggestions (Buy-Long),plus,$16,593.81 Net Gain from Negative suggestions (Sell-Short)Combined Strategies Total: $24,179.49 Net Gain Thursday$2,000,000.00 Principal Amount TRADE MODEL Start Date: 7-12-07Portfolio Day Trade Disciplines:*1,000 shares per trade, always hedged*Buy at OFV, Sell at Market Close*Sell-Short at OFV, Buy-back at Market Close*Costs: $9.95 X 2= $19.90 for each 1000 shares round trip (open/close)Trade Date / Beginning / Gain or Loss / Net Account ValueJuly 12, 2007 $2,000,000.00 + 36,273.72 net gain = $2,036,273.72July 13, 2007 $2,036,273.72 <- 400.00> net loss = $2,035,873.72July 16, 2007 $2,035,873.72 + 4,834.41 net gain = $2,040,708.13July 17, 2007 $2,040,708.13 + 12,114.31 net gain = $2,052,822.44July 18, 2007 $2,052,822.44 + 12,566.53 net gain = $2,065,388.97July 19, 2007 $2,065,388.97 + 16,165.04 net gain = $2,081,554.01July 20, 2007 $2,081,554.01 + 18,765.38 net gain = $2,100,319.39July 23, 2007 $2,100,319.39 + 5,060.01 net gain = $2,105,379.40July 24, 2007 $2,105,379.40 + 56,062.01 net gain = $2,161,441.41July 25, 2007 $2,161,441.41 + 11,938.12 net gain = $2,173,379.53July 26, 2007 $2,173,379.53 + <1,440.00> net loss = $2,171,939.53July 27, 2007 $2,171,939.53 + 6,410.09 net gain = $2,178,349.62July 30, 2007 $2,178,349.62 + 8,501.51 net gain = $2,186,851.13July 31, 2007 $2,186,851.13 + 10,641.09 net gain = $2,197,492.22August 1, 2007 $2,197,492.22 + 46,410.00 net gain = $2,243,902.22August 2, 2007 $2,243,902.22 + 20,543.23 net gain = $2,264,445.45August 3, 2007 $2,264,445.45 + 4,935.81 net gain = $2,269,381.26August 6, 2007 $2,269,381.26 + -1,298.78 net loss = $2,268,082.48August 7, 2007 $2,268,082.48 + 31,239.89 net gain = $2,299,322.37August 8, 2007 $2,299,322.37 + 56,444.32 net gain = $2,355,766.69August 9, 2007 $2,355,766.69 + 11,620.90 net gain = $2,367,387.59August 10, 2007 $2,367,387.59 + 3,551.41 net gain = $2,370,939.00August 13, 2007 $2,370,939.00 + 56,028.35 net gain = $2,426,967.35August 14, 2007 $2,426,967.35 + 81,737.06 net gain = $2,508,704.41August 15, 2007 $2,508,704.41 + 7,240.60 net gain = $2,515,945.01August 16, 2007 $2,515,945.01 + 20,124.54 net gain = $2,536,069.55August 17, 2007 $2,536,069.55 + 120,505.45 net gain = $2,656,575.00August 20, 2007 $2,656,575.00 + 18,145.54 net gain = $2,674,720.54August 21, 2007 $2,674,720.54 + 5,287.14 net gain = $2,680,007.68August 22, 2007 $2,680,007.68 + 49,666.04 net gain = $2,729,673.72August 23, 2007 $2,729,673.72 + 20,297.53 net gain = $2,749,971.25August 24, 2007 $2,749,971.25 + <$7,103.54> net loss = $2,742,867.71September 5, 2007 $2,742,867.71 + 7,699.66 net gain = $2,750,567.37September 6, 2007 $2,750,567.37 + 38,502.56 net gain = $2,789,069.93September 7, 2007 $2,789,069.93 + 60,897.48 net gain = $2,849,967.41September 10, 2007 $2,849,967.41 + 23,848.54 net gain = $2,873,815.95September 11, 2007 $2,873,815.95 + 43,525.83 net gain = $2,917,341.78September 12, 2007 $2,917,341.78 + 17,988.44 net gain = $2,935,330.22September 13, 2007 $2,935,330.22 + 4,946.55 net gain = $2,940,276.77September 14, 2007 $2,940,276.77 + 21,098.50 net gain = $2,961,375.27September 17, 2007 $2,961,375.27 + 22,380.87 net gain = $2,983,756.14September 18, 2007 $2,983,756.14 + 83,767.93 net gain = $3,067,524.07September 19, 2007 $3,067,524.07 + 62,188.17 net gain = $3,129,712.24September 20, 2007 $3,129,712.24 + 18,534.72 net gain = $3,148,246.96September 21, 2007 $3,148,246.96 + 15,505.13 net gain = $3,163,752.09September 24, 2007 $3,163,752.09 + 75,801.95 net gain = $3,239,554.04September 25, 2007 $3,239,554.04 + 969.86 net gain = $3,240,523.90September 26, 2007 $3,240,523.90 + 7,260.71 net gain = $3,247,784.61September 27, 2007 $3,247,784.61 + 54,631.47 net gain = $3,302,416.08September 28, 2007 $3,302,416.08 + 29,393.27 net gain = $3,331,809.35October 1, 2007 $3,331,809.35 + 26,870.56 net gain = $3,358,679.91October 2, 2007 $3,358,679.91 + 51,324.19 net gain = $3,410,004.10October 3, 2007 $3,410,004.10 -1,616.68 net loss = $3,408,387.42October 4, 2007 $3,408,387.42 + 4,193.61 net gain = $3,412,581.03October 5, 2007 $3,412,581.03 + 45,255.33 net gain = $3,457,836.36October 8, 2007 $3,457,836.36 + 18,923.91 net gain = $3,476,760.27October 9, 2007 $3,476,760.27 + 25,883.21 net gain = $3,502,643.48October 10, 2007 $3,502,643.48 + 22,035.01 net gain = $3,524,678.49October 11, 2007 $3,524,678.49 + 6,132.82 net gain = $3,530,811.31October 12, 2007 $3,530,811.31 + 26,287.92 net gain = $3,557,099.23October 15, 2007 $3,557,099.23 + 61,212.90 net gain = $3,618,312.13October 16, 2007 $3,618,312.13 + 34,315.12 net gain = $3,652,627.25October 17, 2007 $3,652,627.25 + 2,284.21 net gain = $3,654,911.46October 18, 2007 $3,654,911.46 + 24,179.49 net gain = $3,679,090.95October 19, 2007 $3,679,090.95*THURSDAY'S RESULTS*Day Trading Ideas that were expected to move "HIGHER" ThursdaySymbol OFV (Opening Fair Value) Bought, Sold at Close, resultsFinal reporting provided by ClearStation.com, wholly-owned by E*TradeLong suggestions Thursday October 17 2007 sorted by Bought in descending orderSymbol Last Change %Change Volume Position Bought Value Net %Change %TotalBCE41.950.110.28%167,400.100010/18/200741,960.00150.100.35%5.94CTXS40.54-1.22-2.92%13,326,242.100010/18/200740,550.00-1,639.89-3.88%5.74DW42.860.060.14%102,200.100010/18/200742,860.00-19.89-0.04%6.07GBL60.290.200.34%34,500.100010/18/200760,290.00-19.89-0.03%8.54GSH43.06-2.15-4.76%177,000.100010/18/200743,067.50-342.39-0.78%6.10IIF53.45-1.30-2.39%367,200.100010/18/200753,450.00-1,769.89-3.20%7.57REGN20.63-0.33-1.57%550,752.100010/18/200720,640.00230.091.12%2.92ANSS39.61-0.72-1.78%1,090,894.100010/18/200739,620.00330.100.84%5.61VMSI88.320.730.84%167,673.100010/18/200788,320.001,150.101.31%12.51CRA16.050.322.03%539,500.100010/18/200716,060.00390.092.48%2.27FFIV43.001.884.59%2,606,161.100010/18/200743,000.002,180.105.34%6.09IIH5.740.010.17%16,300.100010/18/20075,740.00-19.89-0.34%0.81IEV121.51-0.05-0.04%123,000.100010/18/2007121,510.0060.100.04%17.22IGN38.090.130.36%137,800.100010/18/200738,100.00270.100.71%5.40MZZ50.34-0.13-0.25%376,500.100010/18/200750,350.00-289.89-0.57%7.13Total $705,517.50 $659.01 0.09%*THURSDAY'S RESULTS*Day Trading Ideas that were expected to move "LOWER" ThursdaySymbol OFV (Opening Fair Value) Sold-Short, Bought-back at Close, resultsFinal reporting provided by ClearStation.com, wholly-owned by E*TradeShort suggestions Thursday October 18 2007 sorted by Bought in descending orderSymbol Last Change %Change Volume Position Bought Value Net %Change %TotalNo New Short Positions to Report.Next Day's Advance Market Decisions:"Not always right, just very seldom wrong."Full disclosure:Long/Short individual stocks and ETFs mentioned above and owned at time of writing by its author- None, Cash-at-Market Close.Disclaimer:The information and data contained in this site was obtained from independent research and development believed to be reliable, but accuracy is not guaranteed. Neither the information, nor any opinion expressed, constitutes a recommendation to purchase or sell a security, or to provide investment advice. Stocks and stock options involve risks and are not suitable for all investors. This site is not a solicitation of an offer to buy shares in any fund whose performance is provided in this site. Such an offer can be solicited only by a fund directly or its agent.

Dow 30 ETF (DIA) Thursday October 25 Forecast

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Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 10/25/07
Last Updated: 10/24/07
10/24/07 Final Numbers
(Open) 136.08
(High) 136.79
(Low) 134.56
(Close) 136.60
(Range) 2.23

DIA Thursday Forecast
Opening Fair Value: 135.84
Today's Predicted High: 137.66
Today's Predicted Low: 135.54
Today's Proposed Range: 2.12
Buy/Sell Rating: Strong Buy (up from sell)

Market Comment:
DJIA closed -1.77% below its falling 21-day moving average vs. -1.79% previously. Dow Trend yesterday change direction to "Up" from "Down," but the Dow Outlook is still falling. Thursday most likely will be a positive day for traders. Suggest Investors "begin to accumulate" value stocks. Stock Market may trade positive for three days.

DIA Resistance: Mean 139.17 / Intermediate 141.92 / Breakout 144.68
DIA Support: Mean 139.12 / Intermediate 136.34 / Breakdown 133.56

DIA Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 51 Up from 41
Volume Internal Strength: Positive 1.50/1.30 Up
Current Trend: Positive 1 Up from -2
Demand Factor: 97 Up from 80
Stock Volatility: 2.45 Up from 1.37

Predict DIA Upside and Downside Potential
10/24/07 12:45 Close: 135.14
Upside Potential: 139.51
Downside Potential: 135.27

Information for Extreme Trading Days
Predicted Block Trading Resistance Levels (100,000+ shares)
1. 137.25
2. 138.80
3. 139.33
4. 139.53

Predicted Block Trading Support Levels (100,000+ shares)
1. 134.05
2. 133.87
3. 133.36
4. 131.87

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 137.57
21 DAY MOVING AVERAGE = 139.12
30 DAY MOVING AVERAGE = 138.36
42 DAY MOVING AVERAGE = 136.75
50 DAY MOVING AVERAGE = 135.83
65 DAY MOVING AVERAGE = 135.31
30 WEEK MOVING AVERAGE = 133.79
200 DAY MOVING AVERAGE = 131.52

DIA Probability Percent of "Up" at the Close
DIA probability "Up%" Thursday: 39%
DIA Past 4 Thursdays: Falling 52.8% / 53.8% / 54.5% / 55.5%
DIA Trend: Rising Today Positive 1 Up from -2
DIA MACD: Unch Today, SELL as of Wednesday 10-10-07
DIA Open/Close 20-Day Trend: Open Up/Close Down
*(Open/Close Trend Changed as of Thursday 10-11-07)

DJIA Probability Percent of "Up" at the Close
DJIA probability "Up%" Thursday: 63%
DJIA Trend: Rising Today 29% vs. 26%
DJIA Trend Direction: Changed "Up" from "Down" Wednesday 10-24-07
DJIA MACD: Unch Today SELL as of Wednesday 10-10-07

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Full disclosure:
Long/Short individual stocks mentioned above at time of writing by author? None

Please refer to:
Next Day's Advance Market Decisions "Trading Ideas" to see suggested trades for today.

Stock Market Forecast Thursday 10-25-07

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Wednesday 10-24-07 DJIA closed: 13,675.25 -0.98 vs. Prior day: 13,676.23 +109.26
DJIA 21-Day Moving Average: 13,921.19 -4.92 vs. Prior day: 13,926.11 -3.94
(DJIA closed -1.77% below its falling 21-day moving average, vs. -1.79% prior day)

Before the New York Stock Exchange Open
Thursday October 25 Stock Market Forecast


Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Thursday: 63%
DIA probability of closing "Up" Thursday: 39%
DIA Past 4 Thursdays: Falling 52.8% / 53.8% / 54.5% / 55.5%
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Rising Today Up 9 vs Down 22 (+1 vs -2 prior day)
DJIA Trend: Rising Today 29% vs Yesterday 26% (High 97% / Low 0%)
Change in Trend: To "Up" from "Down" as of Wednesday, 10-24-07
DJIA MACD: Unch Today, SELL as of Wednesday, 10-10-07 (12,26 computation)
DJIA Momentum: Rising Today 61% vs Yesterday 58% (High 97% / Low 13%)
DJIA Volatility: Rising Today 1.34% vs Yesterday 1.26% (High 3.24% / Low -1.09%)
DJIA 50-Day Net Change: Rising Today +646 vs Yesterday +440 (High 1450 / Low -734)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -734 8-15-07 (today+646= 44.6% of High)

DJIA Resistance Levels: Mean= 13,926 / Intermediate Term 14,167 / Breakout 14,408
DJIA Support Levels: Mean= 13,921 / Intermediate Term 13,678 / Breakdown 13,434

Market Comment:
DJIA closed -1.77% below its falling 21-day moving average vs. -1.79% previously. Dow Trend yesterday change direction to "Up" from "Down," but the Dow Outlook is still falling. Thursday most likely will be a positive day for traders. Suggest Investors "begin to accumulate" value stocks. Stock Market may trade positive for three days.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Rising Today .5% vs Yesterday .4% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, Positive and increasing.

Institutional Money Flow: Rising Today 58% vs Yesterday 48% (High 97% / Low 6%) Mean= 52% Closed above its Mean, Positive and increasing.

Institutional Demand: Rising Today 68.35% vs Yesterday 60.58% (High 86.84% / Low 18.65%) Mean= 52.8% Closed above its Mean, Positive and increasing.

Institutional Inventory: Rising Today 50.42% vs Yesterday 46.35% (High 81.06% / Low 25.23%) Mean= 52.2% Closed below its Mean, negative yet increasing.

Institutional Accumulation/Distribution Trend: Rising Today .03% vs Yesterday .01% (High .35% / -.41%) Mean= -.03% Closed above its Mean, Positive and increasing.

Outlook Statistics: Above 50% Bullish/Below 50% Bearish (Historic High/Low)

DJIA Outlook: Bearish Falling Today 49% vs. Yesterday 50% (High 89% / Low 18%) Mean= 53.5% Closed below its Mean, Negative and decreasing.

Stock Market Outlook: Bullish, yet Falling Today 79.5% vs Yesterday 81.9% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

11 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Rising Trend Today 1% vs. Yesterday -2% (High 95% / Low -59%)
SPY: Rising Trend Today 22% vs. Yesterday 17% (High 77% / Low -77%)
MDY: Rising Trend Today 33% vs. Yesterday 26% (High 91% / Low -100%)
IWM: Unch Trend Today 26% vs. Yesterday 26% (High 71% / Low -67%)
QQQQ: Falling Trend Today 46% vs. Yesterday 47% (High 54% / Low -43%)
SMH: Falling Trend Today -14% vs. Yesterday -13% (High 48% / Low -53%)
IYT: Falling Trend Today 15% vs. Yesterday 18% (High 80% / Low -73%)
IDU: Rising Trend Today -1% vs. Yesterday -17% (High 80% / Low -68%)
XLE: Rising Trend Today 24% vs. Yesterday 11% (High 70% / Low -55%)
XLF: Rising Trend Today 9% vs. Yesterday 7% (High 45% / Low -39%)
IAI: Falling Trend Today 36% vs. Yesterday 40% (High 54% / Low -69%)

Stock Market Plurality:
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Rising Trend Today 170 vs. Yesterday 109 (High 367 / Low 4)
Demand Factor "0": Rising Trend Today 40 vs. Yesterday 36 (High 210 / Low 7)

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Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
http://www.mktmetrics.com/
Next Day's Advance Market Decisions:
"Not always right, just very seldom wrong."

Wednesday, October 24, 2007

Stock Trading Ideas For Thursday October 25

Information provided by: http://www.mktmetrics.com/

Stocks expected to move "HIGHER" Thursday
Buy-Long Day Trading Ideas suggested for October 25 2007
Symbol OFV (Opening Fair Value)
AOC OFV: 43.43
ATMI OFV: 32.55
AVP OFV: 37.02
BMY OFV: 28.24
CCE OFV: 24.73
CHB OFV: 12.78
CKFR OFV: 47.40
EPD OFV: 31.74
FCS OFV: 18.82
HAE OFV: 51.09
HBAN OFV: 16.93
HBC OFV: 93.53
HCR OFV: 66.26
HOLX OFV: 66.31
INTC OFV: 25.99
JASO OFV: 54.18
JPM OFV: 45.70
MDTH OFV: 28.81
OLN OFV: 22.74
POT OFV: 107.44
SBIB OFV: 11.35
SGR OFV: 71.46
SINA OFV: 52.89
SLV OFV: 134.40
VMSI OFV: 86.83
XLY OFV: 36.18

Stocks expected to move "LOWER" Thursday
Sell-Short Day Trading Ideas suggested for October 25 2007
Symbol OFV (Opening Fair Value)
ADVS OFV: 47.45
ALU OFV: 9.33
DGX OFV: 55.12
DIOD OFV: 32.49
GLW OFV: 23.27
IMN OFV: 23.27
LTD OFV: 21.64
MER OFV: 64.13
PTEN OFV: 20.67
S OFV: OFV: 17.45
TEN OFV: 31.08
UNM OFV: 23.32
VRSN OFV: 34.12

UNDER CONSTRUCTION
CHECK BACK NEXT WEEK

Today's Portfolio PerformanceIncluding overnight positionsWednesday October 17 2007(Long) 14 positions up out of 19 (73.7% accurate)Current Value $889,920.00Gross Gain $6,360.00Thursday October 18 2007(Long) 9 positions up out of 15 (60% accurate)Current Value $705,517.50Gross Gain $957.49Wednesday October 17 2007(Short) 15 positions down out of 23 (65.2% accurate)Current Value $945,557.50Gross Gain $14,872.50Thursday's Net After Commissions Trade Totals:$6,926.62+$659.06 Net Gain from Positive suggestions (Buy-Long),plus,$16,593.81 Net Gain from Negative suggestions (Sell-Short)Combined Strategies Total: $24,179.49 Net Gain Thursday$2,000,000.00 Principal Amount TRADE MODEL Start Date: 7-12-07Portfolio Day Trade Disciplines:*1,000 shares per trade, always hedged*Buy at OFV, Sell at Market Close*Sell-Short at OFV, Buy-back at Market Close*Costs: $9.95 X 2= $19.90 for each 1000 shares round trip (open/close)Trade Date / Beginning / Gain or Loss / Net Account ValueJuly 12, 2007 $2,000,000.00 + 36,273.72 net gain = $2,036,273.72July 13, 2007 $2,036,273.72 <- 400.00> net loss = $2,035,873.72July 16, 2007 $2,035,873.72 + 4,834.41 net gain = $2,040,708.13July 17, 2007 $2,040,708.13 + 12,114.31 net gain = $2,052,822.44July 18, 2007 $2,052,822.44 + 12,566.53 net gain = $2,065,388.97July 19, 2007 $2,065,388.97 + 16,165.04 net gain = $2,081,554.01July 20, 2007 $2,081,554.01 + 18,765.38 net gain = $2,100,319.39July 23, 2007 $2,100,319.39 + 5,060.01 net gain = $2,105,379.40July 24, 2007 $2,105,379.40 + 56,062.01 net gain = $2,161,441.41July 25, 2007 $2,161,441.41 + 11,938.12 net gain = $2,173,379.53July 26, 2007 $2,173,379.53 + <1,440.00> net loss = $2,171,939.53July 27, 2007 $2,171,939.53 + 6,410.09 net gain = $2,178,349.62July 30, 2007 $2,178,349.62 + 8,501.51 net gain = $2,186,851.13July 31, 2007 $2,186,851.13 + 10,641.09 net gain = $2,197,492.22August 1, 2007 $2,197,492.22 + 46,410.00 net gain = $2,243,902.22August 2, 2007 $2,243,902.22 + 20,543.23 net gain = $2,264,445.45August 3, 2007 $2,264,445.45 + 4,935.81 net gain = $2,269,381.26August 6, 2007 $2,269,381.26 + -1,298.78 net loss = $2,268,082.48August 7, 2007 $2,268,082.48 + 31,239.89 net gain = $2,299,322.37August 8, 2007 $2,299,322.37 + 56,444.32 net gain = $2,355,766.69August 9, 2007 $2,355,766.69 + 11,620.90 net gain = $2,367,387.59August 10, 2007 $2,367,387.59 + 3,551.41 net gain = $2,370,939.00August 13, 2007 $2,370,939.00 + 56,028.35 net gain = $2,426,967.35August 14, 2007 $2,426,967.35 + 81,737.06 net gain = $2,508,704.41August 15, 2007 $2,508,704.41 + 7,240.60 net gain = $2,515,945.01August 16, 2007 $2,515,945.01 + 20,124.54 net gain = $2,536,069.55August 17, 2007 $2,536,069.55 + 120,505.45 net gain = $2,656,575.00August 20, 2007 $2,656,575.00 + 18,145.54 net gain = $2,674,720.54August 21, 2007 $2,674,720.54 + 5,287.14 net gain = $2,680,007.68August 22, 2007 $2,680,007.68 + 49,666.04 net gain = $2,729,673.72August 23, 2007 $2,729,673.72 + 20,297.53 net gain = $2,749,971.25August 24, 2007 $2,749,971.25 + <$7,103.54> net loss = $2,742,867.71September 5, 2007 $2,742,867.71 + 7,699.66 net gain = $2,750,567.37September 6, 2007 $2,750,567.37 + 38,502.56 net gain = $2,789,069.93September 7, 2007 $2,789,069.93 + 60,897.48 net gain = $2,849,967.41September 10, 2007 $2,849,967.41 + 23,848.54 net gain = $2,873,815.95September 11, 2007 $2,873,815.95 + 43,525.83 net gain = $2,917,341.78September 12, 2007 $2,917,341.78 + 17,988.44 net gain = $2,935,330.22September 13, 2007 $2,935,330.22 + 4,946.55 net gain = $2,940,276.77September 14, 2007 $2,940,276.77 + 21,098.50 net gain = $2,961,375.27September 17, 2007 $2,961,375.27 + 22,380.87 net gain = $2,983,756.14September 18, 2007 $2,983,756.14 + 83,767.93 net gain = $3,067,524.07September 19, 2007 $3,067,524.07 + 62,188.17 net gain = $3,129,712.24September 20, 2007 $3,129,712.24 + 18,534.72 net gain = $3,148,246.96September 21, 2007 $3,148,246.96 + 15,505.13 net gain = $3,163,752.09September 24, 2007 $3,163,752.09 + 75,801.95 net gain = $3,239,554.04September 25, 2007 $3,239,554.04 + 969.86 net gain = $3,240,523.90September 26, 2007 $3,240,523.90 + 7,260.71 net gain = $3,247,784.61September 27, 2007 $3,247,784.61 + 54,631.47 net gain = $3,302,416.08September 28, 2007 $3,302,416.08 + 29,393.27 net gain = $3,331,809.35October 1, 2007 $3,331,809.35 + 26,870.56 net gain = $3,358,679.91October 2, 2007 $3,358,679.91 + 51,324.19 net gain = $3,410,004.10October 3, 2007 $3,410,004.10 -1,616.68 net loss = $3,408,387.42October 4, 2007 $3,408,387.42 + 4,193.61 net gain = $3,412,581.03October 5, 2007 $3,412,581.03 + 45,255.33 net gain = $3,457,836.36October 8, 2007 $3,457,836.36 + 18,923.91 net gain = $3,476,760.27October 9, 2007 $3,476,760.27 + 25,883.21 net gain = $3,502,643.48October 10, 2007 $3,502,643.48 + 22,035.01 net gain = $3,524,678.49October 11, 2007 $3,524,678.49 + 6,132.82 net gain = $3,530,811.31October 12, 2007 $3,530,811.31 + 26,287.92 net gain = $3,557,099.23October 15, 2007 $3,557,099.23 + 61,212.90 net gain = $3,618,312.13October 16, 2007 $3,618,312.13 + 34,315.12 net gain = $3,652,627.25October 17, 2007 $3,652,627.25 + 2,284.21 net gain = $3,654,911.46October 18, 2007 $3,654,911.46 + 24,179.49 net gain = $3,679,090.95October 19, 2007 $3,679,090.95*THURSDAY'S RESULTS*Day Trading Ideas that were expected to move "HIGHER" ThursdaySymbol OFV (Opening Fair Value) Bought, Sold at Close, resultsFinal reporting provided by ClearStation.com, wholly-owned by E*TradeLong suggestions Thursday October 17 2007 sorted by Bought in descending orderSymbol Last Change %Change Volume Position Bought Value Net %Change %TotalBCE41.950.110.28%167,400.100010/18/200741,960.00150.100.35%5.94CTXS40.54-1.22-2.92%13,326,242.100010/18/200740,550.00-1,639.89-3.88%5.74DW42.860.060.14%102,200.100010/18/200742,860.00-19.89-0.04%6.07GBL60.290.200.34%34,500.100010/18/200760,290.00-19.89-0.03%8.54GSH43.06-2.15-4.76%177,000.100010/18/200743,067.50-342.39-0.78%6.10IIF53.45-1.30-2.39%367,200.100010/18/200753,450.00-1,769.89-3.20%7.57REGN20.63-0.33-1.57%550,752.100010/18/200720,640.00230.091.12%2.92ANSS39.61-0.72-1.78%1,090,894.100010/18/200739,620.00330.100.84%5.61VMSI88.320.730.84%167,673.100010/18/200788,320.001,150.101.31%12.51CRA16.050.322.03%539,500.100010/18/200716,060.00390.092.48%2.27FFIV43.001.884.59%2,606,161.100010/18/200743,000.002,180.105.34%6.09IIH5.740.010.17%16,300.100010/18/20075,740.00-19.89-0.34%0.81IEV121.51-0.05-0.04%123,000.100010/18/2007121,510.0060.100.04%17.22IGN38.090.130.36%137,800.100010/18/200738,100.00270.100.71%5.40MZZ50.34-0.13-0.25%376,500.100010/18/200750,350.00-289.89-0.57%7.13Total $705,517.50 $659.01 0.09%*THURSDAY'S RESULTS*Day Trading Ideas that were expected to move "LOWER" ThursdaySymbol OFV (Opening Fair Value) Sold-Short, Bought-back at Close, resultsFinal reporting provided by ClearStation.com, wholly-owned by E*TradeShort suggestions Thursday October 18 2007 sorted by Bought in descending orderSymbol Last Change %Change Volume Position Bought Value Net %Change %TotalNo New Short Positions to Report.Next Day's Advance Market Decisions:"Not always right, just very seldom wrong."Full disclosure:Long/Short individual stocks and ETFs mentioned above and owned at time of writing by its author- None, Cash-at-Market Close.Disclaimer:The information and data contained in this site was obtained from independent research and development believed to be reliable, but accuracy is not guaranteed. Neither the information, nor any opinion expressed, constitutes a recommendation to purchase or sell a security, or to provide investment advice. Stocks and stock options involve risks and are not suitable for all investors. This site is not a solicitation of an offer to buy shares in any fund whose performance is provided in this site. Such an offer can be solicited only by a fund directly or its agent.

Dow 30 ETF (DIA) Wednesday October 24 Forecast

Announcement: Exhibitor Booth 921 "This Traders Event is Free"
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Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 10/24/07
Last Updated: 10/23/07
10/23/07 Final Numbers
(Open) 136.26
(High) 136.68
(Low) 135.27
(Close) 136.42
(Range) 1.41

DIA Wednesday Forecast
Opening Fair Value: 136.07
Today's Predicted High: 137.14
Today's Predicted Low: 135.71
Today's Proposed Range: 1.43
Buy/Sell Rating: Sell

Market Comment:
DJIA closed -1.79% below its falling 21-day moving average vs. -2.61% previously. Dow Trend is falling and so is the Dow Outlook. Wednesday may see selling set in as the Dow remains in a distribution mode. Suggest Investors "do not Buy" until Dow Trend changes direction up.

DIA Resistance: Mean 139.23 / Intermediate 141.99 / Breakout 144.75
DIA Support: Mean 139.18 / Intermediate 136.40 / Breakdown 133.61

DIA Five Considerations (Today vs. Yesterday)
Price Internal Strength: Negative 41 Up from 37
Volume Internal Strength: Positive 1.00/1.20 Down
Current Trend: Negative -2 Up from -13
Demand Factor: 80 Up from 74
Stock Volatility: 1.37 Down from 1.88

Predict DIA Upside and Downside Potential
10/23/07 12:45 Close: 135.62
Upside Potential: 138.27
Downside Potential: 135.41

Information for Extreme Trading Days
Predicted Block Trading Resistance Levels (100,000+ shares)
1. 137.98
2. 138.99
3. 139.15
4. 139.41

Predicted Block Trading Support Levels (100,000+ shares)
1. 133.95
2. 133.69
3. 133.53
4. 132.56

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 138.13
21 DAY MOVING AVERAGE = 139.17
30 DAY MOVING AVERAGE = 138.25
42 DAY MOVING AVERAGE = 136.68
50 DAY MOVING AVERAGE = 135.71
65 DAY MOVING AVERAGE = 135.32
30 WEEK MOVING AVERAGE = 133.71
200 DAY MOVING AVERAGE = 131.46

DIA Probability Percent of "Up" at the Close
DIA probability "Up%" Wednesday: 10%
DIA Past 4 Wednesdays: Falling 73.0% / 74.50% / 77.7% / 79.2%
(Higher opening and higher closing from opening is greatest for Wednesday)
DIA Trend: Rising Today Negative -2 Up from -13
DIA MACD: Falling Today, SELL as of Wednesday 10-10-07
DIA Open/Close 20-Day Trend: Open Up/Close Down
*(Open/Close Trend Changed as of Thursday 10-11-07)

DJIA Probability Percent of "Up" at the Close
DJIA probability "Up%" Wednesday: 50%
DJIA Trend: Falling Today 26% vs. 32%
DJIA Trend Direction: Changed "Down" from "Up" Wednesday 10-10-07
DJIA MACD: Falling Today SELL as of Wednesday 10-10-07

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Long/Short individual stocks mentioned above at time of writing by author? None

Please refer to:
Next Day's Advance Market Decisions "Trading Ideas" to see suggested trades for today.

Stock Market Forecast Wednesday 10-24-07

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Tuesday 10-23-07 DJIA closed: 13,676.23 +109.26 vs. Prior day: 13,566.97 44.95
DJIA 21-Day Moving Average: 13,926.11 -3.94 vs. Prior day: 13,930.05 -12.06
(DJIA closed -1.79% below its rising 21-day moving average, vs. -2.61% prior day)

Before the New York Stock Exchange Open
Wednesday October 24 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Wednesday: 50%
DIA probability of closing "Up" Wednesday: 10%
DIA Past 4 Wednesdays: Falling 73.0% / 74.50% / 77.7% / 79.2%
(Higher opening and higher closing from opening is greatest for Wednesday)
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Falling Today Up 8 vs Down 23 (-2 vs -0 prior day)
DJIA Trend: Falling Today 26% vs Yesterday 32% (High 97% / Low 0%)
Change in Trend: To "Down" from "Up" as of Wednesday, 10-10-07
DJIA MACD: Falling Today, SELL as of Wednesday, 10-10-07 (12,26 computation)
DJIA Momentum: Rising Today 58% vs Yesterday 55% (High 97% / Low 13%)
DJIA Volatility: Falling Today 1.26% vs Yesterday 1.40% (High 3.24% / Low -1.09%)
DJIA 50-Day Net Change: Rising Today +440 vs Yesterday +327 (High 1450 / Low -734)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -734 8-15-07 (today+440= 30.3% of High)

DJIA Resistance Levels: Mean= 13,930 / Intermediate Term 14,171 / Breakout 14,413
DJIA Support Levels: Mean= 13,926 / Intermediate Term 13,683 / Breakdown 13,439

Market Comment:
DJIA closed -1.79% below its falling 21-day moving average vs. -2.61% previously. Dow Trend is falling and so is the Dow Outlook. Wednesday may see selling set in as the Dow remains in a distribution mode. Suggest Investors "do not Buy" until Dow Trend changes direction up.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Rising Today .4% vs Yesterday -.1% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, Positive and increasing.

Institutional Money Flow: Rising Today 48% vs Yesterday 39% (High 97% / Low 6%) Mean= 52% Closed below its Mean, negative yet increasing.

Institutional Demand: Rising Today 60.58% vs Yesterday 54.94% (High 86.84% / Low 18.65%) Mean= 52.8% Closed above its Mean, Positive and increasing.

Institutional Inventory: Rising Today 46.35% vs Yesterday 44.29% (High 81.06% / Low 25.23%) Mean= 52.2% Closed below its Mean, Negative yet increasing.

Institutional Accumulation/Distribution Trend: Rising Today .01% vs Yesterday -.06% (High .35% / -.41%) Mean= -.03% Closed above its Mean, Positive and increasing.

Outlook Statistics: Above 50% Bullish/Below 50% Bearish (Historic High/Low)

DJIA Outlook: Bearish Falling Today 50% vs. Yesterday 55% (High 89% / Low 18%) Mean= 53.5% Closed below its Mean, Negative and decreasing.

Stock Market Outlook: Bullish Rising Today 81.9% vs Yesterday 74.9% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

11 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Rising Trend Today -2% vs. Yesterday -13% (High 95% / Low -59%)
SPY: Rising Trend Today 17% vs. Yesterday 4% (High 77% / Low -77%)
MDY: Rising Trend Today 26% vs. Yesterday 13% (High 91% / Low -100%)
IWM: Rising Trend Today 26% vs. Yesterday 13% (High 71% / Low -67%)
QQQQ: Rising Trend Today 47% vs. Yesterday 36% (High 54% / Low -43%)
SMH: Rising Trend Today -13% vs. Yesterday -17% (High 48% / Low -53%)
IYT: Rising Trend Today 18% vs. Yesterday -2% (High 80% / Low -73%)
IDU: Rising Trend Today -17% vs. Yesterday -18% (High 80% / Low -68%)
XLE: Rising Trend Today 11% vs. Yesterday 3% (High 70% / Low -55%)
XLF: Rising Trend Today 7% vs. Yesterday -4% (High 45% / Low -39%)
IAI: Rising Trend Today 40% vs. Yesterday 23% (High 54% / Low -69%)

Stock Market Plurality:
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Rising Trend Today 109 vs. Yesterday 48 (High 367 / Low 4)
Demand Factor "0": Rising Trend Today 36 vs. Yesterday 32 (High 210 / Low 7)

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Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
http://www.mktmetrics.com/
Next Day's Advance Market Decisions:
"Not always right, just very seldom wrong."

Tuesday, October 23, 2007

Stock Trading Ideas For Wednesday October 24

Information provided by: http://www.mktmetrics.com/

Stocks expected to move "HIGHER" Wednesday
Buy-Long Day Trading Ideas suggested for October 24 2007
Symbol OFV (Opening Fair Value)

No long suggestions as I believe the Stock Market will head down Wednesday.

Stocks expected to move "LOWER" Wednesday
Sell-Short Day Trading Ideas suggested for October 24 2007
Symbol OFV (Opening Fair Value)
1. AEO OFV: 22.64
2. AEPI OFV: 39.51
3. ALL OFV: 53.91
4. APSG OFV: 14.77
5. AVID OFV: 28.59
6. BGG OFV: 22.61
7. C OFV: 42.58
8. CFC OFV: 15.56
9. CMA OFV: 46.90
10. CMVT OFV: 20.32
11. DLTR OFV: 36.80
12. DUG OFV: 41.34
13. EPIC OFV: 13.11
14. FITB OFV: 30.08
15. FNF OFV: 16.67
16. GIS OFV: 56.38
17. HOT OFV: 59.13
18. HW OFV: 14.20
19. IDTI OFV: 13.95
20. IPG OFV: 10.11
21. JBLU OFV: 9.53
22. KLIC OFV: 7.69
23. MA OFV: 149.63
24. MEDX OFV: 12.82
25. MHP OFV: 50.28
26. MTEX OFV: 8.69
27. ONXX OFV: 42.63
28. RIGL OFV: 9.62
29. SSW OFV: 32.10
30. SUG OFV: 31.09
31. TRC OFV: 41.37
32. UIS OFV: 6.51
33. WMT OFV: 44.56

UNDER CONSTRUCTION BELOW

Today's Portfolio PerformanceIncluding overnight positionsWednesday October 17 2007(Long) 14 positions up out of 19 (73.7% accurate)Current Value $889,920.00Gross Gain $6,360.00Thursday October 18 2007(Long) 9 positions up out of 15 (60% accurate)Current Value $705,517.50Gross Gain $957.49Wednesday October 17 2007(Short) 15 positions down out of 23 (65.2% accurate)Current Value $945,557.50Gross Gain $14,872.50Thursday's Net After Commissions Trade Totals:$6,926.62+$659.06 Net Gain from Positive suggestions (Buy-Long),plus,$16,593.81 Net Gain from Negative suggestions (Sell-Short)Combined Strategies Total: $24,179.49 Net Gain Thursday$2,000,000.00 Principal Amount TRADE MODEL Start Date: 7-12-07Portfolio Day Trade Disciplines:*1,000 shares per trade, always hedged*Buy at OFV, Sell at Market Close*Sell-Short at OFV, Buy-back at Market Close*Costs: $9.95 X 2= $19.90 for each 1000 shares round trip (open/close)Trade Date / Beginning / Gain or Loss / Net Account ValueJuly 12, 2007 $2,000,000.00 + 36,273.72 net gain = $2,036,273.72July 13, 2007 $2,036,273.72 <- 400.00> net loss = $2,035,873.72July 16, 2007 $2,035,873.72 + 4,834.41 net gain = $2,040,708.13July 17, 2007 $2,040,708.13 + 12,114.31 net gain = $2,052,822.44July 18, 2007 $2,052,822.44 + 12,566.53 net gain = $2,065,388.97July 19, 2007 $2,065,388.97 + 16,165.04 net gain = $2,081,554.01July 20, 2007 $2,081,554.01 + 18,765.38 net gain = $2,100,319.39July 23, 2007 $2,100,319.39 + 5,060.01 net gain = $2,105,379.40July 24, 2007 $2,105,379.40 + 56,062.01 net gain = $2,161,441.41July 25, 2007 $2,161,441.41 + 11,938.12 net gain = $2,173,379.53July 26, 2007 $2,173,379.53 + <1,440.00> net loss = $2,171,939.53July 27, 2007 $2,171,939.53 + 6,410.09 net gain = $2,178,349.62July 30, 2007 $2,178,349.62 + 8,501.51 net gain = $2,186,851.13July 31, 2007 $2,186,851.13 + 10,641.09 net gain = $2,197,492.22August 1, 2007 $2,197,492.22 + 46,410.00 net gain = $2,243,902.22August 2, 2007 $2,243,902.22 + 20,543.23 net gain = $2,264,445.45August 3, 2007 $2,264,445.45 + 4,935.81 net gain = $2,269,381.26August 6, 2007 $2,269,381.26 + -1,298.78 net loss = $2,268,082.48August 7, 2007 $2,268,082.48 + 31,239.89 net gain = $2,299,322.37August 8, 2007 $2,299,322.37 + 56,444.32 net gain = $2,355,766.69August 9, 2007 $2,355,766.69 + 11,620.90 net gain = $2,367,387.59August 10, 2007 $2,367,387.59 + 3,551.41 net gain = $2,370,939.00August 13, 2007 $2,370,939.00 + 56,028.35 net gain = $2,426,967.35August 14, 2007 $2,426,967.35 + 81,737.06 net gain = $2,508,704.41August 15, 2007 $2,508,704.41 + 7,240.60 net gain = $2,515,945.01August 16, 2007 $2,515,945.01 + 20,124.54 net gain = $2,536,069.55August 17, 2007 $2,536,069.55 + 120,505.45 net gain = $2,656,575.00August 20, 2007 $2,656,575.00 + 18,145.54 net gain = $2,674,720.54August 21, 2007 $2,674,720.54 + 5,287.14 net gain = $2,680,007.68August 22, 2007 $2,680,007.68 + 49,666.04 net gain = $2,729,673.72August 23, 2007 $2,729,673.72 + 20,297.53 net gain = $2,749,971.25August 24, 2007 $2,749,971.25 + <$7,103.54> net loss = $2,742,867.71September 5, 2007 $2,742,867.71 + 7,699.66 net gain = $2,750,567.37September 6, 2007 $2,750,567.37 + 38,502.56 net gain = $2,789,069.93September 7, 2007 $2,789,069.93 + 60,897.48 net gain = $2,849,967.41September 10, 2007 $2,849,967.41 + 23,848.54 net gain = $2,873,815.95September 11, 2007 $2,873,815.95 + 43,525.83 net gain = $2,917,341.78September 12, 2007 $2,917,341.78 + 17,988.44 net gain = $2,935,330.22September 13, 2007 $2,935,330.22 + 4,946.55 net gain = $2,940,276.77September 14, 2007 $2,940,276.77 + 21,098.50 net gain = $2,961,375.27September 17, 2007 $2,961,375.27 + 22,380.87 net gain = $2,983,756.14September 18, 2007 $2,983,756.14 + 83,767.93 net gain = $3,067,524.07September 19, 2007 $3,067,524.07 + 62,188.17 net gain = $3,129,712.24September 20, 2007 $3,129,712.24 + 18,534.72 net gain = $3,148,246.96September 21, 2007 $3,148,246.96 + 15,505.13 net gain = $3,163,752.09September 24, 2007 $3,163,752.09 + 75,801.95 net gain = $3,239,554.04September 25, 2007 $3,239,554.04 + 969.86 net gain = $3,240,523.90September 26, 2007 $3,240,523.90 + 7,260.71 net gain = $3,247,784.61September 27, 2007 $3,247,784.61 + 54,631.47 net gain = $3,302,416.08September 28, 2007 $3,302,416.08 + 29,393.27 net gain = $3,331,809.35October 1, 2007 $3,331,809.35 + 26,870.56 net gain = $3,358,679.91October 2, 2007 $3,358,679.91 + 51,324.19 net gain = $3,410,004.10October 3, 2007 $3,410,004.10 -1,616.68 net loss = $3,408,387.42October 4, 2007 $3,408,387.42 + 4,193.61 net gain = $3,412,581.03October 5, 2007 $3,412,581.03 + 45,255.33 net gain = $3,457,836.36October 8, 2007 $3,457,836.36 + 18,923.91 net gain = $3,476,760.27October 9, 2007 $3,476,760.27 + 25,883.21 net gain = $3,502,643.48October 10, 2007 $3,502,643.48 + 22,035.01 net gain = $3,524,678.49October 11, 2007 $3,524,678.49 + 6,132.82 net gain = $3,530,811.31October 12, 2007 $3,530,811.31 + 26,287.92 net gain = $3,557,099.23October 15, 2007 $3,557,099.23 + 61,212.90 net gain = $3,618,312.13October 16, 2007 $3,618,312.13 + 34,315.12 net gain = $3,652,627.25October 17, 2007 $3,652,627.25 + 2,284.21 net gain = $3,654,911.46October 18, 2007 $3,654,911.46 + 24,179.49 net gain = $3,679,090.95October 19, 2007 $3,679,090.95*THURSDAY'S RESULTS*Day Trading Ideas that were expected to move "HIGHER" ThursdaySymbol OFV (Opening Fair Value) Bought, Sold at Close, resultsFinal reporting provided by ClearStation.com, wholly-owned by E*TradeLong suggestions Thursday October 17 2007 sorted by Bought in descending orderSymbol Last Change %Change Volume Position Bought Value Net %Change %TotalBCE41.950.110.28%167,400.100010/18/200741,960.00150.100.35%5.94CTXS40.54-1.22-2.92%13,326,242.100010/18/200740,550.00-1,639.89-3.88%5.74DW42.860.060.14%102,200.100010/18/200742,860.00-19.89-0.04%6.07GBL60.290.200.34%34,500.100010/18/200760,290.00-19.89-0.03%8.54GSH43.06-2.15-4.76%177,000.100010/18/200743,067.50-342.39-0.78%6.10IIF53.45-1.30-2.39%367,200.100010/18/200753,450.00-1,769.89-3.20%7.57REGN20.63-0.33-1.57%550,752.100010/18/200720,640.00230.091.12%2.92ANSS39.61-0.72-1.78%1,090,894.100010/18/200739,620.00330.100.84%5.61VMSI88.320.730.84%167,673.100010/18/200788,320.001,150.101.31%12.51CRA16.050.322.03%539,500.100010/18/200716,060.00390.092.48%2.27FFIV43.001.884.59%2,606,161.100010/18/200743,000.002,180.105.34%6.09IIH5.740.010.17%16,300.100010/18/20075,740.00-19.89-0.34%0.81IEV121.51-0.05-0.04%123,000.100010/18/2007121,510.0060.100.04%17.22IGN38.090.130.36%137,800.100010/18/200738,100.00270.100.71%5.40MZZ50.34-0.13-0.25%376,500.100010/18/200750,350.00-289.89-0.57%7.13Total $705,517.50 $659.01 0.09%*THURSDAY'S RESULTS*Day Trading Ideas that were expected to move "LOWER" ThursdaySymbol OFV (Opening Fair Value) Sold-Short, Bought-back at Close, resultsFinal reporting provided by ClearStation.com, wholly-owned by E*TradeShort suggestions Thursday October 18 2007 sorted by Bought in descending orderSymbol Last Change %Change Volume Position Bought Value Net %Change %TotalNo New Short Positions to Report.Next Day's Advance Market Decisions:"Not always right, just very seldom wrong."Full disclosure:Long/Short individual stocks and ETFs mentioned above and owned at time of writing by its author- None, Cash-at-Market Close.Disclaimer:The information and data contained in this site was obtained from independent research and development believed to be reliable, but accuracy is not guaranteed. Neither the information, nor any opinion expressed, constitutes a recommendation to purchase or sell a security, or to provide investment advice. Stocks and stock options involve risks and are not suitable for all investors. This site is not a solicitation of an offer to buy shares in any fund whose performance is provided in this site. Such an offer can be solicited only by a fund directly or its agent.

Dow 30 ETF (DIA) Tuesday October 23 Forecast

Announcement: Exhibitor Booth 921 "This Traders Event is Free"
Sign-up today: http://lasvegastradersexpo.com/?scode=009783
Hope see you at the Traders Expo in Las Vegas November 15-18

Information provided by: http://www.mktmetrics.com/

Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 10/23/07
Last Updated: 10/22/07
10/22/07 Final Numbers
(Open) 134.06
(High) 135.76
(Low) 133.92
(Close) 135.55
(Range) 1.84

DIA Tuesday Forecast
Opening Fair Value: 134.83
Today's Predicted High: 136.46
Today's Predicted Low: 134.64
Today's Proposed Range: 1.82
Buy/Sell Rating: Sell

Market Comment:
DJIA closed -2.61% below its falling 21-day moving average, vs. -3.01% previously. Dow Trend is unchanged and the Accumulation/Distribution Trend rose. Dow 50-Day Net Change is positive. But the Dow Outlook is still falling. Tuesday may see more bargain hunters from last week's sell-off of over 500 Dow points. Suggest Investors "do not Buy" until Dow Trend changes direction.

DIA Resistance: Mean 139.34 / Intermediate 142.07 / Breakout 144.80
DIA Support: Mean 139.23 / Intermediate 136.45 / Breakdown 133.66

DIA Five Considerations (Today vs. Yesterday)
Price Internal Strength: Negative 37 Up from 37
Volume Internal Strength: Positive 1.10/1.17 Down
Current Trend: Negative -13 Up from -22
Demand Factor: 74 Up from 64
Stock Volatility: 1.88 Down from 6.30

Predict DIA Upside and Downside Potential
10/22/07 12:45 Close: 135.32
Upside Potential: 137.68
Downside Potential: 134.04

Information for Extreme Trading Days
Predicted Block Trading Resistance Levels (100,000+ shares)
1. 136.60
2. 136.74
3. 138.26
4. 138.48

Predicted Block Trading Support Levels (100,000+ shares)
1. 133.04
2. 132.84
3. 131.38
4. 131.24

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 138.62
21 DAY MOVING AVERAGE = 139.23
30 DAY MOVING AVERAGE = 138.14
42 DAY MOVING AVERAGE = 136.58
50 DAY MOVING AVERAGE = 135.63
65 DAY MOVING AVERAGE = 135.37
30 WEEK MOVING AVERAGE = 133.63
200 DAY MOVING AVERAGE = 131.40

DIA Probability Percent of "Up" at the Close
DIA probability "Up%" Tuesday: 19%
DIA Past 4 Tuesdays: Falling 59.6% / 60.7% / 59.2% / 60.3%
(Lower opening is greatest for Tuesday)
DIA Trend: Rising Today Negative -13 Up from -22
DIA MACD: Falling Today, SELL as of Wednesday 10-10-07
DIA Open/Close 20-Day Trend: Open Up/Close Down
*(Open/Close Trend Changed as of Thursday 10-11-07)

DJIA Probability Percent of "Up" at the Close
DJIA probability "Up%" Tuesday: 66%
DJIA Trend: Unch Today 32% vs. 32%
DJIA Trend Direction: Changed "Down" from "Up" Wednesday 10-10-07
DJIA MACD: Falling Today SELL as of Wednesday 10-10-07

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Long/Short individual stocks mentioned above at time of writing by author? None

Please refer to:
Next Day's Advance Market Decisions "Trading Ideas" to see suggested trades for today.

Stock Market Forecast Tuesday 10-23-07

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Monday 10-22-07 DJIA closed: 13,566.97 +44.95 vs. Prior day: 13,522.02 -366.94
DJIA 21-Day Moving Average: 13,930.05 -12.06 vs. Prior day: 13,942.11 -11.65
(DJIA closed -2.61% below its rising 21-day moving average, vs. -3.01% prior day)

Before the New York Stock Exchange Open
Tuesday October 23 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Tuesday: 66%
DIA probability of closing "Up" Tuesday: 19%
DIA Past 4 Tuesdays: Falling 59.6% / 60.7% / 59.2% / 60.3%
(Lower opening is greatest for Tuesday)
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Unch Today Up 10 vs Down 21 (-0 vs -4 prior day)
DJIA Trend: Unch Today 32% vs Yesterday 32% (High 97% / Low 0%)
Change in Trend: To "Down" from "Up" as of Wednesday, 10-10-07
DJIA MACD: Falling Today, SELL as of Wednesday, 10-10-07 (12,26 computation)
DJIA Momentum: Rising Today 55% vs Yesterday 48% (High 97% / Low 13%)
DJIA Volatility: Falling Today 1.40% vs Yesterday 3.23% (High 3.24% / Low -1.09%)
DJIA 50-Day Net Change: Rising Today +327 vs Yesterday +251 (High 1450 / Low -734)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -734 8-15-07 (today+327= 22.6% of High)

DJIA Resistance Levels: Mean= 13,942 / Intermediate Term 14,179 / Breakout 14,417
DJIA Support Levels: Mean= 13,930 / Intermediate Term 13,687 / Breakdown 13,443

Market Comment:
DJIA closed -2.61% below its falling 21-day moving average, vs. -3.01% previously. Dow Trend is unchanged and the Accumulation/Distribution Trend rose. Dow 50-Day Net Change is positive. But the Dow Outlook is still falling. Tuesday may see more bargain hunters from last week's sell-off of over 500 Dow points. Suggest Investors "do not Buy" until Dow Trend changes direction.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Rising Today -.1% vs Yesterday -.5% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, Neutral and increasing.

Institutional Money Flow: Unch Today 39% vs Yesterday 39% (High 97% / Low 6%) Mean= 52% Closed below its Mean, negative yet flat.

Institutional Demand: Rising Today 54.94% vs Yesterday 46.65% (High 86.84% / Low 18.65%) Mean= 52.8% Closed above its Mean, Positive and increasing.

Institutional Inventory: Falling Today 44.29% vs Yesterday 44.45% (High 81.06% / Low 25.23%) Mean= 52.2% Closed below its Mean, Negative and decreasing.

Institutional Accumulation/Distribution Trend: Rising Today -.06% vs Yesterday -.10% (High .35% / -.41%) Mean= -.03% Closed below its Mean, negative yet increasing.

Outlook Statistics: Above 50% Bullish/Below 50% Bearish (Historic High/Low)

DJIA Outlook: Bullish, yet Falling Today 55% vs. Yesterday 61% (High 89% / Low 18%) Mean= 53.5% Closed above its Mean, positive yet decreasing.

Stock Market Outlook: Bullish Rising Today 74.9% vs Yesterday 64.3% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

11 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Rising Trend Today -13% vs. Yesterday -22% (High 95% / Low -59%)
SPY: Rising Trend Today 4% vs. Yesterday -8% (High 77% / Low -77%)
MDY: Rising Trend Today 13% vs. Yesterday -0% (High 91% / Low -100%)
IWM: Rising Trend Today 13% vs. Yesterday -4% (High 71% / Low -67%)
QQQQ: Rising Trend Today 36% vs. Yesterday 30% (High 54% / Low -43%)
SMH: Rising Trend Today -17% vs. Yesterday -21% (High 48% / Low -53%)
IYT: Rising Trend Today -2% vs. Yesterday -7% (High 80% / Low -73%)
IDU: Rising Trend Today -18% vs. Yesterday -30% (High 80% / Low -68%)
XLE: Falling Trend Today 3% vs. Yesterday 6% (High 70% / Low -55%)
XLF: Rising Trend Today -4% vs. Yesterday -6% (High 45% / Low -39%)
IAI: Rising Trend Today 23% vs. Yesterday 35% (High 54% / Low -69%)

Stock Market Plurality:
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Rising Trend Today 48 vs. Yesterday 13 (High 367 / Low 4)
Demand Factor "0": Falling Trend Today 32 vs. Yesterday 150 (High 210 / Low 7)

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http://www.mktmetrics.com/
Next Day's Advance Market Decisions:
"Not always right, just very seldom wrong."

Monday, October 22, 2007

Stock Trading Ideas For Tuesday October 23

Information provided by: http://www.mktmetrics.com/

Stocks expected to move "HIGHER" Tuesday
Buy-Long Day Trading Ideas suggested for October 23 2007
Symbol OFV (Opening Fair Value)
1. APPL OFV: 172.39
2. AMN OFV: 99.85
3. ARA OFV: 72.21
4. BEAS OFV: 18.40
5. BOOM OFV: 45.92
6. CEF OFV: 9.84
7. CY OFV: 33.05
8. DBC OFV: 28.71
9. DRYS OFV: 112.33
10. EEB OFV: 51.11
11. EEM OFV: 151.25
12. ENZN OFV: 8.98
13. EPP OFV: 165.02
14. EWA OFV: 31.58
15. EWC OFV: 32.73
16. EWH OFV: 20.86
17. FXI OFV: 195.19
18. GLD OFV: 74.31
19. GRMN OFV: 112.35
20. IAU OFV: 74.42
21. IGE OFV: 126.99
22. IIVI OFV: 35.32
23. ILF OFV: 243.34
24. IYJ OFV: 74.06
25. IYM OFV: 73.37
26. IYZ OFV: 32.49
27. JNPR OFV: 35.42
28. KGC OFV: 16.42
29. KOP OFV: 42.60
30. LOGI OFV: 34.35
31. LXK OFV: 42.64
32. MDR OFV: 54.24
33. MOT OFV: 18.61
34. NKE OFV: 62.75
35. NLY OFV: 16.34
36. PCU OFV: 126.05
37. PDX OFV: 65.56
38. POWI OFV: 31.01
39. RSCR OFV: 23.91
40. RSTI OFV: 76.16
41. RX OFV: 24.23
42. SCHN OFV: 71.69
43. SGY OFV: 39.65
44. STX OFV: 27.11
45. TBSI OFV: 59.16
46. TRP OFV: 38.35
47. XLI OFV: 39.65
48. XLK OFV: 27.14

Stocks expected to move "LOWER" Tuesday
Sell-Short Day Trading Ideas suggested for October 23 2007
Symbol OFV (Opening Fair Value)
1. AEO OFV: 22.86
2. AEPI OFV: 38.78
3. APSG OFV: 14.68
4. BGG OFV: 22.59
5. C OFV: 42.60
6. CATY OFV: 27.86
7. CTB OFV: 22.13
8. DUG OFV: 42.41
9. ELOS OFV: 18.19
10. FITB OFV: 29.90
11. FRE OFV: 52.78
12. GIS OFV: 56.37
13. HAS OFV: 28.89
14. KEY OFV: 28.77
15. KLIC OFV: 7.73
16. LLY OFV: 56.10
17. MER OFV: 66.47
18. MNI OFV: 17.36
19. MU OFV: 10.05
20. NVEC OFV: 29.76
21. OKE OFV: 47.60
22. QID OFV: 37.18
23. ROH OFV: 53.46
24. SAFM OFV: 33.15
25. SLM OFV: 47.13
26. SNDK OFV: 44.09
27. STI OFV: 71.03
28. STU OFV: 165.83
29. SWS OFV: 16.46
30. TRID OFV: 13.65
31. USG OFV: 36.08
32. ZMH OFV: 78.14


UNDER CONSTRUCTION BELOW


Today's Portfolio Performance
Including overnight positionsWednesday October 17 2007(Long) 14 positions up out of 19 (73.7% accurate)Current Value $889,920.00Gross Gain $6,360.00Thursday October 18 2007(Long) 9 positions up out of 15 (60% accurate)Current Value $705,517.50Gross Gain $957.49Wednesday October 17 2007(Short) 15 positions down out of 23 (65.2% accurate)Current Value $945,557.50Gross Gain $14,872.50Thursday's Net After Commissions Trade Totals:$6,926.62+$659.06 Net Gain from Positive suggestions (Buy-Long),plus,$16,593.81 Net Gain from Negative suggestions (Sell-Short)Combined Strategies Total: $24,179.49 Net Gain Thursday$2,000,000.00 Principal Amount TRADE MODEL Start Date: 7-12-07Portfolio Day Trade Disciplines:*1,000 shares per trade, always hedged*Buy at OFV, Sell at Market Close*Sell-Short at OFV, Buy-back at Market Close*Costs: $9.95 X 2= $19.90 for each 1000 shares round trip (open/close)Trade Date / Beginning / Gain or Loss / Net Account ValueJuly 12, 2007 $2,000,000.00 + 36,273.72 net gain = $2,036,273.72July 13, 2007 $2,036,273.72 <- 400.00> net loss = $2,035,873.72July 16, 2007 $2,035,873.72 + 4,834.41 net gain = $2,040,708.13July 17, 2007 $2,040,708.13 + 12,114.31 net gain = $2,052,822.44July 18, 2007 $2,052,822.44 + 12,566.53 net gain = $2,065,388.97July 19, 2007 $2,065,388.97 + 16,165.04 net gain = $2,081,554.01July 20, 2007 $2,081,554.01 + 18,765.38 net gain = $2,100,319.39July 23, 2007 $2,100,319.39 + 5,060.01 net gain = $2,105,379.40July 24, 2007 $2,105,379.40 + 56,062.01 net gain = $2,161,441.41July 25, 2007 $2,161,441.41 + 11,938.12 net gain = $2,173,379.53July 26, 2007 $2,173,379.53 + <1,440.00> net loss = $2,171,939.53July 27, 2007 $2,171,939.53 + 6,410.09 net gain = $2,178,349.62July 30, 2007 $2,178,349.62 + 8,501.51 net gain = $2,186,851.13July 31, 2007 $2,186,851.13 + 10,641.09 net gain = $2,197,492.22August 1, 2007 $2,197,492.22 + 46,410.00 net gain = $2,243,902.22August 2, 2007 $2,243,902.22 + 20,543.23 net gain = $2,264,445.45August 3, 2007 $2,264,445.45 + 4,935.81 net gain = $2,269,381.26August 6, 2007 $2,269,381.26 + -1,298.78 net loss = $2,268,082.48August 7, 2007 $2,268,082.48 + 31,239.89 net gain = $2,299,322.37August 8, 2007 $2,299,322.37 + 56,444.32 net gain = $2,355,766.69August 9, 2007 $2,355,766.69 + 11,620.90 net gain = $2,367,387.59August 10, 2007 $2,367,387.59 + 3,551.41 net gain = $2,370,939.00August 13, 2007 $2,370,939.00 + 56,028.35 net gain = $2,426,967.35August 14, 2007 $2,426,967.35 + 81,737.06 net gain = $2,508,704.41August 15, 2007 $2,508,704.41 + 7,240.60 net gain = $2,515,945.01August 16, 2007 $2,515,945.01 + 20,124.54 net gain = $2,536,069.55August 17, 2007 $2,536,069.55 + 120,505.45 net gain = $2,656,575.00August 20, 2007 $2,656,575.00 + 18,145.54 net gain = $2,674,720.54August 21, 2007 $2,674,720.54 + 5,287.14 net gain = $2,680,007.68August 22, 2007 $2,680,007.68 + 49,666.04 net gain = $2,729,673.72August 23, 2007 $2,729,673.72 + 20,297.53 net gain = $2,749,971.25August 24, 2007 $2,749,971.25 + <$7,103.54> net loss = $2,742,867.71September 5, 2007 $2,742,867.71 + 7,699.66 net gain = $2,750,567.37September 6, 2007 $2,750,567.37 + 38,502.56 net gain = $2,789,069.93September 7, 2007 $2,789,069.93 + 60,897.48 net gain = $2,849,967.41September 10, 2007 $2,849,967.41 + 23,848.54 net gain = $2,873,815.95September 11, 2007 $2,873,815.95 + 43,525.83 net gain = $2,917,341.78September 12, 2007 $2,917,341.78 + 17,988.44 net gain = $2,935,330.22September 13, 2007 $2,935,330.22 + 4,946.55 net gain = $2,940,276.77September 14, 2007 $2,940,276.77 + 21,098.50 net gain = $2,961,375.27September 17, 2007 $2,961,375.27 + 22,380.87 net gain = $2,983,756.14September 18, 2007 $2,983,756.14 + 83,767.93 net gain = $3,067,524.07September 19, 2007 $3,067,524.07 + 62,188.17 net gain = $3,129,712.24September 20, 2007 $3,129,712.24 + 18,534.72 net gain = $3,148,246.96September 21, 2007 $3,148,246.96 + 15,505.13 net gain = $3,163,752.09September 24, 2007 $3,163,752.09 + 75,801.95 net gain = $3,239,554.04September 25, 2007 $3,239,554.04 + 969.86 net gain = $3,240,523.90September 26, 2007 $3,240,523.90 + 7,260.71 net gain = $3,247,784.61September 27, 2007 $3,247,784.61 + 54,631.47 net gain = $3,302,416.08September 28, 2007 $3,302,416.08 + 29,393.27 net gain = $3,331,809.35October 1, 2007 $3,331,809.35 + 26,870.56 net gain = $3,358,679.91October 2, 2007 $3,358,679.91 + 51,324.19 net gain = $3,410,004.10October 3, 2007 $3,410,004.10 -1,616.68 net loss = $3,408,387.42October 4, 2007 $3,408,387.42 + 4,193.61 net gain = $3,412,581.03October 5, 2007 $3,412,581.03 + 45,255.33 net gain = $3,457,836.36October 8, 2007 $3,457,836.36 + 18,923.91 net gain = $3,476,760.27October 9, 2007 $3,476,760.27 + 25,883.21 net gain = $3,502,643.48October 10, 2007 $3,502,643.48 + 22,035.01 net gain = $3,524,678.49October 11, 2007 $3,524,678.49 + 6,132.82 net gain = $3,530,811.31October 12, 2007 $3,530,811.31 + 26,287.92 net gain = $3,557,099.23October 15, 2007 $3,557,099.23 + 61,212.90 net gain = $3,618,312.13October 16, 2007 $3,618,312.13 + 34,315.12 net gain = $3,652,627.25October 17, 2007 $3,652,627.25 + 2,284.21 net gain = $3,654,911.46October 18, 2007 $3,654,911.46 + 24,179.49 net gain = $3,679,090.95October 19, 2007 $3,679,090.95*THURSDAY'S RESULTS*Day Trading Ideas that were expected to move "HIGHER" ThursdaySymbol OFV (Opening Fair Value) Bought, Sold at Close, resultsFinal reporting provided by ClearStation.com, wholly-owned by E*TradeLong suggestions Thursday October 17 2007 sorted by Bought in descending orderSymbol Last Change %Change Volume Position Bought Value Net %Change %TotalBCE41.950.110.28%167,400.100010/18/200741,960.00150.100.35%5.94CTXS40.54-1.22-2.92%13,326,242.100010/18/200740,550.00-1,639.89-3.88%5.74DW42.860.060.14%102,200.100010/18/200742,860.00-19.89-0.04%6.07GBL60.290.200.34%34,500.100010/18/200760,290.00-19.89-0.03%8.54GSH43.06-2.15-4.76%177,000.100010/18/200743,067.50-342.39-0.78%6.10IIF53.45-1.30-2.39%367,200.100010/18/200753,450.00-1,769.89-3.20%7.57REGN20.63-0.33-1.57%550,752.100010/18/200720,640.00230.091.12%2.92ANSS39.61-0.72-1.78%1,090,894.100010/18/200739,620.00330.100.84%5.61VMSI88.320.730.84%167,673.100010/18/200788,320.001,150.101.31%12.51CRA16.050.322.03%539,500.100010/18/200716,060.00390.092.48%2.27FFIV43.001.884.59%2,606,161.100010/18/200743,000.002,180.105.34%6.09IIH5.740.010.17%16,300.100010/18/20075,740.00-19.89-0.34%0.81IEV121.51-0.05-0.04%123,000.100010/18/2007121,510.0060.100.04%17.22IGN38.090.130.36%137,800.100010/18/200738,100.00270.100.71%5.40MZZ50.34-0.13-0.25%376,500.100010/18/200750,350.00-289.89-0.57%7.13Total $705,517.50 $659.01 0.09%*THURSDAY'S RESULTS*Day Trading Ideas that were expected to move "LOWER" ThursdaySymbol OFV (Opening Fair Value) Sold-Short, Bought-back at Close, resultsFinal reporting provided by ClearStation.com, wholly-owned by E*TradeShort suggestions Thursday October 18 2007 sorted by Bought in descending orderSymbol Last Change %Change Volume Position Bought Value Net %Change %TotalNo New Short Positions to Report.Next Day's Advance Market Decisions:"Not always right, just very seldom wrong."Full disclosure:Long/Short individual stocks and ETFs mentioned above and owned at time of writing by its author- None, Cash-at-Market Close.Disclaimer:The information and data contained in this site was obtained from independent research and development believed to be reliable, but accuracy is not guaranteed. Neither the information, nor any opinion expressed, constitutes a recommendation to purchase or sell a security, or to provide investment advice. Stocks and stock options involve risks and are not suitable for all investors. This site is not a solicitation of an offer to buy shares in any fund whose performance is provided in this site. Such an offer can be solicited only by a fund directly or its agent.

Dow 30 ETF (DIA) Monday October 22 Forecast

Announcement: Exhibitor Booth 921 "This Traders Event is Free"
Sign-up today: http://lasvegastradersexpo.com/?scode=009783
Hope see you at the Traders Expo in Las Vegas November 15-18

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Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 10/22/07
Last Updated: 10/19/07
10/19/07 Final Numbers
(Open) 137.86
(High) 138.00
(Low) 135.02
(Close) 135.04
(Range) 2.98

DIA Monday Forecast
Opening Fair Value: 136.50
Today's Predicted High: 135.70
Today's Predicted Low: 134.38
Today's Proposed Range: 1.32
Buy/Sell Rating: Sell (down from buy)

Market Comment:
DJIA closed -3.01% below its falling 21-day moving average, vs. -.44% previously. Dow Trend continues to move lower as does the Accumulation/Distribution Trend. Dow 50-Day Net Change is positive. Dow Outlook is at 61%. Monday may see follow through from Friday. Suggest Investors "do not Buy" until Dow Trend changes direction.

DIA Resistance: Mean 139.48 / Intermediate 142.20 / Breakout 144.92
DIA Support: Mean 139.34 / Intermediate 136.56 / Breakdown 133.77

DIA Five Considerations (Today vs. Yesterday)
Price Internal Strength: Negative 37 Down from 60
Volume Internal Strength: Positive 2.20/1.07 Up
Current Trend: Negative -22 Down from 6
Demand Factor: 64 Down from 95
Stock Volatility: 6.30 Up from -0.86

Predict DIA Upside and Downside Potential
10/19/07 12:45 Close: 136.80
Upside Potential: 135.70
Downside Potential: 132.64

Information for Extreme Trading Days
Predicted Block Trading Resistance Levels (100,000+ shares)
1. 137.72
2. 137.74
3. 140.62
4. 140.76

Predicted Block Trading Support Levels (100,000+ shares)
1. 135.24
2. 135.10
3. 132.34
4. 132.32

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 139.28
21 DAY MOVING AVERAGE = 139.35
30 DAY MOVING AVERAGE = 138.00
42 DAY MOVING AVERAGE = 136.50
50 DAY MOVING AVERAGE = 135.56
65 DAY MOVING AVERAGE = 135.41
30 WEEK MOVING AVERAGE = 133.55
200 DAY MOVING AVERAGE = 131.34

DIA Probability Percent of "Up" at the Close
DIA probability "Up%" Monday: 94%
DIA Past 4 Mondays: Falling 57.4% / 58.6% / 59.1% / 58.3%
DIA Trend: Falling Today Negative -22 Down from 6
DIA MACD: Falling Today, SELL as of Wednesday 10-10-07
DIA Open/Close 20-Day Trend: Open Up/Close Down
*(Open/Close Trend Changed as of Thursday 10-11-07)

DJIA Probability Percent of "Up" at the Close
DJIA probability "Up%" Monday: 33%
DJIA Trend: Falling Today 32% vs. 45%
DJIA Trend Direction: Changed "Down" from "Up" Wednesday 10-10-07
DJIA MACD: Falling Today SELL as of Wednesday 10-10-07

Subscribe to MktMetrics.com and receive the above information daily for any stock or ETF you are trading today! Market Makers have daily trading parameters, why shouldn't you?

Full disclosure:
Long/Short individual stocks mentioned above at time of writing by author? None

Please refer to:
Next Day's Advance Market Decisions "Trading Ideas" to see suggested trades for today.

Stock Market Forecast Monday 10-22-07

Information provided by: http://www.mktmetrics.com/

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

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Friday 10-19-07 DJIA closed: 13,522.02 -366.94 vs. Prior day: 13,888.96 -3.58
DJIA 21-Day Moving Average: 13,942.11 -11.65 vs. Prior day: 13,953.76 +3.50
(DJIA closed -3.01% below its rising 21-day moving average, vs. -.46% prior day)

Before the New York Stock Exchange Open
Monday October 22 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Monday: 33%
DIA probability of closing "Up" Monday: 94%
DIA Past 4 Mondays: Falling 57.4% / 58.6% / 59.1% / 58.3%
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Falling Today Up 10 vs Down 21 (-4 vs -2 prior day)
DJIA Trend: Falling Today 32% vs Yesterday 45% (High 97% / Low 0%)
Change in Trend: To "Down" from "Up" as of Wednesday, 10-10-07
DJIA MACD: Falling Today, SELL as of Wednesday, 10-10-07 (12,26 computation)
DJIA Momentum: Falling Today 48% vs Yesterday 68% (High 97% / Low 13%)
DJIA Volatility: Rising Today 3.23% vs Yesterday 0.47% (High 3.24% / Low -1.09%)
DJIA 50-Day Net Change: Rising Today +251 vs Yesterday +231 (High 1450 / Low -734)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -734 8-15-07 (today+251= 17.3% of High)

DJIA Resistance Levels: Mean= 13,953 / Intermediate Term 14,191 / Breakout 14,430
DJIA Support Levels: Mean= 13,942 / Intermediate Term 13,698 / Breakdown 13,454

Market Comment:
DJIA closed -3.01% below its falling 21-day moving average, vs. -.44% previously. Dow Trend continues to move lower as does the Accumulation/Distribution Trend. Dow 50-Day Net Change is positive. Dow Outlook is at 61%. Monday may see follow through from Friday.
Suggest Investors "do not Buy" until Dow Trend changes direction.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Falling Today -.5% vs Yesterday -.1% (High .29% / Low -.24%) Mean= -.02% Closed below its Mean, Negative and decreasing.

Institutional Money Flow: Falling Today 39% vs Yesterday 55% (High 97% / Low 6%) Mean= 52% Closed below its Mean, Negative and decreasing.

Institutional Demand: Falling Today 46.65% vs Yesterday 60.00% (High 86.84% / Low 18.65%) Mean= 52.8% Closed below its Mean, Negative and decreasing.

Institutional Inventory: Falling Today 44.45% vs Yesterday 55.23% (High 81.06% / Low 25.23%) Mean= 52.2% Closed below its Mean, Negative and decreasing.

Institutional Accumulation/Distribution Trend: Falling Today -.10% vs Yesterday .01% (High .35% / -.41%) Mean= -.03% Closed below its Mean, Negative and decreasing.

Outlook Statistics: Above 50% Bullish/Below 50% Bearish (Historic High/Low)

DJIA Outlook: Bullish, yet Falling Today 61% vs. Yesterday 69% (High 89% / Low 18%) Mean= 53.5% Closed above its Mean, positive yet decreasing.

Stock Market Outlook: Bullish, yet Falling Today 64.3% vs Yesterday 84.3% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

11 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Falling Trend Today -22% vs. Yesterday 6% (High 95% / Low -59%)
SPY: Falling Trend Today -8% vs. Yesterday 9% (High 77% / Low -77%)
MDY: Falling Trend Today -0% vs. Yesterday 21% (High 91% / Low -100%)
IWM: Falling Trend Today -4% vs. Yesterday 9% (High 71% / Low -67%)
QQQQ: Falling Trend Today 30% vs. Yesterday 44% (High 54% / Low -43%)
SMH: Falling Trend Today -21% vs. Yesterday -11% (High 48% / Low -53%)
IYT: Rising Trend Today -7% vs. Yesterday -13% (High 80% / Low -73%)
IDU: Falling Trend Today -30% vs. Yesterday -24% (High 80% / Low -68%)
XLE: Falling Trend Today 6% vs. Yesterday 28% (High 70% / Low -55%)
XLF: Falling Trend Today -6% vs. Yesterday -0% (High 45% / Low -39%)
IAI: Rising Trend Today 35% vs. Yesterday 30% (High 54% / Low -69%)

Stock Market Plurality:
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Falling Trend Today 13 vs. Yesterday 100 (High 367 / Low 4)
Demand Factor "0": Rising Trend Today 150 vs. Yesterday 79 (High 210 / Low 7)

Information provided by http://www.mktmetrics.com/
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http://www.tigersoft.com/DG/TigerSoft-Blog.htm is a great daily read.

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
http://www.mktmetrics.com/
Next Day's Advance Market Decisions:
"Not always right, just very seldom wrong."

Sunday, October 21, 2007

Dow 30 + DIA Buy/Sell Monday 10-22-07

Information provided by: http://www.mktmetrics.com/

DIA Probability to be "Up" Monday: 94%
DJIA Probability to be "Up" Monday: 33%
(DIA & DJIA are weighted differently)

DIA Probability Percent of "Up" at the Close
This Week's Five Day Forecast
Information provided by: http://www.tigersoft.com/DG/welcome.htm
Mondays: Past 47 Falling 57.4% / 58.6% / 59.1% / 58.3%
Tuesdays: Past 52 Falling 59.6% / 60.7% / 59.2% / 60.3%
(Lower opening is greatest for Tuesday)
Wednesdays: Past 52 Falling 73.0% / 74.50% / 77.7% / 79.2%
(Higher opening and higher closing from opening is greatest for Wednesday)
Thursdays: Past 53 Falling 52.8% / 53.8% / 54.5% / 55.5%
Fridays: Past 53 Falling 50.9% / 51.9% / 49.0% / 48.1%
(Lower closing from opening is greatest for Friday)
All days: Past 257 Days Falling 58.8% / 59.9% / 59.9% / 60.3%

Dow 30 + DIA Buy/Sell Signals & Trends
Sym/Sig/Demand/Range/IRS*/Trend
AA SELL 53- 0.89 40D 0.10+
AIG SELL+ 57- 0.93 23D -0.18+
AXP SELL+ 0- 2.04 12D -0.39+
BA SELL 48- 2.51 18D -0.45+
C SELL 0/ 1.67 3D -0.37+
CAT SELL- 60- 1.87 25D -0.15+
DD SELL+ 0- 0.93 8D -0.34+
DIA SELL- 64- 1.32 37D -0.22+
DIS SELL 59- 0.49 56D -0.06+
GE BUY 91- 0.57 49D 0.06+
GM S/BUY 77- 2.07 61D 0.12+
HD S/SELL 0/ 0.68 3D -0.47+
HON S/SELL- 20- 1.23 41D 0.00+
HPQ BUY 88- 0.86 83D 0.10+
IBM SELL 43- 1.89 29D -0.33+
INTC BUY- 35- 0.52 65D -0.09+
JNJ S/SELL 10- 0.85 35D -0.20+
JPM SELL+ 25- 1.13 28D -0.17+
KO S/BUY+ 71- 0.84 85D 0.11+
MCD BUY 81- 1.20 80D 0.09+
MMM SELL- 20- 1.17 38D -0.35+
MO BUY 87/ 0.64 80D 0.24+
MRK BUY 45- 0.80 56D 0.09+
MSFT S/BUY+ 61- 0.38 77D 0.04+
PFE SELL+ 0/ 0.41 13D -0.23+
PG BUY 89- 0.89 74D 0.15+
T S/SELL- 58- 0.77 44D -0.13+
UTX SELL 39- 1.67 29D -0.28+
VZ S/BUY 78- 0.93 62D 0.10+
WMT S/SELL- 0- 0.67 43D -0.06+
XOM BUY 87- 0.93 81D 0.14+
*Internal Relative Strength

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MktMetrics Weekly Stocks In Review

Information provided by: http://www.MktMetrics.com/

This week's BEST & WORST Performers

Top 22 Most Positive Stocks
Steady Accumulaton confirmed by an Up Trend
Statistics for 10-22-07 Monday's Open
Symbol OFV (Opening Fair Value): BUY-LONG
1. AMTD OFV: 18.71
2. ARA OFV: 73.46
3. BCE OFV: 42.20
4. BIO OFV: 96.73
5. CEF OFV: 10.04
6. CY OFV: 32.55
7. DBC OFV: 28.90
8. DXD OFV: 48.27
9. GLD OFV: 75.53
10. HSII OFV: 40.79
11. IAU OFV: 75.68
12. ICE OFV: 163.84
13. LXK OFV: 42.07
14. POWI OFV: 30.92
15. QSFT OFV: 17.38
16. RSCR OFV: 23.76
17. RUBO OFV: 10.64
18. RX OFV: 23.48
19. RYL OFV: 23.63
20. SDS OFV: 51.59
21. SJT OFV: 36.53
22. TEK OFV: 37.78

Top 45 Most Negative Stocks
Steady Distribution confirmed by a Down Trend
Statistics for 10-22-07 Monday's Open
Symbol OFV (Opening Fair Value): SELL-SHORT
1.. AM OFV: 26.11
2. BCRX OFV: 7.79
3. BJS OFV: 25.73
4. BLL OFV: 53.33
5. CASY OFV: 28.06
6. CRR OFV: 48.52
7. CSCO OFV: 32.02
8. CUTR OFV: 25.09
9. DE OFV: 148.37
10. DIA OFV: 136.50
11. DJ OFV: 59.66
12. EAT OFV: 27.34
13. FLE OFV: 9.03
14. GSIC OFV: 27.09
15. HAS OFV: 28.66
16. HIW OFV: 35.81
17. HON OFV: 58.58
18. HXM OFV: 55.58
19. IJR OFV: 69.45
20. IR OFV: 50.71
21. JCI OFV: 41.02
22. KDN OFV: 52.00
23. KEX OFV: 20.77
24. KSS OFV: 55.65
25. LZ OFV: 67.11
26. MIDD OFV: 65.86
27. MMM OFV: 89.69
28. MVL OFV: 23.62
29. NX OFV: 44.30
30. OSG OFV: 72.33
31. PCAR OFV: 51.49
32. PGNX OFV: 22.91
33. PLL OFV: 39.27
34. PPS OFV: 37.95
35. PX OFV: 82.39
36. REXI OFV: 15.64
37. SBAC OFV: 34.35
38. SIAL OFV: 49.50
39. SMTL OFV: 9.28
40. SPLS OFV: 21.80
41. SPN OFV: 32.76
42. SYY OFV: 33.44
43. TRC OFV: 39.42
44. URBN OFV: 22.45
45. USM OFV: 97.68

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

Saturday, October 20, 2007

MktMetrics Weekly Stock Market Analysis

Stock Market Analysis for Week Ending October 19, 2007

Dow Jones Industrial Average (DJIA) Trading Range:
High 14,279.96 (10-11-07) / Low 10,653.23 (6-13-06)= Range: 3,626.73

DJIA Outlook: Bullish, yet Falling Unch 61% vs Last week: 82% (High 89% / Low 12%)

DJIA Closed: 13,522.02 vs Last week: 14,093.08 -571.06 / Prior week: +27.07
DJIA 50-Day Net Change: Rising +251 vs Last week +630 (High +1450 / Low -734)
DJIA 21-day Moving Average: 13,942.11 vs Last week: 13,892.89 +49.22 / Prior week: +196.62
DJIA Trend: Falling 32% vs Last week: 87% (High 97% 9-19-07&10-1-07 / Low 0% 6-13-07)
DJIA Momentum: Falling 48% vs Last week: 74% (High 97% / Low 10%)
DJIA Volatility: Rising 3.23% vs Last week: 1.09% (High 6.00% / Low -1.09%)
DJIA Resistance: Rising Near Term 14,191 vs Last week 14,135 +56 / Prior week: +199
DJIA Breakout: Rising Intermediate Term 14,430 vs Last week 14,379
DJIA Support: Rising Near Term 13,698 vs Last week: 13,634 +64 / Prior week: +194
DJIA Breakdown: Rising Intermediate Term 13,454 vs Last week: 13,407
DJIA Directional Indicator: Falling -11.7 vs Last week: +31.8 (High +49.4 / Low -52.9)
DJIA Price Advance/Decline Line: Rising +10 vs Last week: +322 (High +647 / Low -660)
DJIA Volume Advance/Decline Line: Rising -113 vs Last week: +73 (High +349 / Low -484)
DJIA Price vs 21-Day Moving Average: Falling -3.0% vs Last week: +1.4% (High +4.4% / Low -4.5%)
DJIA Moving Average Convergence/Divergence(MACD): SELL / Last week: SELL
DJIA Overbought/Oversold (CCI): Falling -258 vs Last week: +56 (High +255 / Low -285)
DJIA Stochastic 20-Day Indicator: Falling 27 vs Last week: 80 (High 100 / Low 00)
DJIA 14-Day Relative Strength Indicator: Falling 26 vs Last week: 68 (High 97 / Low 12)
DJIA Volume vs 50-Day Moving Average: Rising 1.1 vs Last week: .6 (High 3.3 / Low 0.3)

Stock Market Outlook: Bullish, yet Falling 64.3% vs Last week: 92.3% (100.0% / Low 8.0%)

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Falling -.05% vs Last week: .09% (High .29% (4-19-07) / Low -.24% (6-6-06)

Institutional Money Flow Index: Falling 39% vs Last week: 87% (High 97% / Low 08%)

Institutional Demand Factor: Falling 46.7 vs Last week: 65.6 (High 86.8 / Low 18.7)

Institutional Inventory Index: Falling 44.5 vs Last week: 70.5 (High 81.1 / 25.2)

Institutional Accumulation/Distribution: Falling -.10 vs Last week: .22 (High .35 / -.41)

Institutional Sentiment Index: Falling 144 vs Last week: 147 (High 179 (5-30-07) / (Low 68 (6-13-06)

Speculation Indicator Index: Falling -.533 vs Last week: +.148 (High .749 (7-19-07) / (Low -683 (8-15-07)

One Year High Yield National CD Rate: Unch 4.97% vs Last week: 4.97% (5.27 / Low 2.19%)*****************************************************************************************************************

105 Exchange Traded Funds
Trends & Sector Analysis

Symbol: Trend +/- (Historic High-Low) / Rating / Demand Factor
Diamonds-Dow 30
DIA: -.22 vs Last week: +.38 (High .95 / Low -.59) Rating: SELL- Demand Factor: 64-
SPDR-S&P 500
SPY: -.08 vs Last week: +.58 (High .77 / Low -.77) Rating: SELL- Demand Factor: 77-
SPDR-S&P 400 Mid-Cap
MDY: -.00 vs Last week: +.58 (High .89 / Low -1.00) Rating: SELL- Demand Factor: 85-
Russell 2000 Small-Cap
IWM: -.04 vs Last week: +.55 (High .71 / Low -.67) Rating: SELL- Demand Factor: 82-
Nasdaq 100 Large Growth
QQQQ: +.30 vs Last week: +42 (High .54 / Low -.35) Rating: BUY Demand Factor: 86-
1. Biotech
BBH: +.15 vs Last week: +.38 (High 1.58 / Low -1.02) Rating: BUY Demand Factor: 90-
2. Broadband
BDH: +.25 vs Last week: +.33 (High .57 / Low -.54) Rating: BUY Demand Factor: 91-
3. Central Fund of Canada (Physical Precious Metals)
CEF: +.32 vs Last week: +.27 (High .41 / Low -.29) Rating: BUY Demand Factor: 100/
4. CHICAGO MERCANTILE EXCHANGE
CME: +3.57 vs Last week: +3.98 (High 4.56 / Low -2.93) Rating: BUY Demand Factor: 89-
5. Deutsche Bank Commodity Index Tracking
DBC: +.42 vs Last week: +.51 (High .56 / Low -.65) Rating: BUY Demand Factor: 100/
6. ULTRA DOW 30 POWER SHARES
DDM: -.29 vs Last week: +.49 (High 1.00 / Low -.77) Rating: SELL- Demand Factor: 62-
7. UltraShort Oil & Gas ProShares (2:1 Leveraged ETF)
DUG: +.02 vs Last week: -.36 (High 1.07/ Low -1.02) Rating: BUY+ Demand Factor: 54+
8. Dow Jones Select Dividend Index
DVY: -.31 vs Last week: +.16 (High .58 / Low -.46) Rating: SELL- Demand Factor: 31-
9. ULTRA SHORT DOW 30 POWER SHARES
DXD: +.12 vs Last week: -.38 (High .64 / Low -.70) Rating: BUY+ Demand Factor: 20+
10. CLAYMORE/BNY BRIC ETF (Brazil Russia India China)
EEB: +.73 vs Last week: +.86 (High .86 / Low -.43) Rating: BUY Demand Factor: 92-
11. Emerging Markets
EEM: +.56 vs Last week: +1.28 (High 1.29 / Low -1.19) Rating: BUY Demand Factor: 88-
12. EAFE Global Equities (Europe, Australasia and Far East)
EFA: +.12 vs Last week: +.42 (High .62 / Low -.65) Rating: BUY Demand Factor: 67-
13. Pacific ex-Japan
EPP: +.52 vs Last week: +1.18 (High 1.36 / Low -1.18) Rating: BUY Demand Factor: 93-
14. Australia
EWA: +.40 vs Last week: +.58 (High .81 / Low -.45) Rating: BUY Demand Factor: 94-
15. Canada
EWC: +.14 vs Last week: +.20 (High .52 / Low -.37) Rating: BUY Demand Factor: 88-
16. Sweden
EWD: -.03 vs Last week: +.28 (High .79 / Low -.44) Rating: SELL- Demand Factor: 74-
17. Germany
EWG: +.14 vs Last week: +.40 (High .61 / Low -.26) Rating: BUY Demand Factor: 81-
18. Hong Kong
EWH: +.10 vs Last week: +.17 (High .48 / Low -.25) Rating: BUY Demand Factor: 91+
19. Italy
EWI: -.21 vs Last week: +.06 (High .51 / Low -.40) Rating: SELL- Demand Factor: 13-
20. Japan
EWJ: -.04 vs Last week: +.06 (High .63 / Low -.43) Rating: SELL- Demand Factor: 45-
21. Belgium
EWK: +.18 vs Last week: +.31 (High .60 / Low -.40) Rating: BUY Demand Factor: 57-
22. Switzerland
EWL: +.22 vs Last week: +.32 (High .64 / Low -.49) Rating: BUY Demand Factor: 60-
23. Malaysia
EWM: +.07 vs Last week: +.16 (High .39 / Low -.21) Rating: BUY Demand Factor: 84-
24. Netherlands
EWN: +.03 vs Last week: +.23 (High .61 / Low -.30) Rating: BUY Demand Factor: 72-
25. Austria
EWO: -.18 vs Last week: -.05 (High .49 / Low -.30) Rating: SELL Demand Factor: 16-
26. Spain
EWP: +.44 vs Last week: +.58 (High .58 / Low -.43) Rating: BUY Demand Factor: 92+
27. France
EWQ: +.06 vs Last week: +.17 (High .56 / Low -.43) Rating: BUY Demand Factor: 89+
28. Singapore
EWS: +.05 vs Last week: +.27 (High .45 / Low -.21) Rating: BUY Demand Factor: 82-
29. Taiwan
EWT: +.21 vs Last week: +.25 (High .40 / Low -.23) Rating: BUY Demand Factor: 95-
30. United Kingdom
EWU: +.08 vs Last week: +.11 (High .69 / Low -.28) Rating: BUY Demand Factor: 93-
31. Mexico
EWW: +.31 vs Last week: +.37 (High .72 / Low -.57) Rating: BUY Demand Factor: 75+
32. South Korea
EWY: +.15 vs Last week: +.64 (High .68 / Low -.53) Rating: BUY Demand Factor: 85-
33. Brazil
EWZ: +.61 vs Last week: +.94 (High 1.00 / Low -.81) Rating: BUY Demand Factor: 91-
34. FTSE/Xinhua China 25 Index
FXI: +1.65 vs Last week: +2.58 (High 2.58 / Low -.82) Rating: BUY Demand Factor: 50-
35. Street TRACKS Gold Trust
GLD: +.45 vs Last week: +.44 (High .61 / Low -.61) Rating: BUY Demand Factor: 100/
36. Internet
HHH: +.20 vs Last week: +.45 (High .63 / Low -.75) Rating: BUY Demand Factor: 87-
37. Internet Architecture
IAH: +.24 vs Last week: +.57 (High .65 / Low -.60) Rating: BUY Demand Factor: 55-
38. U.S. Broker-Dealers
IAI: +.35 vs Last week: +.33 (High .49 / Low -.69) Rating: BUY Demand Factor: 93+
39. Comex Gold
IAU: +.38 vs Last week: +.30 (High .81 / Low -.65) Rating: BUY Demand Factor: 100/
40. Biotechnology
IBB: -.06 vs Last week: +.22 (High .70 / Low -.62) Rating: SELL- Demand Factor: 0-
41. InterContinental Exchange, Inc.
ICE: +1.67 vs Last week: +1.81 (*High 1.81/Low -2.00) Rating: BUY Demand Factor: 100+
42. Cohen & Steers Realty Majors
ICF: +.02 vs Last week: +.67 (High .98 / Low -.81) Rating: SELL- Demand Factor: 74-
43. Utilities
IDU: -.30 vs Last week: +.09 (High .78 / Low -.68) Rating: SELL- Demand Factor: 10-
44. S&P Europe 350 Index
IEV: +.18 vs Last week: +.42 (High .84 / Low -.88) Rating: BUY Demand Factor: 56-
45. Natural Resources
IGE: +.28 vs Last week: +.62 (High .88 / Low -.75) Rating: BUY Demand Factor: 93-
46. Networking
IGN: -.07 vs Last week: +.12 (High .48 / Low -.50) Rating: SELL- Demand Factor: 57-
47. Software
IGV: +.26 vs Last week: +.55 (High .66 / Low -.60) Rating: BUY Demand Factor: 92-
48. Semiconductor
IGW: -.15 vs Last week: +.08 (High .62 / Low -.75) Rating: SELL Demand Factor: 0-
49. MS India Investment Fund
IIF: +.11 vs Last week: +.63 (High .88 / Low -.72) Rating: BUY Demand Factor: 55-
50. Internet Infrastructure
IIH: -.02 vs Last week: +.54 (High .64 / Low -.52) Rating: BUY Demand Factor: 65-
51. Mid-Cap 400 Blend
IJH: +.05 vs Last week: +.43 (High .78 / Low -.54) Rating: BUY Demand Factor: 82-
52. Mid-Cap 400 Growth
IJK: +.20 vs Last week: +.41 (High .66 / Low -.86) Rating: BUY Demand Factor: 36-
53. Small-Cap 600
IJR: -.01 vs Last week: +.37 (High .83 / Low -.41) Rating: SELL- Demand Factor: 84-
54. S&P Latin America 40 Index
ILF: +1.28 vs Last week: +2.38 (High 2.68 / Low -2.31) Rating: BUY Demand Factor: 94-
55. International Securities Exchange Holdings, Inc.
ISE: +.21 vs Last week: +.18 (High 1.12 / Low -.60) Rating: BUY Demand Factor: 79-
56. S&P 1500 Index
ISI: -.26 vs Last week: +.22 (High .79 / Low -.65) Rating: SELL- Demand Factor: 54-
57. S&P/TOPIX 150 Japan Index
ITF: +.35 vs Last week: +.72 (High .92 / Low -.90) Rating: SELL- Demand Factor: 97-
58. Global Financial
IXG: +.19 vs Last week: +.59 (High .79 / Low -.73) Rating: SELL- Demand Factor: 39-
59. Consumer Cyclical
IYC: +.29 vs Last week: +.51 (High .78 / Low -.64) Rating: SELL- Demand Factor: 94-
60. Energy
IYE: +.10 vs Last week: +.64 (High .97 / Low -.85) Rating: BUY Demand Factor: 91-
61. Financial Services
IYG: -.38 vs Last week: +.43 (High .79 / Low -.96) Rating: SELL- Demand Factor: 69-
62. Healthcare
IYH: +.31 vs Last week: +.46 (High .54 / Low -.63) Rating: BUY Demand Factor: 88-
63. Industrial
IYJ: +.06 vs Last week: +.33 (High .52 / Low -.35) Rating: BUY Demand Factor: 93-
64. Consumer Non-Cyclical
IYK: +.19 vs Last week: +.47 (High .58 / Low -.56) Rating: BUY Demand Factor: 92-
65. Basic Materials
IYM: +.13 vs Last week: +.48 (High .69 / Low -.61) Rating: BUY Demand Factor: 89-
66. Real Estate
IYR: -.08 vs Last week: +.57 (*High .64 / Low -.67) Rating: SELL- Demand Factor: 69-
67. Transportation
IYT: -.07 vs Last week: +.10 (High .80 / Low -.73) Rating: SELL Demand Factor: 2-
68. U.S. Technology
IYW: +.01 vs Last week: +.28 (High .54 / Low -.50) Rating: BUY Demand Factor: 64-
69. U.S. Total Market Index
IYY: +.21 vs Last week: +.44 (High .84 / Low -.72) Rating: BUY Demand Factor: 95-
70. U.S. Telecommunications
IYZ: +.06 vs Last week: +.14 (High .43 / Low -.30) Rating: SELL- Demand Factor: 78/
71. ULTRA SHORT MID-CAP 400 POWER SHARES
MZZ: -.03 vs Last week: -.48 (High .73 / Low -.82) Rating: SELL Demand Factor: 19+
72. NYSE Euronext Group, Inc.
NYX: +.59 vs Last week: +.83 (High 1.77 / Low -1.30 Rating: BUY Demand Factor: 53-
73. NASDAQ Stock Market, Inc.
NDAQ: +.34 vs Last week: +.35 (High 1.07/ Low -1.02) Rating: BUY Demand Factor: 62-
74. Oil Services
OIH: -.24 vs Last week: +1.03 (High 1.70/Low -1.29) Rating: BUY Demand Factor: 85-
75. PowerShares WilderHill Clean Energy
PBW: +.09 vs Last week: +.34 (High .66 / Low -.33) Rating: BUY Demand Factor: 88-
76. Pharmaceuticals
PPH: -.12 vs Last week: +.21 (High .80 / Low -.61) Rating: SELL- Demand Factor: 28-
77. PowerShares Dynamic OTC
PWO: +.14 vs Last week: +.35 (High .51 / Low -.54) Rating: BUY Demand Factor: 84-
78. ULTRA SHORT QQQ POWER SHARES
QID: -.39 vs Last week: -.54 (High .59 / Low -.73) Rating: SELL Demand Factor: 11+
79. ULTRA QQQ PROSHARES
QLD: +.68 vs Last week: +1.14 (High 1.07 / Low -1.00) Rating: BUY Demand Factor: 84-
80. Regional Banks
RKH: -.66 vs Last week: +.02 (High .95 / Low -.98) Rating: SELL Demand Factor: 0
81. MS Eastern Europe Fund
RNE: +.02 vs Last week: +.29 (High .55 / Low -.63) Rating: BUY Demand Factor: 52-
82. Retail
RTH: -.33 vs Last week: +.13 (High .60 / Low -.66) Rating: SELL Demand Factor: 12-
83. DJ Wilshire REIT
RWR: +.17 vs Last week: +.60 (High .78 / Low -.67) Rating: SELL- Demand Factor: 91-
84. ULTRA SHORT S&P 500 Power Shares
SDS: +.07 vs Last week: -.45 (High .64 / Low: -.69) Rating: BUY+ Demand Factor: 20+
85. Silver Trust
SLV: +.12 vs Last week: +.67 (High 1.09 / Low -1.05) Rating: BUY Demand Factor: 56-
86. ULTRA SHORT Russell 2000 Value ProShares
SJH: +.25 vs Last week: -.68 (High .63 / Low -.68) Rating: BUY+ Demand Factor: 20+
87. Semiconductor
SMH: -.21 vs Last week: -.07 (High .48 / Low -.52) Rating: SELL Demand Factor: 32-
88. Software
SWH: -.10 vs Last week: +.24 (High .61 / Low -.43) Rating: BUY Demand Factor: 54-
89. Lehman 20+ Treasury Bond Fund
TLT: +.39 vs Last week: -.05 (High .53 / Low -.49) Rating: BUY+ Demand Factor: 94+
90. Telecommunications Holders Trust
TTH: -.04 vs Last week: +.16 (High .54 / Low -.31) Rating: SELL- Demand Factor: 63-
91. Utilities
UTH: -1.13 vs Last week: +.31 (High .95 / Low -1.13) Rating: SELL- Demand Factor: 33-
92. Wireless
WMH: +.33 vs Last week: +.56 (High .87 / Low -.64) Rating: BUY Demand Factor: 91-
93. Homebuilders Select Sector
XHB: -.34 vs Last week: -.07 (High .69 / Low -.56) Rating: SELL Demand Factor: 0-
94. Materials Select Sector
XLB: -.05 vs Last week: +.18 (High .40 / Low -.41) Rating: SELL- Demand Factor: 63-
95. Energy Select Sector
XLE: +.06 vs Last week: +.44 (High .76 / Low -.55) Rating: BUY Demand Factor: 88-
96. Financial Select Sector
XLF: -.06 vs Last week: +.25 (High .46 / Low -.43) Rating: SELL- Demand Factor: 35-
97. Industrial Select Sector
XLI: +.08 vs Last week: +.20 (High .46 / Low -.24) Rating: BUY Demand Factor: 90-
98. Technology Select Sector
XLK: +.017 vs Last week: +.07 (High .51 / Low -.32) Rating: BUY Demand Factor: 81+
99. Consumer Staples Select Sector
XLP: +.09 vs Last week: +.42 (High .59 / Low -.29) Rating: BUY Demand Factor: 72-
100. Healthcare Select Sector
XLV: +.08 vs Last week: +.28 (High .57 / Low -.33) Rating: BUY Demand Factor: 75-
101. Industrial Select Sector
XLY: -.13 vs Last week: +.09 (High .44 / Low -.45) Rating: SELL- Demand Factor: 9-
102. Mining & Metals Select Sector
XME: -.04 vs Last week: +.43 (High .92 / Low -.78) Rating: BUY Demand Factor: 70

107 Total Exchange Traded Funds Tracked: (BUY *High= 90%) / (BUY Low= (49%)
Buy 70/Sell 37(65%) vs. Last week: Buy 92/Sell 13(88%) vs. Prior week: Buy 99/Sell 10(*90%)

DJIA closed this week: -571.06 vs. Last week: +27.07 (First week down after 5 up)

Information provided by: http://www.mktmetrics.com/
A Marketing Alliance with Schwab ActiveTrader
A Strategic Collaboration with TigerSoft Investment Software
http://www.tigersoft.com/DG/welcome.htm
See offer on MktMetrics.com home page.

Douglas Gale, President, Gale Financial Market Econometrics, Inc.
"Just Suppose For A Moment, You Know What The Exchange Insiders Know!" MktMetrics does.

As Advertised on:
Schwab ActiveTrader, TraderDaily.com, Institutional Investor Magazine and TigerSoft.com

A daily Internet video webcast called MktMetrics Morning appears late morning on YouTube and Yahoo Video, that can be searched under: "MktMetrics"

www.galefinancialmarketeconometrics.blogspot.com/
Next Day's Advance Market Decisions
The three blogs provide Trading Ideas (11:15pmEST), Stock Market Forecast and Institutional Investor Statistics, and Diamonds (DIA) (8:00amEST) as we track what the Exchange Insiders (Specialists & Market Makers) are currently doing with their inventory.

Total number of Blogs archived: 1,307 since April 2005

Friday, October 19, 2007

Dow 30 ETF (DIA) Friday October 19 Forecast

Announcement: Exhibitor Booth 921 "This Traders Event is Free"
Sign-up today: http://lasvegastradersexpo.com/?scode=009783
Hope see you at the Traders Expo in Las Vegas November 15-18

Information provided by: http://www.mktmetrics.com/

Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 10/19/07
Last Updated: 10/18/07
10/18/07 Final Numbers
(Open) 138.60
(High) 139.16
(Low) 138.22
(Close) 138.88
(Range) 0.94

DIA Friday Forecast
Opening Fair Value: 138.70
Today's Predicted High: 139.80
Today's Predicted Low: 137.96
Today's Proposed Range: 1.84
Buy/Sell Rating: Buy

Market Comment:
DJIA closed -.46% below its rising 21-day moving average, vs. -.41% previously. Dow Trend continues to move lower as does the Accumulation/Distribution Trend. Dow 50-Day Net Change is positive, yet falling. Dow Outlook is 69%, providing a clear signal the Stock Market will move lower. Friday may see a modest rise. Suggest don't Buy until Trend changes.

DIA Resistance: Mean 139.48 / Intermediate 142.26 / Breakout 145.05
DIA Support: Mean 139.45 / Intermediate 136.68 / Breakdown 133.90

DIA Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 60 Down from 64
Volume Internal Strength: Negative 0.70/0.92 Down
Current Trend: Positive 6 Up from 3
Demand Factor: 95 Up from 88
Stock Volatility: -0.86 Down from 4.12

Predict DIA Upside and Downside Potential
10/18/07 12:45 Close: 138.60
Upside Potential: 140.88
Downside Potential: 137.20

Information for Extreme Trading Days
Predicted Block Trading Resistance Levels (100,000+ shares)
1. 140.98
2. 141.37
3. 141.66
4. 141.94

Predicted Block Trading Support Levels (100,000+ shares)
1. 136.38
2. 136.10
3. 135.83
4. 135.46

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 140.11
21 DAY MOVING AVERAGE = 139.48
30 DAY MOVING AVERAGE = 137.89
42 DAY MOVING AVERAGE = 136.40
50 DAY MOVING AVERAGE = 135.52
65 DAY MOVING AVERAGE = 135.49
30 WEEK MOVING AVERAGE = 133.46
200 DAY MOVING AVERAGE = 131.29

DIA Probability Percent of "Up" at the Close
DIA probability "Up%" Friday: 48%
DIA Past 4 Fridays: Rising 51.9% / 49.0% / 48.1% / 49.0%
(Lower closing from opening is greatest for Friday)
DIA Trend: Rising Today Positive 6 Up from 3
DIA MACD: Falling Today, SELL as of Wednesday 10-10-07
DIA Open/Close 20-Day Trend: Open Up/Close Down
*(Open/Close Trend Changed as of Thursday 10-11-07)

DJIA Probability Percent of "Up" at the Close
DJIA probability "Up%" Friday: 40%
DJIA Trend: Falling Today 45% vs. 52%
DJIA Trend Direction: Changed "Down" from "Up" Wednesday 10-10-07
DJIA MACD: Falling Today SELL as of Wednesday 10-10-07

Subscribe to MktMetrics.com and receive the above information daily for any stock or ETF you are trading today! Market Makers have daily trading parameters, why shouldn't you?

Full disclosure:
Long/Short individual stocks mentioned above at time of writing by author? None

Please refer to:
Next Day's Advance Market Decisions "Trading Ideas" to see suggested trades for today.

Stock Market Forecast Friday 10-19-07

Information provided by: http://www.mktmetrics.com/

"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.

Thursday 10-18-07 DJIA closed: 13,888.96 -3.58 vs. Prior day: 13,892.54 -20.40
DJIA 21-Day Moving Average: 13,953.76 +3.50 vs. Prior day: 13,950.26 +7.29
(DJIA closed -.46% below its rising 21-day moving average, vs. -.41% prior day)

Before the New York Stock Exchange Open
Friday October 19 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Friday: 40%
DIA probability of closing "Up" Friday: 48%
DIA Past 4 Fridays: Rising 51.9% / 49.0% / 48.1% / 49.0%
(Lower closing from opening is greatest for Friday)
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Falling Today Up 14 vs Down 17 (-2 vs -7 prior day)
DJIA Trend: Falling Today 45% vs Yesterday 52% (High 97% / Low 0%)
Change in Trend: To "Down" from "Up" as of Wednesday, 10-10-07
DJIA MACD: Falling Today, SELL as of Wednesday, 10-10-07 (12,26 computation)
DJIA Momentum: Rising Today 68% vs Yesterday 65% (High 97% / Low 13%)
DJIA Volatility: Falling Today 0.47% vs Yesterday 1.96% (High 3.24% / Low -1.09%)
DJIA 50-Day Net Change: Falling Today +231 vs Yesterday +388 (High 1450 / Low -734)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -734 8-15-07 (today+231= 15.9% of High)

DJIA Resistance Levels: Mean= 13,954 / Intermediate Term 14,198 / Breakout 14,442
DJIA Support Levels: Mean= 13,950 / Intermediate Term 13,708 / Breakdown 13,465

Market Comment:
DJIA closed -.46% below its rising 21-day moving average, vs. -.41% previously. Dow Trend continues to move lower as does the Accumulation/Distribution Trend. Dow 50-Day Net Change is positive, yet falling. Dow Outlook is 69%, providing a clear signal the Stock Market will move lower. Friday may see a modest rise. Suggest don't Buy until Trend changes.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Rising Today -.1% vs Yesterday -.2% (High .29% / Low -.24%) Mean= -.02% Closed at its Mean, Neutral yet increasing.

Institutional Money Flow: Falling Today 55% vs Yesterday 65% (High 97% / Low 6%) Mean= 52% Closed above its Mean, positive yet decreasing.

Institutional Demand: Rising Today 60.00% vs Yesterday 59.55% (High 86.84% / Low 18.65%) Mean= 52.8% Closed above its Mean, Positive and increasing.

Institutional Inventory: Falling Today 55.23% vs Yesterday 57.74% (High 81.06% / Low 25.23%) Mean= 52.2% Closed above its Mean, Neutral yet decreasing.

Institutional Accumulation/Distribution Trend: Falling Today .01% vs Yesterday .03% (High .35% / -.41%) Mean= -.03% Closed above its Mean, positive yet decreasing.

Outlook Statistics: Above 50% Bullish/Below 50% Bearish (Historic High/Low)

DJIA Outlook: Bullish, yet Falling Today 69% vs. Yesterday 75% (High 89% / Low 18%) Mean= 53.5% Closed above its Mean, positive yet decreasing.

Stock Market Outlook: Bullish Rising Today 84.3% vs Yesterday 83.7% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

11 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Rising Trend Today 6% vs. Yesterday 3% (High 95% / Low -59%)
SPY: Falling Trend Today 9% vs. Yesterday 16% (High 77% / Low -77%)
MDY: Rising Trend Today 21% vs. Yesterday 17% (High 91% / Low -100%)
IWM: Falling Trend Today 9% vs. Yesterday 21% (High 71% / Low -67%)
QQQQ: Rising Trend Today 44% vs. Yesterday 38% (High 54% / Low -43%)
SMH: Rising Trend Today -11% vs. Yesterday -14% (High 48% / Low -53%)
IYT: Rising Trend Today -13% vs. Yesterday -21% (High 80% / Low -73%)
IDU: Falling Trend Today -24% vs. Yesterday -14% (High 80% / Low -68%)
XLE: Rising Trend Today 28% vs. Yesterday 26% (High 70% / Low -55%)
XLF: Rising Trend Today -0% vs. Yesterday -4% (High 45% / Low -39%)
IAI: Rising Trend Today 30% vs. Yesterday 7% (High 54% / Low -69%)

Stock Market Plurality:
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Rising Trend Today 100 vs. Yesterday 62 (High 367 / Low 4)
Demand Factor "0": Falling Trend Today 79 vs. Yesterday 84 (High 210 / Low 7)

Information provided by http://www.mktmetrics.com/
A Marketing Alliance with Schwab ActiveTrader
A Strategic Collaboration with TigerSoft.com
http://www.tigersoft.com/DG/TigerSoft-Blog.htm is a great daily read.

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.
http://www.mktmetrics.com/
Next Day's Advance Market Decisions:
"Not always right, just very seldom wrong."

Thursday, October 18, 2007

Stock Trading Ideas For Friday October 19

Information provided by: http://www.mktmetrics.com/

Stocks expected to move "HIGHER" Friday
Buy-Long Day Trading Ideas suggested for October 19 2007
Symbol OFV (Opening Fair Value)
1. AVCT OFV: 29.58
2. CRA OFV: 15.91
3. CRS OFV: 129.23
4. CTXS OFV: 39.76
5. EWQ OFV: 39.01
6. IEV OFV: 121.53
7. IGT OFV: 43.30
8. KMX OFV: 21.31
9. MRO OFV: 58.42
10. NICE OFV: 39.88
11. SCHW OFV: 22.33
12. SWH OFV: 43.95
13. TLM OFV: 20.65
14. TRMB OFV: 42.30

Stocks expected to move "LOWER" Friday
Sell-Short Day Trading Ideas suggested for October 19 2007
Symbol OFV (Opening Fair Value)
1. AMWD OFV: 24.62
2. CCRT OFV: 21.60
3. CVC OFV: 32.33
4. DOV OFV: 48.86
5. ELOS OFV: 19.63
6. FUL OFV: 29.42
7. PHO OFV: 22.02
8. PPL OFV: 48.77
9. RRGB OFV: 39.95
10. SNA OFV: 47.34
11. TTH OFV: 41.33
12. TYC OFV: 43.59

Today's Portfolio Performance
Including overnight positions
Wednesday October 17 2007
(Long) 14 positions up out of 19 (73.7% accurate)
Current Value $889,920.00
Gross Gain $6,360.00
Thursday October 18 2007
(Long) 9 positions up out of 15 (60% accurate)
Current Value $705,517.50
Gross Gain $957.49
Wednesday October 17 2007
(Short) 15 positions down out of 23 (65.2% accurate)
Current Value $945,557.50
Gross Gain $14,872.50

Thursday's Net After Commissions Trade Totals:
$6,926.62+$659.06 Net Gain from Positive suggestions (Buy-Long),
plus,
$16,593.81 Net Gain from Negative suggestions (Sell-Short)

Combined Strategies Total: $24,179.49 Net Gain Thursday

$2,000,000.00 Principal Amount TRADE MODEL Start Date: 7-12-07
Portfolio Day Trade Disciplines:
*1,000 shares per trade, always hedged
*Buy at OFV, Sell at Market Close
*Sell-Short at OFV, Buy-back at Market Close
*Costs: $9.95 X 2= $19.90 for each 1000 shares round trip (open/close)

Trade Date / Beginning / Gain or Loss / Net Account Value
July 12, 2007 $2,000,000.00 + 36,273.72 net gain = $2,036,273.72
July 13, 2007 $2,036,273.72 <- 400.00> net loss = $2,035,873.72
July 16, 2007 $2,035,873.72 + 4,834.41 net gain = $2,040,708.13
July 17, 2007 $2,040,708.13 + 12,114.31 net gain = $2,052,822.44
July 18, 2007 $2,052,822.44 + 12,566.53 net gain = $2,065,388.97
July 19, 2007 $2,065,388.97 + 16,165.04 net gain = $2,081,554.01
July 20, 2007 $2,081,554.01 + 18,765.38 net gain = $2,100,319.39
July 23, 2007 $2,100,319.39 + 5,060.01 net gain = $2,105,379.40
July 24, 2007 $2,105,379.40 + 56,062.01 net gain = $2,161,441.41
July 25, 2007 $2,161,441.41 + 11,938.12 net gain = $2,173,379.53
July 26, 2007 $2,173,379.53 + <1,440.00> net loss = $2,171,939.53
July 27, 2007 $2,171,939.53 + 6,410.09 net gain = $2,178,349.62
July 30, 2007 $2,178,349.62 + 8,501.51 net gain = $2,186,851.13
July 31, 2007 $2,186,851.13 + 10,641.09 net gain = $2,197,492.22
August 1, 2007 $2,197,492.22 + 46,410.00 net gain = $2,243,902.22
August 2, 2007 $2,243,902.22 + 20,543.23 net gain = $2,264,445.45
August 3, 2007 $2,264,445.45 + 4,935.81 net gain = $2,269,381.26
August 6, 2007 $2,269,381.26 + -1,298.78 net loss = $2,268,082.48
August 7, 2007 $2,268,082.48 + 31,239.89 net gain = $2,299,322.37
August 8, 2007 $2,299,322.37 + 56,444.32 net gain = $2,355,766.69
August 9, 2007 $2,355,766.69 + 11,620.90 net gain = $2,367,387.59
August 10, 2007 $2,367,387.59 + 3,551.41 net gain = $2,370,939.00
August 13, 2007 $2,370,939.00 + 56,028.35 net gain = $2,426,967.35
August 14, 2007 $2,426,967.35 + 81,737.06 net gain = $2,508,704.41
August 15, 2007 $2,508,704.41 + 7,240.60 net gain = $2,515,945.01
August 16, 2007 $2,515,945.01 + 20,124.54 net gain = $2,536,069.55
August 17, 2007 $2,536,069.55 + 120,505.45 net gain = $2,656,575.00
August 20, 2007 $2,656,575.00 + 18,145.54 net gain = $2,674,720.54
August 21, 2007 $2,674,720.54 + 5,287.14 net gain = $2,680,007.68
August 22, 2007 $2,680,007.68 + 49,666.04 net gain = $2,729,673.72
August 23, 2007 $2,729,673.72 + 20,297.53 net gain = $2,749,971.25
August 24, 2007 $2,749,971.25 + <$7,103.54> net loss = $2,742,867.71
September 5, 2007 $2,742,867.71 + 7,699.66 net gain = $2,750,567.37
September 6, 2007 $2,750,567.37 + 38,502.56 net gain = $2,789,069.93
September 7, 2007 $2,789,069.93 + 60,897.48 net gain = $2,849,967.41
September 10, 2007 $2,849,967.41 + 23,848.54 net gain = $2,873,815.95
September 11, 2007 $2,873,815.95 + 43,525.83 net gain = $2,917,341.78
September 12, 2007 $2,917,341.78 + 17,988.44 net gain = $2,935,330.22
September 13, 2007 $2,935,330.22 + 4,946.55 net gain = $2,940,276.77
September 14, 2007 $2,940,276.77 + 21,098.50 net gain = $2,961,375.27
September 17, 2007 $2,961,375.27 + 22,380.87 net gain = $2,983,756.14
September 18, 2007 $2,983,756.14 + 83,767.93 net gain = $3,067,524.07
September 19, 2007 $3,067,524.07 + 62,188.17 net gain = $3,129,712.24
September 20, 2007 $3,129,712.24 + 18,534.72 net gain = $3,148,246.96
September 21, 2007 $3,148,246.96 + 15,505.13 net gain = $3,163,752.09
September 24, 2007 $3,163,752.09 + 75,801.95 net gain = $3,239,554.04
September 25, 2007 $3,239,554.04 + 969.86 net gain = $3,240,523.90
September 26, 2007 $3,240,523.90 + 7,260.71 net gain = $3,247,784.61
September 27, 2007 $3,247,784.61 + 54,631.47 net gain = $3,302,416.08
September 28, 2007 $3,302,416.08 + 29,393.27 net gain = $3,331,809.35
October 1, 2007 $3,331,809.35 + 26,870.56 net gain = $3,358,679.91
October 2, 2007 $3,358,679.91 + 51,324.19 net gain = $3,410,004.10
October 3, 2007 $3,410,004.10 -1,616.68 net loss = $3,408,387.42
October 4, 2007 $3,408,387.42 + 4,193.61 net gain = $3,412,581.03
October 5, 2007 $3,412,581.03 + 45,255.33 net gain = $3,457,836.36
October 8, 2007 $3,457,836.36 + 18,923.91 net gain = $3,476,760.27
October 9, 2007 $3,476,760.27 + 25,883.21 net gain = $3,502,643.48
October 10, 2007 $3,502,643.48 + 22,035.01 net gain = $3,524,678.49
October 11, 2007 $3,524,678.49 + 6,132.82 net gain = $3,530,811.31
October 12, 2007 $3,530,811.31 + 26,287.92 net gain = $3,557,099.23
October 15, 2007 $3,557,099.23 + 61,212.90 net gain = $3,618,312.13
October 16, 2007 $3,618,312.13 + 34,315.12 net gain = $3,652,627.25
October 17, 2007 $3,652,627.25 + 2,284.21 net gain = $3,654,911.46
October 18, 2007 $3,654,911.46 + 24,179.49 net gain = $3,679,090.95
October 19, 2007 $3,679,090.95

*THURSDAY'S RESULTS*
Day Trading Ideas that were expected to move "HIGHER" Thursday
Symbol OFV (Opening Fair Value) Bought, Sold at Close, results
Final reporting provided by ClearStation.com, wholly-owned by E*Trade
Long suggestions Thursday October 17 2007 sorted by Bought in descending order
Symbol Last Change %Change Volume Position Bought Value Net %Change %Total
BCE41.950.110.28%167,400.100010/18/200741,960.00150.100.35%5.94
CTXS40.54-1.22-2.92%13,326,242.100010/18/200740,550.00-1,639.89-3.88%5.74
DW42.860.060.14%102,200.100010/18/200742,860.00-19.89-0.04%6.07
GBL60.290.200.34%34,500.100010/18/200760,290.00-19.89-0.03%8.54
GSH43.06-2.15-4.76%177,000.100010/18/200743,067.50-342.39-0.78%6.10
IIF53.45-1.30-2.39%367,200.100010/18/200753,450.00-1,769.89-3.20%7.57
REGN20.63-0.33-1.57%550,752.100010/18/200720,640.00230.091.12%2.92
ANSS39.61-0.72-1.78%1,090,894.100010/18/200739,620.00330.100.84%5.61
VMSI88.320.730.84%167,673.100010/18/200788,320.001,150.101.31%12.51
CRA16.050.322.03%539,500.100010/18/200716,060.00390.092.48%2.27
FFIV43.001.884.59%2,606,161.100010/18/200743,000.002,180.105.34%6.09
IIH5.740.010.17%16,300.100010/18/20075,740.00-19.89-0.34%0.81
IEV121.51-0.05-0.04%123,000.100010/18/2007121,510.0060.100.04%17.22
IGN38.090.130.36%137,800.100010/18/200738,100.00270.100.71%5.40
MZZ50.34-0.13-0.25%376,500.100010/18/200750,350.00-289.89-0.57%7.13
Total $705,517.50 $659.01 0.09%

*THURSDAY'S RESULTS*
Day Trading Ideas that were expected to move "LOWER" Thursday
Symbol OFV (Opening Fair Value) Sold-Short, Bought-back at Close, results
Final reporting provided by ClearStation.com, wholly-owned by E*Trade
Short suggestions Thursday October 18 2007 sorted by Bought in descending order
Symbol Last Change %Change Volume Position Bought Value Net %Change %Total

No New Short Positions to Report.

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

Full disclosure:
Long/Short individual stocks and ETFs mentioned above and owned at time of writing by its author- None, Cash-at-Market Close.

Disclaimer:
The information and data contained in this site was obtained from independent research and development believed to be reliable, but accuracy is not guaranteed. Neither the information, nor any opinion expressed, constitutes a recommendation to purchase or sell a security, or to provide investment advice. Stocks and stock options involve risks and are not suitable for all investors. This site is not a solicitation of an offer to buy shares in any fund whose performance is provided in this site. Such an offer can be solicited only by a fund directly or its agent.

Dow 30 ETF (DIA) Thursday October 18 Forecast

Announcement: Exhibitor Booth 921 "This Traders Event is Free"
Sign-up today: http://lasvegastradersexpo.com/?scode=009783
Hope see you at the Traders Expo in Las Vegas November 15-18

Information provided by: http://www.mktmetrics.com/

Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 10/18/07
Last Updated: 10/17/07
10/17/07 Final Numbers
(Open) 139.98
(High) 140.18
(Low) 137.74
(Close) 138.99
(Range) 2.44

DIA Thursday Forecast
Opening Fair Value: 139.09
Today's Predicted High: 139.79
Today's Predicted Low: 138.19
Today's Proposed Range:1.60
Buy/Sell Rating: Buy (this could change today)

Market Comment:
DJIA closed -.41% below its rising 21-day moving average, vs. -.22% previously. Dow Trend continues to move lower as does the Accumulation/Distribution Trend. Dow 50-Day Net Change is positive, yet falling. Dow Outlook has broken 80% and is now at 75%, which has provided a clear signal the Stock Market will move lower.

DIA Resistance: Mean 139.44 / Intermediate 142.22 / Breakout 145.01
DIA Support: Mean 139.36 / Intermediate 136.61 / Breakdown 133.86

DIA Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 64 Down from 74
Volume Internal Strength: Negative 1.30/0.90 Up
Current Trend: Positive 3 Down from 26
Demand Factor: 88 Up from 85
Stock Volatility: 4.12 Up from -0.72

Predict DIA Upside and Downside Potential
10/17/07 12:45 Close: 138.56
Upside Potential: 140.74
Downside Potential: 137.54

Information for Extreme Trading Days
Predicted Block Trading Resistance Levels (100,000+ shares)
1. 140.49
2. 141.77
3. 142.78
4. 142.98

Predicted Block Trading Support Levels (100,000+ shares)
1. 137.38
2. 137.18
3. 136.21
4. 134.99

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 140.26
21 DAY MOVING AVERAGE = 139.44
30 DAY MOVING AVERAGE = 137.71
42 DAY MOVING AVERAGE = 136.21
50 DAY MOVING AVERAGE = 135.47
65 DAY MOVING AVERAGE = 135.50
30 WEEK MOVING AVERAGE = 133.34
200 DAY MOVING AVERAGE = 131.21

DIA Probability Percent of "Up" at the Close
DIA probability "Up%" Thursday: 48%
DIA Past 4 Thursdays: Falling 53.8% / 54.5% / 55.5% / 54.7%
DIA Trend: Falling Today Positive 3 Down from 26
DIA MACD: Falling Today, SELL as of Wednesday 10-10-07
DIA Open/Close 20-Day Trend: Open Up/Close D
*(Open/Close Trend Changed as of Thursday 10-11-07)

DJIA Probability Percent of "Up" at the Close
DJIA probability "Up%" Thursday: 54%
DJIA Trend: Falling Today 52% vs. 74%
DJIA Trend Direction: Changed "Down" from "Up" Wednesday 10-10-07
DJIA MACD: Falling Today SELL as of Wednesday 10-10-07

Subscribe to MktMetrics.com and receive the above information daily for any stock or ETF you are trading today! Market Makers have daily trading parameters, why shouldn't you?

Full disclosure:
Long/Short individual stocks mentioned above at time of writing by author? None

Please refer to:
Next Day's Advance Market Decisions "Trading Ideas" to see suggested trades for today.

Stock Market Forecast Thursday 10-18-07

Information provided by: http://www.mktmetrics.com/

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Wednesday 10-17-07 DJIA closed: 13,892.54 -20.40 vs. Prior day: 13,912.94 -71.86
DJIA 21-Day Moving Average: 13,950.26 +7.29 vs. Prior day: 13,942.97 +24.26
(DJIA closed -.41% above its rising 21-day moving average, vs. -.22% prior day)

Before the New York Stock Exchange Open
Thursday October 18 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Thursday: 54%
DIA probability of closing "Up" Thursday: 48%
DIA Past 4 Thurdays: Falling 53.8% / 54.5% / 55.5% / 54.7%
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Falling Today Up 16 vs Down 15 (-7 vs -3 prior day)
DJIA Trend: Falling Today 52% vs Yesterday 74% (High 97% / Low 0%)
Change in Trend: To "Down" from "Up" as of Wednesday, 10-10-07
DJIA MACD: Falling Today, SELL as of Wednesday, 10-10-07 (12,26 computation)
DJIA Momentum: Falling Today 65% vs Yesterday 71% (High 97% / Low 13%)
DJIA Volatility: Falling Today 1.96% vs Yesterday 0.76% (High 3.24% / Low -1.09%)
DJIA 50-Day Net Change: Falling Today +388 vs Yesterday +444 (High 1450 / Low -734)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -734 8-15-07 (today+388= 26.8% of High)

DJIA Resistance Levels: Mean= 13,950 / Intermediate Term 14,194 / Breakout 14,438
DJIA Support Levels: Mean= 13,943 / Intermediate Term 13,703 / Breakdown 13,462

Market Comment:
DJIA closed -.41% below its rising 21-day moving average, vs. -.22% previously. Dow Trend continues to move lower as does the Accumulation/Distribution Trend. Dow 50-Day Net Change is positive, yet falling. Dow Outlook has broken 80% and is now at 75%, which has provided a clear signal the Stock Market will move lower.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Falling Today -.2% vs Yesterday .4% (High .29% / Low -.24%) Mean= -.02% Closed at its Mean, Neutral and decreasing.

Institutional Money Flow: Falling Today 65% vs Yesterday 71% (High 97% / Low 6%) Mean= 52% Closed above its Mean, positive yet decreasing.

Institutional Demand: Rising Today 59.55% vs Yesterday 58.87% (High 86.84% / Low 18.65%) Mean= 52.8% Closed above its Mean, Positive and increasing.

Institutional Inventory: Falling Today 57.74% vs Yesterday 61.03% (High 81.06% / Low 25.23%) Mean= 52.2% Closed above its Mean, positive yet decreasing.

Institutional Accumulation/Distribution Trend: Falling Today .03% vs Yesterday .15% (High .35% / -.41%) Mean= -.03% Closed above its Mean, positive yet decreasing.

Outlook Statistics: Above 50% Bullish/Below 50% Bearish (Historic High/Low)

DJIA Outlook: Bullish, yet Falling Today 75% vs. Yesterday 80% (High 89% / Low 18%) Mean= 53.5% Closed above its Mean, positive yet decreasing.

Stock Market Outlook: Bullish Rising Today 83.7% vs Yesterday 79.4% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

11 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Falling Trend Today 3% vs. Yesterday 26% (High 95% / Low -59%)
SPY: Falling Trend Today 16% vs. Yesterday 42% (High 77% / Low -77%)
MDY: Falling Trend Today 17% vs. Yesterday 42% (High 91% / Low -100%)
IWM: Falling Trend Today 21% vs. Yesterday 40% (High 71% / Low -67%)
QQQQ: Rising Trend Today 38% vs. Yesterday 32% (High 54% / Low -43%)
SMH: Falling Trend Today -14% vs. Yesterday -10% (High 48% / Low -53%)
IYT: Falling Trend Today -21% vs. Yesterday -5% (High 80% / Low -73%)
IDU: Falling Trend Today -14% vs. Yesterday -3% (High 80% / Low -68%)
XLE: Falling Trend Today 26% vs. Yesterday 47% (High 70% / Low -55%)
XLF: Falling Trend Today -4% vs. Yesterday 9% (High 45% / Low -39%)
IAI: Falling Trend Today 7% vs. Yesterday 27% (High 54% / Low -69%)

Stock Market Plurality:
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Rising Trend Today 62 vs. Yesterday 42 (High 367 / Low 4)
Demand Factor "0": Rising Trend Today 84 vs. Yesterday 76 (High 210 / Low 7)

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Gale Financial Market Econometrics, Inc.
http://www.mktmetrics.com/
Next Day's Advance Market Decisions:
"Not always right, just very seldom wrong."

Wednesday, October 17, 2007

Stock Trading Ideas For Thursday October 18

Information provided by: http://www.mktmetrics.com/

Stocks expected to move "HIGHER" Thursday
Buy-Long Day Trading Ideas suggested for October 18 2007
Symbol OFV (Opening Fair Value)
1. ANSS OFV: 39.27
2. BCE OFV: 41.79
3. CRA OFV: 15.65
4. CTXS OFV: 42.17
5. DW OFV: 42.86
6. FFIV OFV: 40.80
7. GBL OFV: 60.29
8. GSH OFV: 43.39
9. IEV OFV: 121.43
10. IGN OFV: 37.81
11. IIF OFV: 55.20
12. IIH OFV: 5.74
13. MZZ OFV: 50.62
14. REGN OFV: 20.39
15. VMSI OFV: 87.15

Stocks expected to move "LOWER" Thursday
Sell-Short Day Trading Ideas suggested for October 18 2007
Symbol OFV (Opening Fair Value)
DOWN
ACV
AKAM
AMLN
ANF
APD
APH
AVP
AZN
BA
BC
BJ
BSC
BSX
CASY
COHU
CR
CSCO
CTS
DDM
DE
DGX
DIA
DIS
DTE
DUK
EMN
EWN
FCX
FDX
FE
GR
HGSI
HON
HOT
HOTT
HPC
HST
HW
HXM
IBN
IGT
IYM
JASO
JNJ
JPM
KBR
KDN
KSS
LEH
LNC
LTD
MAT
MBI
MLNM
MMS
MNI
MRO
NBR
NDN
NEM
NWL
OI
OSK
PAAS
PCAR
PCG
PCLN
PFGC
PGR
POT
PX
QSFT
REXI
RSCR
RTI
RYL
SAFT
SBGI
SGR
SHLM
SIAL
SLV
SOHU
SPLS
SWH
SWS
SWY
SYK
T
TBL
TIN
TKLC
TLM
TNL
TNP
TRID
TROW
TSO
USM
UTX
VTIV
WEN
WRE
WY
XLF
XME

Today's Portfolio Performance
Wednesday October 17 2007

(Long) 13 positions up out of 19 (68.4% accurate)
Current Value $883,560.00
Gross Gain $940.00
Wednesday October 17 2007
(Short) 16 positions down out of 23 (69.6% accurate)
Current Value $960,430.00
Gross Gain $2,179.99

Wednesday's Net After Commissions Trade Totals:
$561.91 Net Gain from Positive suggestions (Buy-Long),
plus,
$1,722.30 Net Gain from Negative suggestions (Sell-Short)

Combined Strategies Total: $2,284.21 Net Gain Wednesday

$2,000,000.00 Principal Amount TRADE MODEL Start Date: 7-12-07
Portfolio Day Trade Disciplines:
*1,000 shares per trade, always hedged
*Buy at OFV, Sell at Market Close
*Sell-Short at OFV, Buy-back at Market Close
*Costs: $9.95 X 2= $19.90 for each 1000 shares round trip (open/close)

Trade Date / Beginning / Gain or Loss / Net Account Value
July 12, 2007 $2,000,000.00 + 36,273.72 net gain = $2,036,273.72
July 13, 2007 $2,036,273.72 <- 400.00> net loss = $2,035,873.72
July 16, 2007 $2,035,873.72 + 4,834.41 net gain = $2,040,708.13
July 17, 2007 $2,040,708.13 + 12,114.31 net gain = $2,052,822.44
July 18, 2007 $2,052,822.44 + 12,566.53 net gain = $2,065,388.97
July 19, 2007 $2,065,388.97 + 16,165.04 net gain = $2,081,554.01
July 20, 2007 $2,081,554.01 + 18,765.38 net gain = $2,100,319.39
July 23, 2007 $2,100,319.39 + 5,060.01 net gain = $2,105,379.40
July 24, 2007 $2,105,379.40 + 56,062.01 net gain = $2,161,441.41
July 25, 2007 $2,161,441.41 + 11,938.12 net gain = $2,173,379.53
July 26, 2007 $2,173,379.53 + <1,440.00> net loss = $2,171,939.53
July 27, 2007 $2,171,939.53 + 6,410.09 net gain = $2,178,349.62
July 30, 2007 $2,178,349.62 + 8,501.51 net gain = $2,186,851.13
July 31, 2007 $2,186,851.13 + 10,641.09 net gain = $2,197,492.22
August 1, 2007 $2,197,492.22 + 46,410.00 net gain = $2,243,902.22
August 2, 2007 $2,243,902.22 + 20,543.23 net gain = $2,264,445.45
August 3, 2007 $2,264,445.45 + 4,935.81 net gain = $2,269,381.26
August 6, 2007 $2,269,381.26 + -1,298.78 net loss = $2,268,082.48
August 7, 2007 $2,268,082.48 + 31,239.89 net gain = $2,299,322.37
August 8, 2007 $2,299,322.37 + 56,444.32 net gain = $2,355,766.69
August 9, 2007 $2,355,766.69 + 11,620.90 net gain = $2,367,387.59
August 10, 2007 $2,367,387.59 + 3,551.41 net gain = $2,370,939.00
August 13, 2007 $2,370,939.00 + 56,028.35 net gain = $2,426,967.35
August 14, 2007 $2,426,967.35 + 81,737.06 net gain = $2,508,704.41
August 15, 2007 $2,508,704.41 + 7,240.60 net gain = $2,515,945.01
August 16, 2007 $2,515,945.01 + 20,124.54 net gain = $2,536,069.55
August 17, 2007 $2,536,069.55 + 120,505.45 net gain = $2,656,575.00
August 20, 2007 $2,656,575.00 + 18,145.54 net gain = $2,674,720.54
August 21, 2007 $2,674,720.54 + 5,287.14 net gain = $2,680,007.68
August 22, 2007 $2,680,007.68 + 49,666.04 net gain = $2,729,673.72
August 23, 2007 $2,729,673.72 + 20,297.53 net gain = $2,749,971.25
August 24, 2007 $2,749,971.25 + <$7,103.54> net loss = $2,742,867.71
September 5, 2007 $2,742,867.71 + 7,699.66 net gain = $2,750,567.37
September 6, 2007 $2,750,567.37 + 38,502.56 net gain = $2,789,069.93
September 7, 2007 $2,789,069.93 + 60,897.48 net gain = $2,849,967.41
September 10, 2007 $2,849,967.41 + 23,848.54 net gain = $2,873,815.95
September 11, 2007 $2,873,815.95 + 43,525.83 net gain = $2,917,341.78
September 12, 2007 $2,917,341.78 + 17,988.44 net gain = $2,935,330.22
September 13, 2007 $2,935,330.22 + 4,946.55 net gain = $2,940,276.77
September 14, 2007 $2,940,276.77 + 21,098.50 net gain = $2,961,375.27
September 17, 2007 $2,961,375.27 + 22,380.87 net gain = $2,983,756.14
September 18, 2007 $2,983,756.14 + 83,767.93 net gain = $3,067,524.07
September 19, 2007 $3,067,524.07 + 62,188.17 net gain = $3,129,712.24
September 20, 2007 $3,129,712.24 + 18,534.72 net gain = $3,148,246.96
September 21, 2007 $3,148,246.96 + 15,505.13 net gain = $3,163,752.09
September 24, 2007 $3,163,752.09 + 75,801.95 net gain = $3,239,554.04
September 25, 2007 $3,239,554.04 + 969.86 net gain = $3,240,523.90
September 26, 2007 $3,240,523.90 + 7,260.71 net gain = $3,247,784.61
September 27, 2007 $3,247,784.61 + 54,631.47 net gain = $3,302,416.08
September 28, 2007 $3,302,416.08 + 29,393.27 net gain = $3,331,809.35
October 1, 2007 $3,331,809.35 + 26,870.56 net gain = $3,358,679.91
October 2, 2007 $3,358,679.91 + 51,324.19 net gain = $3,410,004.10
October 3, 2007 $3,410,004.10 -1,616.68 net loss = $3,408,387.42
October 4, 2007 $3,408,387.42 + 4,193.61 net gain = $3,412,581.03
October 5, 2007 $3,412,581.03 + 45,255.33 net gain = $3,457,836.36
October 8, 2007 $3,457,836.36 + 18,923.91 net gain = $3,476,760.27
October 9, 2007 $3,476,760.27 + 25,883.21 net gain = $3,502,643.48
October 10, 2007 $3,502,643.48 + 22,035.01 net gain = $3,524,678.49
October 11, 2007 $3,524,678.49 + 6,132.82 net gain = $3,530,811.31
October 12, 2007 $3,530,811.31 + 26,287.92 net gain = $3,557,099.23
October 15, 2007 $3,557,099.23 + 61,212.90 net gain = $3,618,312.13
October 16, 2007 $3,618,312.13 + 34,315.12 net gain = $3,652,627.25
October 17, 2007 $3,652,627.25 + 2,284.21 net gain = $3,654,911.46
October 18, 2007 $3,654,911.46

*WEDNESDAY'S RESULTS*
Day Trading Ideas that were expected to move "HIGHER" Wednesday
Symbol OFV (Opening Fair Value) Bought, Sold at Close, results
Final reporting provided by ClearStation.com, wholly-owned by E*Trade
Long suggestions Wednesday October 17 2007 sorted by Bought in descending order
Symbol Last Change %Change Volume Position Bought Value Net %Change %Total
ATMI33.500.702.13%685,987.100010/17/200733,500.00980.093.01%1.81
BOBJ58.700.290.49%714,769.100010/17/200758,700.00240.100.41%3.18
CCU37.930.270.74%7,628,600.100010/17/200737,930.00180.100.47%2.05
IBM115.77-3.82-3.19%18,099,700.100010/17/2007115,780.00-2,979.89-2.50%6.27
IGT42.910.310.72%1,706,900.100010/17/200742,910.00300.100.70%2.32
MGAM8.99-0.32-3.43%280,212.100010/17/20078,990.00-389.90-4.15%0.48
NOC80.410.110.13%1,675,300.100010/17/200780,410.00670.100.84%4.36
OSIP37.150.461.25%1,034,139.100010/17/200737,150.001,000.102.76%2.01
PAAS29.70-0.52-1.75%802,519.100010/17/200729,700.00-679.90-2.23%1.61
PBI46.360.340.76%932,500.100010/17/200746,370.00650.101.42%2.51
POT109.73-1.88-1.69%3,802,760.100010/17/2007109,730.00260.100.23%5.95
SBGI12.900.191.49%697,124.100010/17/200712,900.00150.091.17%0.69
WEN34.270.000.00%666,600.100010/17/200734,270.0020.100.05%1.85
SYK72.19-0.07-0.11%1,278,000.100010/17/200772,190.00-89.89-0.12%3.91
AM26.920.050.22%432,500.100010/17/200726,920.00260.090.97%1.45
CRA15.740.493.21%569,800.100010/17/200715,740.00460.093.01%0.85
CEN35.580.080.22%1,310,900.100010/17/200735,580.00120.100.33%1.92
OSK60.33-0.17-0.29%410,700.100010/17/200760,330.00-189.89-0.31%3.27
GLNG24.45-0.56-2.23%582,574.100010/17/200724,460.00-399.90-1.60%1.32
Total $883,560.00 $561.91 0.06%

*WEDNESDAY'S RESULTS*
Day Trading Ideas that were expected to move "LOWER" Wednesday
Symbol OFV (Opening Fair Value) Sold-Short, Bought-back at Close, results
Final reporting provided by ClearStation.com, wholly-owned by E*Trade
Short suggestions Wednesday October 17 2007 sorted by Bought in descending order
Symbol Last Change %Change Volume Position Bought Value Net %Change %Total
ADCT19.380.361.94%2,138,006.100010/17/200719,390.00-219.90-1.14%1.05
MPS11.70-0.04-0.34%457,400.100010/17/200711,700.00110.090.93%0.63
C44.66-0.13-0.29%114,534,336.100010/17/200744,660.00740.101.63%2.42
COF66.90-0.08-0.13%3,380,300.100010/17/200766,900.00800.101.18%3.62
GBCI20.29-0.65-3.10%521,497.100010/17/200720,300.001,160.095.40%1.10
GCI43.540.040.11%2,252,400.100010/17/200743,550.0070.100.16%2.36
GSH45.225.4513.72%249,200.100010/17/200745,220.00-5,039.89-12.54%2.45
HBAN16.95-0.01-0.05%3,220,444.100010/17/200716,960.00450.092.58%0.91
JOSB32.36-1.11-3.31%545,600.100010/17/200732,360.001,360.104.03%1.75
KLIC8.150.121.49%1,076,014.100010/17/20078,150.0020.090.24%0.44
LLTC33.95-0.85-2.44%11,120,502.100010/17/200733,960.00800.102.30%1.84
RBC50.02-0.25-0.49%381,500.100010/17/200750,020.00750.101.47%2.71
SBIB11.23-0.11-0.97%864,564.100010/17/200711,230.00340.092.93%0.60
TRMK27.12-0.07-0.25%262,437.100010/17/200727,130.00400.091.45%1.47
RX29.550.190.68%832,500.100010/17/200729,560.00-29.90-0.10%1.60
LPNT28.37-0.06-0.21%849,599.100010/17/200728,380.00400.091.39%1.53
DNA74.52-0.51-0.67%3,983,700.100010/17/200774,530.00890.101.18%4.04
BBH178.88-0.04-0.02%127,800.100010/17/2007178,880.00760.090.42%9.70
AET53.740.841.58%1,789,100.100010/17/200753,740.00-909.89-1.72%2.91
IGW68.471.251.85%244,100.100010/17/200768,470.00-969.89-1.43%3.71
MDTH28.800.351.26%191,873.100010/17/200728,810.00-89.90-0.31%1.56
ABC44.680.030.08%1,035,900.100010/17/200744,690.0070.100.15%2.42
CDNS21.840.150.69%1,809,009.100010/17/200721,840.00-139.90-0.64%1.18
Total $960,430.00 $1,722.30 0.17%

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

Full disclosure:
Long/Short individual stocks and ETFs mentioned above and owned at time of writing by its author- None, Cash-at-Market Close.

Disclaimer:
The information and data contained in this site was obtained from independent research and development believed to be reliable, but accuracy is not guaranteed. Neither the information, nor any opinion expressed, constitutes a recommendation to purchase or sell a security, or to provide investment advice. Stocks and stock options involve risks and are not suitable for all investors. This site is not a solicitation of an offer to buy shares in any fund whose performance is provided in this site. Such an offer can be solicited only by a fund directly or its agent.

Dow 30 ETF (DIA) Wednesday October 17 Forecast

Announcement: Exhibitor Booth 921 "This Traders Event is Free"
Sign-up today: http://lasvegastradersexpo.com/?scode=009783
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Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 10/17/07
Last Updated: 10/16/07
10/16/07 Final Numbers
(Open) 139.55
(High) 139.65
(Low) 138.73
(Close) 139.08
(Range) 0.92

DIA Wednesday Forecast
Opening Fair Value: 139.22
Today's Predicted High: 139.95
Today's Predicted Low: 138.21
Today's Proposed Range: 1.74
Buy/Sell Rating: Buy

Market Comment:
DJIA closed -.22% above its rising 21-day moving average, vs. .47% previously. Dow Trend changed course "Down" Wednesday 10-10. Dow 50-Day Net Change is positive, yet falling. The Dow Accumulation/Distribution Trend peaked on 10-10. Dow Outlook is perched at 80% and should this reading fall below 80%, it will be a clear signal the Stock Market will move lower.

DIA Resistance: Mean 139.36 / Intermediate 142.14 / Breakout 144.93
DIA Support: Mean 139.12 / Intermediate 136.45 / Breakdown 133.78

DIA Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 74 Down from 81
Volume Internal Strength: Negative 0.90/0.75 Up
Current Trend: Positive 26 Down from 27
Demand Factor: 85 Down from 87
Stock Volatility: -0.72 Down from 4.12

Predict DIA Upside and Downside Potential
10/16/07 12:45 Close: 139.21
Upside Potential: 140.74
Downside Potential: 137.26

Information for Extreme Trading Days
Predicted Block Trading Resistance Levels (100,000+ shares)
1. 141.50
2. 141.86
3. 142.34
4. 142.44

Predicted Block Trading Support Levels (100,000+ shares)
1. 136.86
2. 136.76
3. 136.30
4. 135.96

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 140.46
21 DAY MOVING AVERAGE = 139.36
30 DAY MOVING AVERAGE = 137.51
42 DAY MOVING AVERAGE = 136.01
50 DAY MOVING AVERAGE = 135.39
65 DAY MOVING AVERAGE = 135.51
30 WEEK MOVING AVERAGE = 133.23
200 DAY MOVING AVERAGE = 131.14

DIA Probability Percent of "Up" at the Close
DIA probability "Up%" Wednesday: 74%
DIA Past 4 Wednesdays: Falling 74.50% / 77.7% / 79.2% / 78.8%
(Higher opening and higher closing from opening is greatest for Wednesday)
DIA Trend: Falling Today Positive 26 Down from 27
DIA MACD: Falling Today, SELL as of Wednesday 10-10-07
DIA Open/Close 20-Day Trend: Open Up/Close ?
*(Open/Close Trend Changed as of Thursday 10-11-07)

DJIA Probability Percent of "Up" at the Close
DJIA probability "Up%" Wednesday: 48%
DJIA Trend: Falling Today 74% vs. 84%
DJIA Trend Direction: Changed "Down" from "Up" Wednesday 10-10-07
DJIA MACD: Falling Today SELL as of Wednesday 10-10-07

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Full disclosure:
Long/Short individual stocks mentioned above at time of writing by author? None

Please refer to:
Next Day's Advance Market Decisions "Trading Ideas" to see suggested trades for today.

Stock Market Forecast Wednesday 10-17-07

Information provided by: http://www.mktmetrics.com/

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Tuesday 10-16-07 DJIA closed: 13,912.94 -71.86 vs. Prior day: 13,984.80 -108.28
DJIA 21-Day Moving Average: 13,942.97 +24.26 vs. Prior day: 13,918.71 +25.82
(DJIA closed -.22% above its rising 21-day moving average, vs. .47% prior day)

Before the New York Stock Exchange Open
Wednesday October 17 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Wednesday: 48%
DIA probability of closing "Up" Wednesday: 74%
DIA Past 4 Wednesdays: Falling 74.50% / 77.7% / 79.2% / 78.8%
(Higher opening and higher closing from opening is greatest for Wednesday)
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Falling Today Up 23 vs Down 8 (-3 vs -1 prior day)
DJIA Trend: Falling Today 74% vs Yesterday 84% (High 97% / Low 0%)
Change in Trend: To "Down" from "Up" as of Wednesday, 10-10-07
DJIA MACD: Falling Today, SELL as of Wednesday, 10-10-07 (12,26 computation)
DJIA Momentum: Falling Today 71% vs Yesterday 74% (High 97% / Low 13%)
DJIA Volatility: Falling Today 0.76% vs Yesterday 1.81% (High 3.24% / Low -1.09%)
DJIA 50-Day Net Change: Falling Today +444 vs Yesterday +803 (High 1450 / Low -734)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -734 8-15-07 (today+444= 30.6% of High)

DJIA Resistance Levels: Mean= 13,943 / Intermediate Term 14,187 / Breakout 14,431
DJIA Support Levels: Mean= 13,919 / Intermediate Term 13,687 / Breakdown 13,455

Market Comment:
DJIA closed -.22% above its rising 21-day moving average, vs. .47% previously. Dow Trend changed course "Down" Wednesday 10-10. Dow 50-Day Net Change is positive, yet falling. The Dow Accumulation/Distribution Trend peaked on 10-10. Dow Outlook is perched at 80% and should this reading fall below 80%, it will be a clear signal the Stock Market will move lower.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Unch Today .4% vs Yesterday .4% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, positive yet flat.

Institutional Money Flow: Falling Today 71% vs Yesterday 84% (High 97% / Low 6%) Mean= 52% Closed above its Mean, positive yet decreasing.

Institutional Demand: Falling Today 58.87% vs Yesterday 62.32% (High 86.84% / Low 18.65%) Mean= 52.8% Closed above its Mean, positive yet decreasing.

Institutional Inventory: Falling Today 61.03% vs Yesterday 65.81% (High 81.06% / Low 25.23%) Mean= 52.2% Closed above its Mean, positive yet decreasing.

Institutional Accumulation/Distribution Trend: Falling Today .15% vs Yesterday .17% (High .35% / -.41%) Mean= -.03% Closed above its Mean, positive yet decreasing.

Outlook Statistics: Above 50% Bullish/Below 50% Bearish (Historic High/Low)

DJIA Outlook: Bullish, yet Falling Today 80% vs. Yesterday 82% (High 89% / Low 18%) Mean= 53.5% Closed above its Mean, positive yet decreasing.

Stock Market Outlook: Bullish, yet Falling Today 79.4% vs Yesterday 86.3% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

11 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Falling Trend Today 26% vs. Yesterday 27% (High 95% / Low -59%)
SPY: Falling Trend Today 42% vs. Yesterday 46% (High 77% / Low -77%)
MDY: Falling Trend Today 42% vs. Yesterday 48% (High 91% / Low -100%)
IWM: Falling Trend Today 40% vs. Yesterday 42% (High 71% / Low -67%)
QQQQ: Falling Trend Today 32% vs. Yesterday 36% (High 54% / Low -43%)
SMH: Falling Trend Today -10% vs. Yesterday -7% (High 48% / Low -53%)
IYT: Falling Trend Today -5% vs. Yesterday -3% (High 80% / Low -73%)
IDU: Falling Trend Today -3% vs. Yesterday -2% (High 80% / Low -68%)
XLE: Rising Trend Today 47% vs. Yesterday 46% (High 70% / Low -55%)
XLF: Falling Trend Today 9% vs. Yesterday 18% (High 45% / Low -39%)
IAI: Rising Trend Today 27% vs. Yesterday 26% (High 54% / Low -69%)

Stock Market Plurality:
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Rising Trend Today 42 vs. Yesterday 40 (High 367 / Low 4)
Demand Factor "0": Rising Trend Today 76 vs. Yesterday 54 (High 210 / Low 7)

Information provided by http://www.mktmetrics.com/
A Marketing Alliance with Schwab ActiveTrader
A Strategic Collaboration with TigerSoft.com
http://www.tigersoft.com/DG/TigerSoft-Blog.htm is a great daily read.

Douglas Gale, President (jdg8119@gmail.com)
Gale Financial Market Econometrics, Inc.http://www.mktmetrics.com/
Next Day's Advance Market Decisions:
"Not always right, just very seldom wrong."

Tuesday, October 16, 2007

Stock Trading Ideas For Wednesday October 17

Information provided by: http://www.mktmetrics.com/

Stocks expected to move "HIGHER" Wednesday
Buy-Long Day Trading Ideas suggested for October 17 2007
Symbol OFV (Opening Fair Value)
1. AM OFV: 26.64
2. ATMI OFV: 32.50
3. BOBJ OFV: 58.44
4. CCU OFV: 37.73
5. CEN OFV: 35.44
6. CRA OFV: 15.26
7. GLNG OFV: 24.84
8. IBM OFV: 118.74
9. IGT OFV: 42.59
10. MGAM OFV: 9.36
11. NOC OFV: 79.72
12. OSIP OFV: 36.13
13. OSK OFV: 60.50
14. PAAS OFV: 30.36
15. PBI OFV: 45.70
16. POT OFV: 109.45
17. SBGI OFV: 12.73
18. SYK OFV: 72.26
19. WEN OFV: 34.23

Stocks expected to move "LOWER" Wednesday
Sell-Short Day Trading Ideas suggested for October 17 2007
Symbol OFV (Opening Fair Value)
1. ABC OFV: 44.78
2. ADCT OFV: 19.19
3. AET OFV: 52.85
4. BBH OFV: 179.66
5. C OFV: 45.42
6. CDNS OFV: 21.72
7. COF OFV: 67.72
8. DNA OFV: 75.44
9. GBCI OFV: 21.48
10. GCI OFV: 43.64
11. GSH OFV: 40.20
12. HBAN OFV: 17.43
13. IGW OFV: 67.52
14. JOSB OFV: 33.74
15. KLIC OFV: 8.19
16. LLTC OFV: 34.78
17. LPNT OFV: 28.80
18. MDTH OFV: 28.74
19. MPS OFV: 11.83
20. RBC OFV: 50.79
21. RX OFV: 29.55
22. SBIB OFV: 11.59
23. TRMK OFV: 27.55

Today's Portfolio Performance
Tuesday October 16 2007
(Long) 23 positions up out of 40 (57.5% accurate)
Current Value $2,089,446.00
Gross Gain $2,645.99
Tuesday October 16 2007
(Short) 43 positions down out of 51 (84.3% accurate)
Current Value $1,944,430.00
Gross Gain $33,480.00

Tuesday's Net After Commissions Trade Totals:
$1,850.02 Net Gain from Positive suggestions (Buy-Long),
plus,
$32,465.10 Net Gain from Negative suggestions (Sell-Short)

Combined Strategies Total: $34,315.12 Net Gain Tuesday

$2,000,000.00 Principal Amount TRADE MODEL Start Date: 7-12-07
Portfolio Day Trade Disciplines:
*1,000 shares per trade, always hedged
*Buy at OFV, Sell at Market Close
*Sell-Short at OFV, Buy-back at Market Close
*Costs: $9.95 X 2= $19.90 for each 1000 shares round trip (open/close)

Trade Date / Beginning / Gain or Loss / Net Account Value
July 12, 2007 $2,000,000.00 + 36,273.72 net gain = $2,036,273.72
July 13, 2007 $2,036,273.72 <- 400.00> net loss = $2,035,873.72
July 16, 2007 $2,035,873.72 + 4,834.41 net gain = $2,040,708.13
July 17, 2007 $2,040,708.13 + 12,114.31 net gain = $2,052,822.44
July 18, 2007 $2,052,822.44 + 12,566.53 net gain = $2,065,388.97
July 19, 2007 $2,065,388.97 + 16,165.04 net gain = $2,081,554.01
July 20, 2007 $2,081,554.01 + 18,765.38 net gain = $2,100,319.39
July 23, 2007 $2,100,319.39 + 5,060.01 net gain = $2,105,379.40
July 24, 2007 $2,105,379.40 + 56,062.01 net gain = $2,161,441.41
July 25, 2007 $2,161,441.41 + 11,938.12 net gain = $2,173,379.53
July 26, 2007 $2,173,379.53 + <1,440.00> net loss = $2,171,939.53
July 27, 2007 $2,171,939.53 + 6,410.09 net gain = $2,178,349.62
July 30, 2007 $2,178,349.62 + 8,501.51 net gain = $2,186,851.13
July 31, 2007 $2,186,851.13 + 10,641.09 net gain = $2,197,492.22
August 1, 2007 $2,197,492.22 + 46,410.00 net gain = $2,243,902.22
August 2, 2007 $2,243,902.22 + 20,543.23 net gain = $2,264,445.45
August 3, 2007 $2,264,445.45 + 4,935.81 net gain = $2,269,381.26
August 6, 2007 $2,269,381.26 + -1,298.78 net loss = $2,268,082.48
August 7, 2007 $2,268,082.48 + 31,239.89 net gain = $2,299,322.37
August 8, 2007 $2,299,322.37 + 56,444.32 net gain = $2,355,766.69
August 9, 2007 $2,355,766.69 + 11,620.90 net gain = $2,367,387.59
August 10, 2007 $2,367,387.59 + 3,551.41 net gain = $2,370,939.00
August 13, 2007 $2,370,939.00 + 56,028.35 net gain = $2,426,967.35
August 14, 2007 $2,426,967.35 + 81,737.06 net gain = $2,508,704.41
August 15, 2007 $2,508,704.41 + 7,240.60 net gain = $2,515,945.01
August 16, 2007 $2,515,945.01 + 20,124.54 net gain = $2,536,069.55
August 17, 2007 $2,536,069.55 + 120,505.45 net gain = $2,656,575.00
August 20, 2007 $2,656,575.00 + 18,145.54 net gain = $2,674,720.54
August 21, 2007 $2,674,720.54 + 5,287.14 net gain = $2,680,007.68
August 22, 2007 $2,680,007.68 + 49,666.04 net gain = $2,729,673.72
August 23, 2007 $2,729,673.72 + 20,297.53 net gain = $2,749,971.25
August 24, 2007 $2,749,971.25 + <$7,103.54> net loss = $2,742,867.71
September 5, 2007 $2,742,867.71 + 7,699.66 net gain = $2,750,567.37
September 6, 2007 $2,750,567.37 + 38,502.56 net gain = $2,789,069.93
September 7, 2007 $2,789,069.93 + 60,897.48 net gain = $2,849,967.41
September 10, 2007 $2,849,967.41 + 23,848.54 net gain = $2,873,815.95
September 11, 2007 $2,873,815.95 + 43,525.83 net gain = $2,917,341.78
September 12, 2007 $2,917,341.78 + 17,988.44 net gain = $2,935,330.22
September 13, 2007 $2,935,330.22 + 4,946.55 net gain = $2,940,276.77
September 14, 2007 $2,940,276.77 + 21,098.50 net gain = $2,961,375.27
September 17, 2007 $2,961,375.27 + 22,380.87 net gain = $2,983,756.14
September 18, 2007 $2,983,756.14 + 83,767.93 net gain = $3,067,524.07
September 19, 2007 $3,067,524.07 + 62,188.17 net gain = $3,129,712.24
September 20, 2007 $3,129,712.24 + 18,534.72 net gain = $3,148,246.96
September 21, 2007 $3,148,246.96 + 15,505.13 net gain = $3,163,752.09
September 24, 2007 $3,163,752.09 + 75,801.95 net gain = $3,239,554.04
September 25, 2007 $3,239,554.04 + 969.86 net gain = $3,240,523.90
September 26, 2007 $3,240,523.90 + 7,260.71 net gain = $3,247,784.61
September 27, 2007 $3,247,784.61 + 54,631.47 net gain = $3,302,416.08
September 28, 2007 $3,302,416.08 + 29,393.27 net gain = $3,331,809.35
October 1, 2007 $3,331,809.35 + 26,870.56 net gain = $3,358,679.91
October 2, 2007 $3,358,679.91 + 51,324.19 net gain = $3,410,004.10
October 3, 2007 $3,410,004.10 -1,616.68 net loss = $3,408,387.42
October 4, 2007 $3,408,387.42 + 4,193.61 net gain = $3,412,581.03
October 5, 2007 $3,412,581.03 + 45,255.33 net gain = $3,457,836.36
October 8, 2007 $3,457,836.36 + 18,923.91 net gain = $3,476,760.27
October 9, 2007 $3,476,760.27 + 25,883.21 net gain = $3,502,643.48
October 10, 2007 $3,502,643.48 + 22,035.01 net gain = $3,524,678.49
October 11, 2007 $3,524,678.49 + 6,132.82 net gain = $3,530,811.31
October 12, 2007 $3,530,811.31 + 26,287.92 net gain = $3,557,099.23
October 15, 2007 $3,557,099.23 + 61,212.90 net gain = $3,618,312.13
October 16, 2007 $3,618,312.13 + 34,315.12 net gain = $3,652,627.25
October 17, 2007 $3,652,627.25

*TUESDAY'S RESULTS*
Day Trading Ideas that were expected to move "HIGHER" Tuesday
Symbol OFV (Opening Fair Value) Bought, Sold at Close, results
Final reporting provided by ClearStation.com, wholly-owned by E*Trade
Long suggestions Tuesday October 16 2007 sorted by Bought in descending order
Symbol Last Change %Change Volume Position Bought Value Net %Change %Total
AAPL169.582.601.55%37,972,204.100010/16/2007169,580.002,790.091.67%4.20
AG52.56-1.48-2.75%1,660,200.100010/16/200752,560.00-1,139.89-2.12%1.30
AMN102.38-0.29-0.28%74,000.100010/16/2007102,390.00340.100.33%2.53
APOL66.791.091.65%2,427,145.100010/16/200766,790.001,290.091.96%1.65
BPT77.830.500.64%118,300.100010/16/200777,830.001,310.101.71%1.92
CEF9.96-0.16-1.58%346,450.100010/16/20079,960.00-139.90-1.38%0.24
CHK37.75-0.04-0.10%6,015,000.100010/16/200737,750.0020.100.05%0.93
ENZN9.10-0.00-0.10%564,571.100010/16/20079,100.00-9.90-0.10%0.22
MEE26.80-0.34-1.25%1,616,000.100010/16/200726,810.00-299.90-1.10%0.66
GE40.77-0.04-0.12%35,265,268.100010/16/200740,770.0030.100.07%1.01
IIF53.02-3.68-6.50%695,400.100010/16/200753,020.00-3,679.89-6.49%1.31
ITW58.61-0.91-1.52%2,654,800.100010/16/200758,610.00-849.89-1.42%1.45
JKHY27.79-0.34-1.20%339,770.100010/16/200727,800.00-329.90-1.17%0.68
KGC16.55-0.60-3.49%5,394,800.100010/16/200716,560.00-389.90-2.30%0.41
MENT15.660.070.44%1,192,394.100010/16/200715,660.00140.090.90%0.38
MO70.730.360.52%11,805,629.100010/16/200770,740.00540.100.76%1.75
MOT19.16-0.18-0.93%24,114,776.100010/16/200719,160.00-159.90-0.82%0.47
NATI35.00-0.09-0.28%241,025.100010/16/200735,000.0010.100.02%0.86
PEO42.210.170.41%22,700.100010/16/200742,216.00426.101.01%1.04
SNPS28.34-0.13-0.49%1,009,222.100010/16/200728,340.00-149.90-0.52%0.70
SSS48.70-0.70-1.43%94,200.100010/16/200748,710.00-819.89-1.65%1.20
TEK37.73-0.11-0.31%6,939,200.100010/16/200737,730.00-29.89-0.07%0.93
TXT63.50-0.69-1.09%1,423,700.100010/16/200763,500.00-649.89-1.01%1.57
TYL14.520.080.55%208,700.100010/16/200714,520.00180.091.25%0.35
USO66.981.091.65%3,998,300.100010/16/200766,980.001,540.102.35%1.66
XOM94.73-0.08-0.08%21,922,984.100010/16/200794,740.00100.100.10%2.34
SLGN57.160.180.31%163,893.100010/16/200757,160.00240.100.42%1.41
PXD48.730.450.95%1,317,500.100010/16/200748,730.00480.100.99%1.20
BRCM42.380.661.58%13,027,500.100010/16/200742,380.001,350.103.29%1.05
TBSI63.972.203.56%2,613,555.100010/16/200763,970.004,700.107.92%1.58
XLI40.82-0.18-0.43%4,872,856.100010/16/200740,820.00-259.89-0.63%1.01
SY25.77-0.35-1.33%1,993,000.100010/16/200725,770.00-219.90-0.84%0.63
LWSN10.26-0.03-0.29%2,043,712.100010/16/200710,260.0040.090.39%0.25
STX26.45-0.43-1.63%7,609,700.100010/16/200726,450.00-389.90-1.45%0.65
GLD75.12-0.01-0.02%6,622,900.100010/16/200775,120.00210.100.28%1.86
ISE66.66-0.13-0.20%173,000.100010/16/200766,660.00-109.89-0.16%1.65
DRYS118.50-8.26-6.52%8,034,374.100010/16/2007118,500.00-6,119.89-4.91%2.93
IAU75.18-0.02-0.03%126,100.100010/16/200775,180.00100.100.13%1.86
CMG122.981.120.92%346,400.100010/16/2007122,990.001,580.101.30%3.04
DBC28.620.020.10%290,400.100010/16/200728,630.00180.090.63%0.70
Total $2,089,446.00 $1,850.02 0.08%

*TUESDAY'S RESULTS*
Day Trading Ideas that were expected to move "LOWER" Tuesday
Symbol OFV (Opening Fair Value) Sold-Short, Bought-back at Close, results
Final reporting provided by ClearStation.com, wholly-owned by E*Trade
Short suggestions Tuesday October 16 2007 sorted by Bought in descending order
Symbol Last Change %Change Volume Position Bought Value Net %Change %Total
ADI35.79-0.29-0.83%2,765,800.100010/16/200735,790.00480.101.32%0.88
APSG14.42-0.22-1.50%29,658.100010/16/200714,420.00260.091.77%0.35
AVY54.11-0.79-1.45%651,500.100010/16/200754,120.00940.101.70%1.34
BRKS13.66-0.07-0.50%399,037.100010/16/200713,660.00240.091.72%0.33
CAS30.54-1.25-3.93%143,100.100010/16/200730,540.001,880.095.79%0.75
CATY30.79-0.87-2.77%310,660.100010/16/200730,790.001,220.093.81%0.76
CCBL10.94-0.06-0.54%1,417,822.100010/16/200710,940.00310.092.75%0.27
CLDN10.180.161.59%181,269.100010/16/200710,180.00220.092.11%0.25
CMA50.04-1.86-3.58%2,673,500.100010/16/200750,050.002,090.104.00%1.24
CSGS20.24-0.80-3.84%826,342.100010/16/200720,240.00950.094.48%0.50
CYN68.33-0.12-0.17%595,800.100010/16/200768,340.00800.101.15%1.69
EFX36.770.300.85%852,200.100010/16/200736,780.00180.100.48%0.91
ESIO23.38-0.05-0.21%140,064.100010/16/200723,390.00160.090.67%0.57
FITB31.12-1.51-4.62%8,225,802.100010/16/200731,130.001,750.105.32%0.77
FRE57.61-1.38-2.33%3,294,400.100010/16/200757,620.002,230.103.72%1.42
GLYT61.86-0.27-0.43%147,788.100010/16/200761,860.00880.101.40%1.53
HAE49.75-0.36-0.71%127,300.100010/16/200749,750.00680.101.34%1.23
HMA6.47-0.14-2.11%3,430,900.100010/16/20076,470.00260.103.86%0.16
HTCH23.59-0.62-2.60%414,470.100010/16/200723,590.00860.093.51%0.58
JCP60.18-1.18-1.92%7,170,000.100010/16/200760,190.001,400.102.27%1.49
KEY30.44-1.90-5.90%6,797,400.100010/16/200730,440.002,050.096.30%0.75
KMB69.430.180.25%1,703,900.100010/16/200769,430.00450.100.64%1.72
LIZ31.170.030.09%1,303,700.100010/16/200731,170.00260.090.82%0.77
LNCR33.00-0.82-2.42%1,228,212.100010/16/200733,000.00850.102.51%0.81
LOJN17.51-0.19-1.07%194,451.100010/16/200717,510.00450.092.50%0.43
LOW27.75-0.41-1.45%7,259,044.100010/16/200727,750.00710.092.49%0.68
MAS22.66-0.36-1.56%3,758,200.100010/16/200722,660.00520.092.24%0.56
MU10.43-0.03-0.28%15,026,028.100010/16/200710,430.0030.090.28%0.25
MYL15.50-0.19-1.21%2,347,700.100010/16/200715,500.00190.091.21%0.38
NSM26.660.331.25%3,582,920.100010/16/200726,660.00-269.90-1.02%0.66
NVEC30.19-0.43-1.40%68,253.100010/16/200730,190.00520.091.69%0.74
SLM47.091.182.57%6,104,300.100010/16/200747,090.0040.100.08%1.16
STI71.93-2.62-3.52%3,405,500.100010/16/200771,930.002,720.103.64%1.78
STU181.13-2.13-1.16%31,000.100010/16/2007181,130.003,290.091.78%4.49
SVU37.161.925.47%7,759,600.100010/16/200737,170.00-1,649.89-4.64%0.92
TECD39.29-0.32-0.83%613,614.100010/16/200739,290.00470.101.18%0.97
TXN34.41-0.00-0.02%15,134,700.100010/16/200734,410.00430.101.23%0.85
USG37.00-1.15-3.01%1,184,000.100010/16/200737,000.001,540.103.99%0.91
USTR55.61-0.83-1.47%223,446.100010/16/200755,620.001,160.102.04%1.37
VFC81.012.773.54%1,337,800.100010/16/200781,010.00-2,619.89-3.34%2.00
WIRE24.20-0.13-0.57%262,495.100010/16/200724,200.00690.092.77%0.59
CBS29.360.070.23%4,643,200.100010/16/200729,360.00210.090.71%0.72
VPHM9.530.171.92%1,831,301.100010/16/20079,530.00-49.90-0.52%0.23
EPEX8.810.232.68%869,090.100010/16/20078,810.00-269.90-3.16%0.21
NITE13.370.120.90%1,555,438.100010/16/200713,370.00-49.90-0.37%0.33
VARI66.730.600.90%112,371.100010/16/200766,730.00-219.89-0.33%1.65
Q8.450.050.59%16,833,800.100010/16/20078,450.0060.090.70%0.20
ENZ13.141.5513.37%605,600.100010/16/200713,140.00-1,179.90-9.86%0.32
RKH146.39-2.70-1.81%734,600.100010/16/2007146,400.002,780.091.86%3.62
BHS17.78-1.17-6.22%210,200.100010/16/200717,780.001,420.097.39%0.44
KND17.42-0.11-0.62%193,700.100010/16/200717,420.00140.090.79%0.43
Total $1,944,430.00 $32,465.10 1.64%

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

Full disclosure:
Long/Short individual stocks and ETFs mentioned above and owned at time of writing by its author- None, Cash-at-Market Close.

Disclaimer:
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Dow 30 ETF (DIA) Tuesday October 16 Forecast

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Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 10/16/07
Last Updated: 10/15/07
10/15/07 Final Numbers
(Open) 141.08
(High) 141.11
(Low) 139.01
(Close) 139.89
(Range) 2.10

DIA Tuesday Forecast
Opening Fair Value: 140.17
Today's Predicted High: 140.44
Today's Predicted Low: 139.35
Today's Proposed Range: 1.09
Buy/Sell Rating: Buy

Market Comment:
DJIA closed .47% above its rising 21-day moving average, vs. 1.44% previously. Dow Trend changed course "Down" Wednesday 10-10. Dow 50-Day Net Change remains positive. The Dow Accumulation/Distribution Trend peaked on 10-10. Stock Market looking for direction.

DIA Resistance: Mean 139.11 / Intermediate 141.89 / Breakout 144.67
DIA Support: Mean 138.85 / Intermediate 136.20 / Breakdown 133.55

DIA Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 81 Down from 86
Volume Internal Strength: Negative 0.80/0.65 Up
Current Trend: Positive 27 Down from 38
Demand Factor: 87 Down from 88
Stock Volatility: 4.12 Up from 0.86

Predict DIA Upside and Downside Potential
10/15/07 12:45 Close: 139.52
Upside Potential: 141.06
Downside Potential: 138.88

Information for Extreme Trading Days
Predicted Block Trading Resistance Levels (100,000+ shares)
1. 141.79
2. 142.69
3. 143.90
4. 143.93

Predicted Block Trading Support Levels (100,000+ shares)
1. 138.29
2. 138.26
3. 137.09
4. 136.23

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 140.50
21 DAY MOVING AVERAGE = 139.11
30 DAY MOVING AVERAGE = 137.35
42 DAY MOVING AVERAGE = 135.77
50 DAY MOVING AVERAGE = 135.28
65 DAY MOVING AVERAGE = 135.51
30 WEEK MOVING AVERAGE = 133.11
200 DAY MOVING AVERAGE = 131.07

DIA Probability Percent of "Up" at the Close
DIA probability "Up%" Tuesday: 77%
DIA Past 4 Tuesdays: Rising 60.7% / 59.2% / 60.3% / 59.6%
(Lower opening is greatest for Tuesday)
DIA Trend: Falling Today Positive 27 Down from 38
DIA MACD: Falling Today, SELL as of Wednesday 10-10-07
DIA Open/Close 20-Day Trend: Open Up/Close ?
*(Open/Close Trend Changed as of Thursday 10-11-07)

DJIA Probability Percent of "Up" at the Close
DJIA probability "Up%" Tuesday: 67%
DJIA Trend: Falling Today 84% vs. 87%
DJIA Trend Direction: Changed "Down" from "Up" Wednesday 10-10-07
DJIA MACD: Falling Today SELL as of Wednesday 10-10-07

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Long/Short individual stocks mentioned above at time of writing by author? None

Please refer to:
Next Day's Advance Market Decisions "Trading Ideas" to see suggested trades for today.

Stock Market Forecast Tuesday 10-16-07

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Monday 10-15-07 DJIA closed: 13,984.80 -108.28 vs. Prior day: 14,093.08 +77.96
DJIA 21-Day Moving Average: 13,918.71 +25.82 vs. Prior day: 13,892.89 +31.82
(DJIA closed .47% above its rising 21-day moving average, vs. 1.44% prior day)

Before the New York Stock Exchange Open
Tuesday October 16 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Tuesday: 67%
DIA probability of closing "Up" Tuesday: 77%
DIA Past 4 Tuesdays: Rising 60.7% / 59.2% / 60.3% / 59.6%
(Lower opening is greatest for Tuesday)
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Falling Today Up 26 vs Down 5 (-1 vs -1 prior day)
DJIA Trend: Falling Today 84% vs Yesterday 87% (High 97% / Low 0%)
Change in Trend: To "Down" from "Up" as of Wednesday, 10-10-07
DJIA MACD: Falling Today, SELL as of Wednesday, 10-10-07 (12,26 computation)
DJIA Momentum: Unch Today 74% vs Yesterday 74% (High 97% / Low 13%)
DJIA Volatility: Rising Today 1.81% vs Yesterday 1.09% (High 3.24% / Low -1.09%)
DJIA 50-Day Net Change: Falling Today +803 vs Yesterday +630 (High 1450 / Low -734)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -734 8-15-07 (today+803= 55.4% of High)

DJIA Resistance Levels: Mean= 13,920 / Intermediate Term 14,163 / Breakout 14,406
DJIA Support Levels: Mean= 13,893 / Intermediate Term 13,663 / Breakdown 13,432

Market Comment:
DJIA closed .47% above its rising 21-day moving average, vs. 1.44% previously. Dow Trend changed course "Down" Wednesday 10-10. Dow 50-Day Net Change remains positive. The Dow Accumulation/Distribution Trend peaked on 10-10. Stock Market looking for direction.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Falling Today .4% vs Yesterday .7% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, positive yet decreasing.

Institutional Money Flow: Fall Today 84% vs Yesterday 87% (High 97% / Low 6%) Mean= 52% Closed above its Mean, positive yet decreasing.

Institutional Demand: Falling Today 62.32% vs Yesterday 65.55% (High 86.84% / Low 18.65%) Mean= 52.8% Closed above its Mean, positive yet decreasing.

Institutional Inventory: Falling Today 65.81% vs Yesterday 70.52% (High 81.06% / Low 25.23%) Mean= 52.2% Closed above its Mean, positive yet decreasing.

Institutional Accumulation/Distribution Trend: Falling Today .17% vs Yesterday .22% (High .35% / -.41%) Mean= -.03% Closed above its Mean, positive yet decreasing.

Outlook Statistics: Above 50% Bullish/Below 50% Bearish (Historic High/Low)

DJIA Outlook: Bullish, yet Unch Today 82% vs. Yesterday 82% (High 89% / Low 18%) Mean= 53.5% Closed above its Mean, positive yet flat.

Stock Market Outlook: Bullish, yet Falling Today 86.3% vs Yesterday 92.3% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

11 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Falling Trend Today 27% vs. Yesterday 38% (High 95% / Low -59%)
SPY: Falling Trend Today 46% vs. Yesterday 58% (High 77% / Low -77%)
MDY: Falling Trend Today 48% vs. Yesterday 58% (High 91% / Low -100%)
IWM: Falling Trend Today 42% vs. Yesterday 55% (High 71% / Low -67%)
QQQQ: Falling Trend Today 36% vs. Yesterday 42% (High 54% / Low -43%)
SMH: Unch Trend Today -7% vs. Yesterday -7% (High 48% / Low -53%)
IYT: Falling Trend Today -3% vs. Yesterday 10% (High 80% / Low -73%)
IDU: Falling Trend Today -2% vs. Yesterday 9% (High 80% / Low -68%)
XLE: Rising Trend Today 46% vs. Yesterday 44% (High 70% / Low -55%)
XLF: Falling Trend Today 18% vs. Yesterday 25% (High 45% / Low -39%)
IAI: Falling Trend Today 26% vs. Yesterday 33% (High 54% / Low -69%)

Stock Market Plurality:
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Falling Trend Today 40 vs. Yesterday 82 (High 367 / Low 4)
Demand Factor "0": Rising Trend Today 54 vs. Yesterday 48 (High 210 / Low 7)

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Gale Financial Market Econometrics, Inc.
http://www.mktmetrics.com/
Next Day's Advance Market Decisions:
"Not always right, just very seldom wrong."

Monday, October 15, 2007

Stock Trading Ideas For Tuesday October 16

Information provided by: http://www.mktmetrics.com/

Stocks expected to move "HIGHER" Tuesday
Buy-Long Day Trading Ideas suggested for October 16 2007
Symbol OFV (Opening Fair Value)
1. AAPL OFV: 166.77
2. AG OFV: 53.68
3. AMN OFV: 102.03
4. APOL OFV: 65.48
5. BPT OFV: 76.50
6. BRCM OFV: 41.01
7. CEF OFV: 10.08
8. CHK OFV: 37.71
9. CMG OFV: 121.39
10. DBC OFV: 28.43
11. DRYS OFV: 124.60
12. ENZN OFV: 9.09
13. GE OFV: 40.72
14. GLD OFV: 74.89
15. IAU OFV: 75.06
16. IIF OFV: 56.68
17. ISE OFV: 66.75
18. ITW OFV: 59.44
19. JKHY OFV: 28.11
20. KGC OFV: 16.93
21. LWSN OFV: 10.20
22. MEE OFV: 27.09
23. MENT OFV: 15.50
24. MO OFV: 70.18
25. MOT OFV: 19.30
26. NATI OFV: 34.97
27. PEO OFV: 41.77
28. PXD OFV: 48.23
29. SLGN OFV: 56.90
30. SNPS OFV: 28.47
31. SSS OFV: 49.51
32. STX OFV: 26.82
33. SY OFV: 25.97
34. TBSI OFV: 59.25
35. TEK OFV: 37.74
36. TXT OFV: 64.13
37. TYL OFV: 14.32
38. USO OFV: 65.42
39. XLI OFV: 41.06
40. XOM OFV: 94.62

Stocks expected to move "LOWER" Tuesday
Sell-Short Day Trading Ideas suggested for October 16 2007
Symbol OFV (Opening Fair Value)
1. ADI OFV: 36.29
2. APSG OFV: 14.70
3. AVY OFV: 55.08
4. BHS OFV: 19.22
5. BRKS OFV: 13.92
6. CAS OFV: 32.44
7. CATY OFV: 32.03
8. CBS OFV: 29.59
9. CCBL OFV: 11.27
10. CLDN OFV: 10.42
11. CMA OFV: 52.16
12. CSGS OFV: 21.21
13. CYN OFV: 69.16
14. EFX OFV: 36.98
15. ENZ OFV: 11.98
16. EPEX OFV: 8.56
17. ESIO OFV: 23.57
18. FITB OFV: 32.90
19. FRE OFV: 59.87
20. GLYT OFV: 62.76
21. HAE OFV: 50.45
22. HMA OFV: 6.75
23. HTCH OFV: 24.47
24. JCP OFV: 61.61
25. KEY OFV: 32.51
26. KMB OFV: 69.90
27. KND OFV: 17.58
28. LIZ OFV: 31.45
29. LNCR OFV: 33.87
30. LOJN OFV: 17.98
31. LOW OFV: 28.48
32. MAS OFV: 23.20
33. MU OFV: 10.48
34. MYL OFV: 15.71
35. NITE OFV: 13.34
36. NSM OFV: 26.41
37. NVEC OFV: 30.73
38. Q OFV: 8.53
39. RKH OFV: 149.20
40. SLM OFV: 47.15
41. STI OFV: 74.67
42. STU OFV: 184.44
43. SVU OFV: 35.54
44. TECD OFV: 39.78
45. TXN OFV: 34.86
46. USG OFV: 38.56
47. USTR OFV: 56.80
48. VARI OFV: 66.53
49. VFC OFV: 78.41
50. VPHM OFV: 9.50
51. WIRE OFV: 24.91

Today's Portfolio Performance
Monday October 15 2007
(Long) 44 positions up out of 82 (53.7% accurate)
Current Value $7,119,240.00
Gross Gain $29,299.92
Monday October 15 2007
(Short) 38 positions down out of 47 (80.9% accurate)
Current Value $2,225,910.00
Gross Gain $34,480.00

Monday's Net After Commissions Trade Totals:
$27,668.17 Net Gain from Positive suggestions (Buy-Long),
plus,
$33,544.73 Net Gain from Negative suggestions (Sell-Short)

Combined Strategies Total: $61,212.90 Net Gain Monday

$2,000,000.00 Principal Amount TRADE MODEL Start Date: 7-12-07
Portfolio Day Trade Disciplines:
*1,000 shares per trade, always hedged
*Buy at OFV, Sell at Market Close
*Sell-Short at OFV, Buy-back at Market Close
*Costs: $9.95 X 2= $19.90 for each 1000 shares round trip (open/close)

Trade Date / Beginning / Gain or Loss / Net Account Value
July 12, 2007 $2,000,000.00 + 36,273.72 net gain = $2,036,273.72
July 13, 2007 $2,036,273.72 <- 400.00> net loss = $2,035,873.72
July 16, 2007 $2,035,873.72 + 4,834.41 net gain = $2,040,708.13
July 17, 2007 $2,040,708.13 + 12,114.31 net gain = $2,052,822.44
July 18, 2007 $2,052,822.44 + 12,566.53 net gain = $2,065,388.97
July 19, 2007 $2,065,388.97 + 16,165.04 net gain = $2,081,554.01
July 20, 2007 $2,081,554.01 + 18,765.38 net gain = $2,100,319.39
July 23, 2007 $2,100,319.39 + 5,060.01 net gain = $2,105,379.40
July 24, 2007 $2,105,379.40 + 56,062.01 net gain = $2,161,441.41
July 25, 2007 $2,161,441.41 + 11,938.12 net gain = $2,173,379.53
July 26, 2007 $2,173,379.53 + <1,440.00> net loss = $2,171,939.53
July 27, 2007 $2,171,939.53 + 6,410.09 net gain = $2,178,349.62
July 30, 2007 $2,178,349.62 + 8,501.51 net gain = $2,186,851.13
July 31, 2007 $2,186,851.13 + 10,641.09 net gain = $2,197,492.22
August 1, 2007 $2,197,492.22 + 46,410.00 net gain = $2,243,902.22
August 2, 2007 $2,243,902.22 + 20,543.23 net gain = $2,264,445.45
August 3, 2007 $2,264,445.45 + 4,935.81 net gain = $2,269,381.26
August 6, 2007 $2,269,381.26 + -1,298.78 net loss = $2,268,082.48
August 7, 2007 $2,268,082.48 + 31,239.89 net gain = $2,299,322.37
August 8, 2007 $2,299,322.37 + 56,444.32 net gain = $2,355,766.69
August 9, 2007 $2,355,766.69 + 11,620.90 net gain = $2,367,387.59
August 10, 2007 $2,367,387.59 + 3,551.41 net gain = $2,370,939.00
August 13, 2007 $2,370,939.00 + 56,028.35 net gain = $2,426,967.35
August 14, 2007 $2,426,967.35 + 81,737.06 net gain = $2,508,704.41
August 15, 2007 $2,508,704.41 + 7,240.60 net gain = $2,515,945.01
August 16, 2007 $2,515,945.01 + 20,124.54 net gain = $2,536,069.55
August 17, 2007 $2,536,069.55 + 120,505.45 net gain = $2,656,575.00
August 20, 2007 $2,656,575.00 + 18,145.54 net gain = $2,674,720.54
August 21, 2007 $2,674,720.54 + 5,287.14 net gain = $2,680,007.68
August 22, 2007 $2,680,007.68 + 49,666.04 net gain = $2,729,673.72
August 23, 2007 $2,729,673.72 + 20,297.53 net gain = $2,749,971.25
August 24, 2007 $2,749,971.25 + <$7,103.54> net loss = $2,742,867.71
September 5, 2007 $2,742,867.71 + 7,699.66 net gain = $2,750,567.37
September 6, 2007 $2,750,567.37 + 38,502.56 net gain = $2,789,069.93
September 7, 2007 $2,789,069.93 + 60,897.48 net gain = $2,849,967.41
September 10, 2007 $2,849,967.41 + 23,848.54 net gain = $2,873,815.95
September 11, 2007 $2,873,815.95 + 43,525.83 net gain = $2,917,341.78
September 12, 2007 $2,917,341.78 + 17,988.44 net gain = $2,935,330.22
September 13, 2007 $2,935,330.22 + 4,946.55 net gain = $2,940,276.77
September 14, 2007 $2,940,276.77 + 21,098.50 net gain = $2,961,375.27
September 17, 2007 $2,961,375.27 + 22,380.87 net gain = $2,983,756.14
September 18, 2007 $2,983,756.14 + 83,767.93 net gain = $3,067,524.07
September 19, 2007 $3,067,524.07 + 62,188.17 net gain = $3,129,712.24
September 20, 2007 $3,129,712.24 + 18,534.72 net gain = $3,148,246.96
September 21, 2007 $3,148,246.96 + 15,505.13 net gain = $3,163,752.09
September 24, 2007 $3,163,752.09 + 75,801.95 net gain = $3,239,554.04
September 25, 2007 $3,239,554.04 + 969.86 net gain = $3,240,523.90
September 26, 2007 $3,240,523.90 + 7,260.71 net gain = $3,247,784.61
September 27, 2007 $3,247,784.61 + 54,631.47 net gain = $3,302,416.08
September 28, 2007 $3,302,416.08 + 29,393.27 net gain = $3,331,809.35
October 1, 2007 $3,331,809.35 + 26,870.56 net gain = $3,358,679.91
October 2, 2007 $3,358,679.91 + 51,324.19 net gain = $3,410,004.10
October 3, 2007 $3,410,004.10 -1,616.68 net loss = $3,408,387.42
October 4, 2007 $3,408,387.42 + 4,193.61 net gain = $3,412,581.03
October 5, 2007 $3,412,581.03 + 45,255.33 net gain = $3,457,836.36
October 8, 2007 $3,457,836.36 + 18,923.91 net gain = $3,476,760.27
October 9, 2007 $3,476,760.27 + 25,883.21 net gain = $3,502,643.48
October 10, 2007 $3,502,643.48 + 22,035.01 net gain = $3,524,678.49
October 11, 2007 $3,524,678.49 + 6,132.82 net gain = $3,530,811.31
October 12, 2007 $3,530,811.31 + 26,287.92 net gain = $3,557,099.23
October 15, 2007 $3,557,099.23 + 61,212.90 net gain = $3,618,312.13
October 16, 2007 $3,618,312.13

*MONDAY'S RESULTS*
Day Trading Ideas that were expected to move "HIGHER" Monday
Symbol OFV (Opening Fair Value) Bought, Sold at Close, results
Final reporting provided by ClearStation.com, wholly-owned by E*Trade
Long suggestions Monday October 15 2007 sorted by Bought in descending order
Symbol Last Change %Change Volume Position Bought Value Net %Change %Total
AAPL166.97-0.27-0.16%38,476,252.100010/15/2007166,980.002,250.091.36%1.78
ACI35.360.310.88%1,529,100.100010/15/200735,360.00420.101.20%0.37
AG54.04-0.01-0.01%1,079,100.100010/15/200754,050.00510.100.95%0.57
AMN102.68-0.32-0.31%61,800.100010/15/2007102,680.00680.100.66%1.09
APA95.900.900.94%2,454,600.100010/15/200795,900.001,380.101.46%1.02
APOL65.69-0.43-0.65%1,578,964.100010/15/200765,700.00470.100.72%0.70
BPT77.330.931.21%195,000.100010/15/200777,330.001,390.101.83%0.82
CEF10.120.111.09%401,400.100010/15/200710,120.00130.091.30%0.10
CHK37.790.290.80%5,933,400.100010/15/200737,790.00360.100.96%0.40
CLX62.18-0.48-0.76%1,327,700.100010/15/200762,190.00-349.89-0.55%0.66
CYTC51.40-0.39-0.77%1,037,692.100010/15/200751,400.000.100.00%0.55
DO118.221.020.87%3,123,700.100010/15/2007118,220.001,700.101.45%1.26
DOW45.79-0.70-1.50%9,169,400.100010/15/200745,800.00-139.89-0.30%0.49
ENZN9.11-0.05-0.54%254,240.100010/15/20079,110.00-49.90-0.54%0.09
ERTS60.31-1.09-1.77%2,800,720.100010/15/200760,310.00-289.89-0.47%0.64
MEE27.150.712.72%2,230,500.100010/15/200727,150.00790.092.99%0.29
GE40.82-0.20-0.51%39,778,240.100010/15/200740,820.00140.100.34%0.43
GM41.11-1.52-3.58%25,036,400.100010/15/200741,110.00-579.89-1.39%0.43
HAL41.480.320.77%13,416,100.100010/15/200741,480.00580.101.41%0.44
HOLX67.23-0.90-1.32%1,614,744.100010/15/200767,240.00-229.89-0.34%0.71
IIF56.701.232.21%244,600.100010/15/200756,710.003,020.105.62%0.60
KGC17.160.784.82%6,549,000.100010/15/200717,160.00890.095.47%0.18
LTR49.45-0.66-1.31%1,521,700.100010/15/200749,460.00-609.89-1.21%0.52
MDR61.020.160.26%1,726,600.100010/15/200761,030.001,220.102.03%0.65
MENT15.59-0.05-0.38%1,586,483.100010/15/200715,590.00110.090.71%0.16
MO70.370.310.44%7,174,104.100010/15/200770,370.00320.100.45%0.75
MOT19.340.211.09%20,934,000.100010/15/200719,340.00280.091.46%0.20
MTL72.861.131.58%1,302,300.100010/15/200772,860.002,290.103.24%0.77
PCU135.13-2.69-1.95%2,049,500.100010/15/2007135,140.00-2,779.90-2.01%1.44
PPP58.020.050.10%365,900.100010/15/200758,030.00100.100.17%0.62
RDC40.380.200.49%3,389,300.100010/15/200740,380.00720.101.81%0.43
SLB111.381.551.41%8,366,800.100010/15/2007111,390.002,040.101.86%1.19
SPY155.00-1.32-0.84%161,008,816.100010/15/2007155,010.00-839.90-0.53%1.65
SSS49.41-0.68-1.35%88,900.100010/15/200749,420.00-519.89-1.04%0.52
TIN55.66-0.44-0.78%1,291,700.100010/15/200755,670.00-259.89-0.46%0.59
TRP38.84-0.41-1.04%173,500.100010/15/200738,850.00-159.89-0.40%0.41
TUP34.59-1.00-2.80%540,700.100010/15/200734,600.00-529.89-1.50%0.37
TXT64.19-0.04-0.06%1,236,500.100010/15/200764,200.00200.100.31%0.68
UNP118.16-1.35-1.13%1,923,800.100010/15/2007118,160.00-629.89-0.53%1.26
USO65.881.882.95%2,094,800.100010/15/200765,890.002,060.103.22%0.70
CAL35.75-1.38-3.71%2,652,100.100010/15/200735,760.00-629.89-1.73%0.38
EWC33.73-0.50-1.46%499,500.100010/15/200733,730.00-219.89-0.64%0.36
GRMN112.44-1.54-1.35%4,921,789.100010/15/2007112,440.00670.100.59%1.20
SLGN56.98-0.61-1.07%146,057.100010/15/200756,980.00-129.89-0.22%0.60
BEAS18.44-0.37-2.01%56,840,152.100010/15/200718,440.00-29.90-0.16%0.19
PXD48.270.561.17%1,902,095.100010/15/200748,270.00920.101.94%0.51
NLY15.53-0.32-2.01%6,348,100.100010/15/200715,530.00-29.90-0.19%0.16
CHL88.981.832.09%4,462,200.100010/15/200788,980.003,020.103.51%0.95
DRQ49.93-3.97-7.36%1,487,400.100010/15/200749,930.00-4,049.89-7.50%0.53
EEM157.55-1.94-1.22%13,308,287.100010/15/2007157,550.00-689.90-0.43%1.68
DRIV48.45-1.07-2.16%658,879.100010/15/200748,460.00-839.89-1.70%0.51
XLI41.00-0.32-0.77%5,630,200.100010/15/200741,000.00-109.89-0.26%0.43
RIMM109.70-4.19-3.68%20,838,784.100010/15/2007109,710.00-2,469.89-2.20%1.17
QQQQ53.11-0.41-0.76%121,282,128.100010/15/200753,120.00-79.89-0.15%0.56
INFA16.21-0.45-2.69%1,367,721.100010/15/200716,220.00-309.90-1.87%0.17
BBH182.692.751.52%329,500.100010/15/2007182,700.003,770.092.10%1.95
SY26.12-0.08-0.30%2,633,600.100010/15/200726,120.00830.093.28%0.27
IYY75.59-0.65-0.85%32,100.100010/15/200775,600.00-489.89-0.64%0.80
IYK64.32-0.46-0.71%12,600.100010/15/200764,329.89-360.00-0.55%0.68
IYC68.48-0.88-1.28%27,400.100010/15/200768,490.00-799.89-1.15%0.73
IYJ76.48-0.58-0.75%60,900.100010/15/200776,490.00-339.89-0.44%0.81
EWT17.07-0.15-0.87%5,781,866.100010/15/200717,070.00-119.90-0.69%0.18
EWZ78.80-0.93-1.17%17,620,400.100010/15/200778,800.00150.100.19%0.84
IGV52.63-0.57-1.07%75,500.100010/15/200752,640.00-329.89-0.62%0.56
ITF125.51-2.28-1.78%3,200.100010/15/2007125,520.00-2,049.89-1.60%1.34
ILF255.00-4.22-1.62%335,400.100010/15/2007255,000.00-1,109.90-0.43%2.72
EPP172.25-3.32-1.89%486,977.100010/15/2007172,260.00-2,149.90-1.23%1.84
LWSN10.29-0.05-0.48%2,228,310.100010/15/200710,290.00130.091.28%0.11
GME58.020.611.08%2,779,595.100010/15/200758,020.001,140.102.00%0.62
CHA91.052.022.26%717,100.100010/15/200791,050.003,150.103.58%0.97
CME622.69-6.80-1.08%311,300.100010/15/2007622,690.00-2,629.87-0.42%6.66
BIIB82.5113.0818.83%30,695,300.100010/15/200782,510.0014,220.1020.82%0.88
GOOG620.10-17.28-2.71%6,947,747.100010/15/2007620,110.00-8,909.87-1.41%6.63
FXI202.940.050.02%6,445,409.100010/15/2007202,940.003,140.091.57%2.17
GLD75.130.550.73%6,705,300.100010/15/200775,140.001,090.101.47%0.80
ISE66.80-0.01-0.02%146,800.100010/15/200766,800.0020.100.03%0.71
IAU75.200.911.23%201,200.100010/15/200775,210.001,040.101.40%0.80
BIDU314.95-8.02-2.48%9,587,699.100010/15/2007314,950.004,470.091.43%3.37
CMG121.86-0.82-0.66%466,300.100010/15/2007121,860.001,260.101.04%1.30
DBC28.600.481.70%156,700.100010/15/200728,600.00550.091.96%0.30
EEB53.150.691.31%440,500.100010/15/200753,150.001,230.102.36%0.56
QLD114.77-1.95-1.67%1,867,685.100010/15/2007114,780.00-339.89-0.29%1.22
Total $7,119,240.00 $27,668.17 0.39%

*MONDAY'S RESULTS*
Day Trading Ideas that were expected to move "LOWER" Monday
Symbol OFV (Opening Fair Value) Sold-Short, Bought-back at Close, results
Final reporting provided by ClearStation.com, wholly-owned by E*Trade
Short suggestions Monday October 15 2007 sorted by Bought in descending order
Symbol Last Change %Change Volume Position Bought Value Net %Change %Total
AVY54.91-0.32-0.57%752,300.100010/15/200754,920.00360.100.65%0.58
BCR86.68-0.32-0.36%316,000.100010/15/200786,680.00830.100.94%0.92
BGG24.28-0.03-0.16%1,001,600.100010/15/200724,280.0090.090.36%0.25
CATY31.67-0.82-2.52%308,372.100010/15/200731,670.001,110.103.38%0.33
CHTT72.830.841.18%323,132.100010/15/200772,840.00-569.89-0.78%0.77
CMA51.91-0.79-1.51%1,110,100.100010/15/200751,910.001,150.102.16%0.55
CVH59.610.801.37%869,400.100010/15/200759,620.00-679.89-1.15%0.63
CYN68.45-1.25-1.79%234,600.100010/15/200768,460.002,470.103.48%0.73
DLTR40.68-0.57-1.40%834,916.100010/15/200740,680.00790.101.90%0.43
DNB94.371.391.50%640,400.100010/15/200794,380.00870.100.91%1.00
ESIO23.44-0.41-1.71%157,059.100010/15/200723,440.00470.091.96%0.25
FITB32.63-0.39-1.21%4,447,321.100010/15/200732,640.00720.102.15%0.34
FRE59.00-1.63-2.68%3,281,800.100010/15/200759,000.001,790.102.94%0.63
GLYT62.13-1.32-2.08%433,871.100010/15/200762,130.001,430.102.24%0.66
JCP61.36-0.92-1.47%4,738,400.100010/15/200761,370.001,450.102.30%0.65
KEY32.34-0.69-2.08%3,873,100.100010/15/200732,350.00780.102.35%0.34
LIZ31.13-0.62-1.95%1,319,900.100010/15/200731,140.00790.092.47%0.33
LNCR33.820.000.02%728,629.100010/15/200733,820.00130.100.38%0.36
MU10.46-0.03-0.28%12,355,400.100010/15/200710,460.0070.090.66%0.11
PLCM24.960.743.05%3,894,057.100010/15/200724,970.00-579.90-2.37%0.26
NVEC30.620.070.22%36,017.100010/15/200730,620.0070.090.22%0.32
SLM45.91-2.54-5.24%14,402,400.100010/15/200745,910.002,700.105.55%0.49
SNDK48.320.921.94%12,381,035.100010/15/200748,320.00-49.89-0.10%0.51
SDS49.401.012.08%11,319,742.100010/15/200749,400.00-719.89-1.47%0.52
SNV27.230.050.22%1,809,700.100010/15/200727,230.00410.091.48%0.29
STI74.55-0.38-0.52%2,269,800.100010/15/200774,560.00980.101.29%0.79
STU183.27-4.45-2.37%23,200.100010/15/2007183,270.006,240.093.29%1.96
TECD39.61-0.45-1.12%819,928.100010/15/200739,620.00640.101.58%0.42
TER13.49-0.03-0.22%3,503,700.100010/15/200713,490.000.090.00%0.14
TXN34.41-0.97-2.74%18,365,100.100010/15/200734,420.001,020.102.87%0.36
USG38.15-0.86-2.22%1,179,600.100010/15/200738,150.001,130.102.87%0.40
USTR56.45-0.27-0.49%217,336.100010/15/200756,450.00550.100.96%0.60
VFC78.23-1.22-1.53%1,077,400.100010/15/200778,240.001,450.101.81%0.83
WAG38.79-0.02-0.05%7,832,460.100010/15/200738,800.0090.100.23%0.41
WHR88.93-0.33-0.38%858,300.100010/15/200788,930.00860.100.95%0.95
WNC10.76-0.09-0.92%238,200.100010/15/200710,760.00110.091.01%0.11
MSM50.180.110.23%371,100.100010/15/200750,190.00350.100.69%0.53
CBS29.29-0.59-2.00%4,070,000.100010/15/200729,290.00740.092.46%0.31
CWTR8.330.516.52%11,713,285.100010/15/20078,330.00-169.89-2.08%0.08
EPEX8.580.303.62%1,611,809.100010/15/20078,580.00-199.90-2.38%0.09
FLEX11.41-0.01-0.08%6,845,735.100010/15/200711,410.0020.090.17%0.12
NITE13.25-0.33-2.43%1,840,334.100010/15/200713,250.00370.092.71%0.14
VARI66.12-0.78-1.16%162,531.100010/15/200766,130.00960.101.43%0.70
RKH149.10-1.61-1.06%647,900.100010/15/2007149,100.002,450.091.61%1.59
NTES19.250.623.38%3,402,187.100010/15/200719,250.00-549.90-2.94%0.20
BHS18.95-0.54-2.76%99,200.100010/15/200718,960.00760.093.85%0.20
QID36.490.711.98%26,607,052.100010/15/200736,490.00-139.89-0.38%0.39
Total $2,225,910.00 $33,544.73 1.48%

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

Full disclosure:
Long/Short individual stocks and ETFs mentioned above and owned at time of writing by its author- None, Cash-at-Market Close.

Disclaimer:
The information and data contained in this site was obtained from independent research and development believed to be reliable, but accuracy is not guaranteed. Neither the information, nor any opinion expressed, constitutes a recommendation to purchase or sell a security, or to provide investment advice. Stocks and stock options involve risks and are not suitable for all investors. This site is not a solicitation of an offer to buy shares in any fund whose performance is provided in this site. Such an offer can be solicited only by a fund directly or its agent.

Dow 30 ETF (DIA) Monday October 15 Forecast

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Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 10/15/07
Last Updated: 10/12/07
10/12/07 Final Numbers
(Open) 140.29
(High) 141.03
(Low) 140.09
(Close) 141.03
(Range) 0.94

DIA Monday Forecast
Opening Fair Value: 140.59
Today's Predicted High: 141.52
Today's Predicted Low: 140.54
Today's Proposed Range: 0.98
Buy/Sell Rating: Buy

Market Comment:
DJIA closed 1.44% above its rising 21-day moving average, vs. 1.11% previously. Dow Trend changed course "Down" Wednesday 10-10. The Dow Trend peaked 9-19 and again on 10-1. Dow 50-Day Net Change remains positive, yet falling for second day in a row. The Dow Accumulation/Distribution Trend peaked 10-10. Stock Market should be down Monday.

DIA Resistance: Mean 138.85 / Intermediate 141.62 / Breakout 144.40
DIA Support: Mean 138.53 / Intermediate 135.91 / Breakdown 133.29

DIA Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 86 Up from 85
Volume Internal Strength: Negative 0.50/0.60 Down
Current Trend: Positive 38 Up from 34
Demand Factor: 88 Up from 80
Stock Volatility: 0.86 Down from 5.99

Predict DIA Upside and Downside Potential
10/12/07 12:45 Close: 140.93
Upside Potential: 142.20
Downside Potential: 140.24

Information for Extreme Trading Days
Predicted Block Trading Resistance Levels (100,000+ shares)
1. 142.89
2. 143.10
3. 143.85
4. 143.85
Predicted Block Trading Support Levels (100,000+ shares)
1. 138.21
2. 138.21
3. 137.48
4. 137.29

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 140.45
21 DAY MOVING AVERAGE = 138.85
30 DAY MOVING AVERAGE = 137.13
42 DAY MOVING AVERAGE = 135.50
50 DAY MOVING AVERAGE = 135.13
65 DAY MOVING AVERAGE = 135.49
30 WEEK MOVING AVERAGE = 132.98
200 DAY MOVING AVERAGE = 130.99

DIA Probability Percent of "Up" at the Close
DIA probability "Up%" Monday: 32%
DIA Past 4 Mondays: Falling 58.6% / 59.1% / 58.3% / 59.5%
DIA Trend: Rising Today Positive 38 Up from 34
DIA MACD: Falling Today, SELL as of Wednesday 10-10-07
DIA Open/Close 20-Day Trend: Open Up/Close ?
*(Open/Close Trend Changed as of Thursday 10-11-07)

DJIA Probability Percent of "Up" at the Close
DJIA probability "Up%" Monday: 68%
DJIA Trend: Falling Today 87% vs. 90%
DJIA Trend Direction: Changed "Down" from "Up" Wednesday 10-10-07
DJIA MACD: Falling Today SELL as of Wednesday 10-10-07

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Next Day's Advance Market Decisions "Trading Ideas" to see suggested trades for today.

Stock Market Forecast Monday 10-15-07

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Friday 10-12-07 DJIA closed: 14,093.08 +77.96 vs. Prior day: 14,015.12 -63.57
DJIA 21-Day Moving Average: 13,892.89 +31.82 vs. Prior day: 13,861.07 +34.45
(DJIA closed 1.44% above its rising 21-day moving average, vs. 1.11% prior day)

Before the New York Stock Exchange Open
Monday October 15 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Monday: 68%
DIA probability of closing "Up" Monday: 32%
DIA Past 4 Mondays: Falling 58.6% / 59.1% / 58.3% / 59.5%
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Falling Today Up 27 vs Down 7 (-1 vs -0 prior day)
DJIA Trend: Falling Today 87% vs Yesterday 90% (High 97% / Low 0%)
Change in Trend: To "Down" from "Up" as of Wednesday, 10-10-07
DJIA MACD: Falling Today, SELL as of Wednesday, 10-10-07 (12,26 computation)
DJIA Momentum: Rising Today 74% vs Yesterday 71% (High 97% / Low 13%)
DJIA Volatility: Falling Today 1.09% vs Yesterday 3.07% (High 3.24% / Low -1.09%)
DJIA 50-Day Net Change: Falling Today +630 vs Yesterday +653 (High 1450 / Low -734)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -734 8-15-07 (today+630= 43.4% of High)

DJIA Resistance Levels: Mean= 13,893 / Intermediate Term 14,136 / Breakout 14,379
DJIA Support Levels: Mean= 13,861 / Intermediate Term 13,634 / Breakdown 13,407

Market Comment:
DJIA closed 1.44% above its rising 21-day moving average, vs. 1.11% previously. Dow Trend changed course "Down" Wednesday 10-10. The Dow Trend peaked 9-19 and again on 10-1. Dow 50-Day Net Change remains positive, yet falling for second day in a row. The Dow Accumulation/Distribution Trend peaked 10-10. Stock Market should be down Monday.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Rising Today .9% vs Yesterday .7% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, Positive and increasing.

Institutional Money Flow: Unch Today 87% vs Yesterday 87% (High 97% / Low 6%) Mean= 52% Closed above its Mean, positive yet flat.

Institutional Demand: Rising Today 65.55% vs Yesterday 62.74% (High 86.84% / Low 18.65%) Mean= 52.8% Closed above its Mean, Positive and increasing.

Institutional Inventory: Falling Today 70.52% vs Yesterday 71.55% (High 81.06% / Low 25.23%) Mean= 52.2% Closed above its Mean, positive yet decreasing.

Institutional Accumulation/Distribution Trend: Falling Today .22% vs Yesterday .23% (High .35% / -.41%) Mean= -.03% Closed above its Mean, positive yet decreasing.

Outlook Statistics: Above 50% Bullish/Below 50% Bearish (Historic High/Low)

DJIA Outlook: Bullish, yet Falling Today 82% vs. Yesterday 84% (High 89% / Low 18%) Mean= 53.5% Closed above its Mean, positive yet decreasing.

Stock Market Outlook: Bullish Rising Today 92.3% vs Yesterday 85.4% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

11 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Rising Trend Today 38% vs. Yesterday 34% (High 95% / Low -59%)
SPY: Rising Trend Today 58% vs. Yesterday 54% (High 77% / Low -77%)
MDY: Rising Trend Today 58% vs. Yesterday 54% (High 91% / Low -100%)
IWM: Rising Trend Today 55% vs. Yesterday 49% (High 71% / Low -67%)
QQQQ: Rising Trend Today 42% vs. Yesterday 33% (High 54% / Low -43%)
SMH: Falling Trend Today -7% vs. Yesterday -6% (High 48% / Low -53%)
IYT: Falling Trend Today 10% vs. Yesterday 11% (High 80% / Low -73%)
IDU: Rising Trend Today 9% vs. Yesterday 6% (High 80% / Low -68%)
XLE: Unch Trend Today 44% vs. Yesterday 44% (High 70% / Low -55%)
XLF: Falling Trend Today 25% vs. Yesterday 33% (High 45% / Low -39%)
IAI: Falling Trend Today 33% vs. Yesterday 45% (High 54% / Low -69%)

Stock Market Plurality:
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Rising Trend Today 82 vs. Yesterday 26 (High 367 / Low 4)
Demand Factor "0": Unch Trend Today 48 vs. Yesterday 48 (High 210 / Low 7)

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Gale Financial Market Econometrics, Inc.http://www.mktmetrics.com/
Next Day's Advance Market Decisions:
"Not always right, just very seldom wrong."

Sunday, October 14, 2007

Stock Trading Ideas For Monday October 15

Information provided by: http://www.mktmetrics.com/

Stocks expected to move "HIGHER" Monday
Buy-Long Day Trading Ideas suggested for October 15 2007
Symbol OFV (Opening Fair Value)
1. AAPL OFV: 164.71
2. ACI OFV: 34.92
3. AG OFV: 53.52
4. AMN OFV: 101.98
5. APA OFV: 94.50
6. APOL OFV: 65.21
7. BBH OFV: 178.91
8. BEAS OFV: 18.45
9. BIDU OFV: 310.46
10. BIIB OFV: 68.27
11. BPT OFV: 75.92
12. CAL OFV: 36.37
13. CEF OFV: 9.97
14. CHA OFV: 87.88
15. CHK OFV: 37.41
16. CHL OFV: 85.94
17. CLX OFV: 62.52
18. CME OFV: 625.30
19. CMG OFV: 120.58
20. CYTC OFV: 51.38
21. DBC OFV: 28.03
22. DO OFV: 116.50
23. DOW OFV: 45.92
24. DRIV OFV: 49.28
25. DRQ OFV: 53.96
26. EEB OFV: 51.90
27. EEM OFV: 158.22
28. ENZN OFV: 9.14
29. EPP OFV: 174.39
30. ERTS OFV: 60.58
31. EWC OFV: 33.93
32. EWT OFV: 17.17
33. EWZ OFV: 78.63
34. FXI OFV: 199.78
35. GE OFV: 40.66
36. GLD OFV: 74.03
37. GM OFV: 41.67
38. GME OFV: 56.86
39. GOOG OFV: 629.00
40. GRMN OFV: 111.75
41. HAL OFV: 40.88
42. HOLX OFV: 67.45
43. IAU OFV: 74.15
44. IGV OFV: 52.95
45. IIF OFV: 53.67
46. ILF OFV: 256.09
47. INFA OFV: 16.51
48. ISE OFV: 66.76
49. ITF OFV: 127.55
50. IYC OFV: 69.27
51. IYJ OFV: 76.81
52. IYK OFV: 64.67
53. IYY OFV: 76.07
54. KGC OFV: 16.25
55. LTR OFV: 50.05
56. LWSN OFV: 10.14
57. MDR OFV: 59.79
58. MEE OFV: 26.34
59. MENT OFV: 15.46
60. MO OFV: 70.03
61. MOT OFV: 19.04
62. MTL OFV: 70.55
63. NLY OFV: 15.54
64. PCU OFV: 137.90
65. PPP OFV: 57.91
66. PXD OFV: 47.33
67. QLD OFV: 115.10
68. QQQQ OFV: 53.18
69. RDC OFV: 39.64
70. RIMM OFV: 112.16
71. SLB OFV: 109.33
72. SLGN OFV: 57.09
73. SPY OFV: 155.83
74. SSS OFV: 49.92
75. SY OFV: 25.27
76. TIN OFV: 55.91
77. TRP OFV: 38.99
78. TUP OFV: 35.11
79. TXT OFV: 63.98
80. UNP OFV: 118.77
81. USO OFV: 63.81
82. XLI OFV: 41.09

Stocks expected to move "LOWER" Monday
Sell-Short Day Trading Ideas suggested for October 15 2007
Symbol OFV (Opening Fair Value)
1. AVY OFV: 55.30
2. BCR OFV: 87.53
3. BGG OFV: 24.39
4. BHS OFV: 19.74
5. CATY OFV: 32.80
6. CBS OFV: 30.05
7. CHTT OFV: 72.29
8. CMA OFV: 53.08
9. CVH OFV: 58.96
10. CWTR OFV: 8.18
11. CYN OFV: 70.95
12. DLTR OFV: 41.49
13. DNB OFV: 95.27
14. EPEX OFV: 8.40
15. ESIO OFV: 23.93
16. FITB OFV: 33.38
17. FLEX OFV: 11.45
18. FRE OFV: 60.81
19. GLYT OFV: 63.58
20. JCP OFV: 62.84
21. KEY OFV: 33.15
22. LIZ OFV: 31.95
23. LNCR OFV: 33.97
24. MSM OFV: 50.56
25. MU OFV: 10.55
26. NITE OFV: 13.64
27. NTES OFV: 18.72
28. NVEC OFV: 30.71
29. PLCM OFV: 24.41
30. QID OFV: 36.37
31. RKH OFV: 151.57
32. SDS OFV: 48.70
33. SLM OFV: 48.63
34. SNDK OFV: 48.29
35. SNV OFV: 27.66
36. STI OFV: 75.56
37. STU OFV: 189.53
38. TECD OFV: 40.28
39. TER OFV: 13.51
40. TXN OFV: 35.46
41. USG OFV: 39.30
42. USTR OFV: 57.02
43. VARI OFV: 67.11
44. VFC OFV: 79.71
45. WAG OFV: 38.91
46. WHR OFV: 89.81
47. WNC OFV: 10.89

Today's Portfolio Performance
Friday October 12 2007
(Long) 24 positions up out of 32 (75.0% accurate)
Current Value $1,609,030.00
Gross Gain $8,013.25
Friday October 12 2007
(Short) 29 positions down out of 44 (65.9% accurate)
Current Value $1,446,949.75
Gross Gain $18,274.62

Friday's Net After Commissions Trade Totals:
$8,013.21 Net Gain from Positive suggestions (Buy-Long),
plus,
$18,274.71 Net Gain from Negative suggestions (Sell-Short)

Combined Strategies Total: $26,287.92 Net Gain Friday

$2,000,000.00 Principal Amount TRADE MODEL Start Date: 7-12-07
Portfolio Day Trade Disciplines:
*1,000 shares per trade, always hedged
*Buy at OFV, Sell at Market Close
*Sell-Short at OFV, Buy-back at Market Close
*Costs: $9.95 X 2= $19.90 for each 1000 shares round trip (open/close)

Trade Date / Beginning / Gain or Loss / Net Account Value
July 12, 2007 $2,000,000.00 + 36,273.72 net gain = $2,036,273.72
July 13, 2007 $2,036,273.72 <- 400.00> net loss = $2,035,873.72
July 16, 2007 $2,035,873.72 + 4,834.41 net gain = $2,040,708.13
July 17, 2007 $2,040,708.13 + 12,114.31 net gain = $2,052,822.44
July 18, 2007 $2,052,822.44 + 12,566.53 net gain = $2,065,388.97
July 19, 2007 $2,065,388.97 + 16,165.04 net gain = $2,081,554.01
July 20, 2007 $2,081,554.01 + 18,765.38 net gain = $2,100,319.39
July 23, 2007 $2,100,319.39 + 5,060.01 net gain = $2,105,379.40
July 24, 2007 $2,105,379.40 + 56,062.01 net gain = $2,161,441.41
July 25, 2007 $2,161,441.41 + 11,938.12 net gain = $2,173,379.53
July 26, 2007 $2,173,379.53 + <1,440.00> net loss = $2,171,939.53
July 27, 2007 $2,171,939.53 + 6,410.09 net gain = $2,178,349.62
July 30, 2007 $2,178,349.62 + 8,501.51 net gain = $2,186,851.13
July 31, 2007 $2,186,851.13 + 10,641.09 net gain = $2,197,492.22
August 1, 2007 $2,197,492.22 + 46,410.00 net gain = $2,243,902.22
August 2, 2007 $2,243,902.22 + 20,543.23 net gain = $2,264,445.45
August 3, 2007 $2,264,445.45 + 4,935.81 net gain = $2,269,381.26
August 6, 2007 $2,269,381.26 + -1,298.78 net loss = $2,268,082.48
August 7, 2007 $2,268,082.48 + 31,239.89 net gain = $2,299,322.37
August 8, 2007 $2,299,322.37 + 56,444.32 net gain = $2,355,766.69
August 9, 2007 $2,355,766.69 + 11,620.90 net gain = $2,367,387.59
August 10, 2007 $2,367,387.59 + 3,551.41 net gain = $2,370,939.00
August 13, 2007 $2,370,939.00 + 56,028.35 net gain = $2,426,967.35
August 14, 2007 $2,426,967.35 + 81,737.06 net gain = $2,508,704.41
August 15, 2007 $2,508,704.41 + 7,240.60 net gain = $2,515,945.01
August 16, 2007 $2,515,945.01 + 20,124.54 net gain = $2,536,069.55
August 17, 2007 $2,536,069.55 + 120,505.45 net gain = $2,656,575.00
August 20, 2007 $2,656,575.00 + 18,145.54 net gain = $2,674,720.54
August 21, 2007 $2,674,720.54 + 5,287.14 net gain = $2,680,007.68
August 22, 2007 $2,680,007.68 + 49,666.04 net gain = $2,729,673.72
August 23, 2007 $2,729,673.72 + 20,297.53 net gain = $2,749,971.25
August 24, 2007 $2,749,971.25 + <$7,103.54> net loss = $2,742,867.71
September 5, 2007 $2,742,867.71 + 7,699.66 net gain = $2,750,567.37
September 6, 2007 $2,750,567.37 + 38,502.56 net gain = $2,789,069.93
September 7, 2007 $2,789,069.93 + 60,897.48 net gain = $2,849,967.41
September 10, 2007 $2,849,967.41 + 23,848.54 net gain = $2,873,815.95
September 11, 2007 $2,873,815.95 + 43,525.83 net gain = $2,917,341.78
September 12, 2007 $2,917,341.78 + 17,988.44 net gain = $2,935,330.22
September 13, 2007 $2,935,330.22 + 4,946.55 net gain = $2,940,276.77
September 14, 2007 $2,940,276.77 + 21,098.50 net gain = $2,961,375.27
September 17, 2007 $2,961,375.27 + 22,380.87 net gain = $2,983,756.14
September 18, 2007 $2,983,756.14 + 83,767.93 net gain = $3,067,524.07
September 19, 2007 $3,067,524.07 + 62,188.17 net gain = $3,129,712.24
September 20, 2007 $3,129,712.24 + 18,534.72 net gain = $3,148,246.96
September 21, 2007 $3,148,246.96 + 15,505.13 net gain = $3,163,752.09
September 24, 2007 $3,163,752.09 + 75,801.95 net gain = $3,239,554.04
September 25, 2007 $3,239,554.04 + 969.86 net gain = $3,240,523.90
September 26, 2007 $3,240,523.90 + 7,260.71 net gain = $3,247,784.61
September 27, 2007 $3,247,784.61 + 54,631.47 net gain = $3,302,416.08
September 28, 2007 $3,302,416.08 + 29,393.27 net gain = $3,331,809.35
October 1, 2007 $3,331,809.35 + 26,870.56 net gain = $3,358,679.91
October 2, 2007 $3,358,679.91 + 51,324.19 net gain = $3,410,004.10
October 3, 2007 $3,410,004.10 -1,616.68 net loss = $3,408,387.42
October 4, 2007 $3,408,387.42 + 4,193.61 net gain = $3,412,581.03
October 5, 2007 $3,412,581.03 + 45,255.33 net gain = $3,457,836.36
October 8, 2007 $3,457,836.36 + 18,923.91 net gain = $3,476,760.27
October 9, 2007 $3,476,760.27 + 25,883.21 net gain = $3,502,643.48
October 10, 2007 $3,502,643.48 + 22,035.01 net gain = $3,524,678.49
October 11, 2007 $3,524,678.49 + 6,132.82 net gain = $3,530,811.31
October 12, 2007 $3,530,811.31 + 26,287.92 net gain = $3,557,099.23
October 15, 2007 $3,557,099.23

*FRIDAY'S RESULTS*
Day Trading Ideas that were expected to move "HIGHER" Friday
Symbol OFV (Opening Fair Value) Bought, Sold at Close, results
Final reporting provided by ClearStation.com, wholly-owned by E*Trade
Long suggestions Friday October 12 2007 sorted by Bought in descending order
Symbol Last Change %Change Volume Position Bought Value Net %Change %Total
AHG25.30-1.65-6.12%2,230,000.100010/12/200725,310.00-1,559.90-5.80%0.82
APOL66.121.752.71%1,600,976.100010/12/200766,130.001,820.102.83%2.16
BSX15.020.010.06%14,189,417.100010/12/200715,020.0050.090.33%0.49
CEF10.010.010.10%390,496.100010/12/200710,010.0040.090.40%0.32
CLX62.660.080.14%841,207.100010/12/200762,670.00180.100.28%2.05
CYTC51.790.951.86%1,738,024.100010/12/200751,800.001,150.102.27%1.69
DO117.190.890.77%1,381,099.100010/12/2007117,200.001,010.100.86%3.83
ENZN9.160.050.54%365,215.100010/12/20079,160.0010.090.11%0.29
MEE26.43-0.86-3.15%3,351,800.100010/12/200726,430.00-589.90-2.18%0.86
GT30.76-0.21-0.71%2,916,300.100010/12/200730,760.00-159.90-0.51%1.00
JKHY28.380.020.10%438,140.100010/12/200728,390.000.090.00%0.92
CVS39.900.280.70%11,011,081.100010/12/200739,900.00470.101.19%1.30
MTL71.72-0.22-0.31%1,341,642.100010/12/200771,720.001,270.101.80%2.34
NWS24.34-0.05-0.24%2,809,500.100010/12/200724,340.00140.090.57%0.79
OHI16.57-0.30-1.83%464,500.100010/12/200716,570.00-299.90-1.77%0.54
OII80.88-3.44-4.07%929,900.100010/12/200780,890.00-3,139.89-3.73%2.64
PCU137.831.300.95%1,950,837.100010/12/2007137,830.00930.090.67%4.51
PG71.69-0.07-0.09%8,213,297.100010/12/200771,700.00-19.89-0.02%2.34
PPP57.970.360.62%486,000.100010/12/200757,970.00560.100.97%1.89
SNPS28.600.260.91%1,867,405.100010/12/200728,600.00380.091.34%0.93
SSS50.09-0.07-0.13%72,900.100010/12/200750,100.0070.100.14%1.63
TIN56.110.360.66%894,490.100010/12/200756,110.00290.100.51%1.83
TXT64.230.631.00%1,018,946.100010/12/200764,240.001,060.101.67%2.10
UNP119.511.110.94%2,279,979.100010/12/2007119,520.001,630.101.38%3.91
USO64.000.410.64%1,407,000.100010/12/200764,000.00610.100.96%2.09
WST41.910.962.36%396,600.100010/12/200741,920.001,080.102.64%1.37
DRQ53.90-0.73-1.35%390,100.100010/12/200753,900.00-99.89-0.18%1.76
OFC44.33-0.80-1.79%345,300.100010/12/200744,330.00-689.89-1.53%1.45
AMB65.52-0.62-0.93%473,400.100010/12/200765,530.00-629.89-0.95%2.14
SY26.201.747.11%2,986,468.100010/12/200726,200.001,710.096.98%0.85
ELX20.650.351.72%1,440,400.100010/12/200720,650.00660.093.30%0.67
ACC30.120.020.09%206,100.100010/12/200730,130.0080.090.26%0.98
Total $1,609,030.00 $8,013.21 0.50%

*FRIDAY'S RESULTS*
Day Trading Ideas that were expected to move "LOWER" Friday
Symbol OFV (Opening Fair Value) Sold-Short, Bought-back at Close, results
Final reporting provided by ClearStation.com, wholly-owned by E*Trade
Short suggestions Friday October 12 2007 sorted by Bought in descending order
Symbol Last Change %Change Volume Position Bought Value Net %Change %Total
ABT52.63-0.72-1.34%8,109,749.100010/12/200752,640.00440.100.82%1.72
AVY55.24-0.07-0.12%527,425.100010/12/200755,240.00380.100.68%1.80
BCR87.00-0.87-0.99%407,199.100010/12/200787,000.001,750.101.97%2.84
BGG24.320.020.08%691,200.100010/12/200724,320.00150.090.61%0.79
BRKS14.120.342.46%481,835.100010/12/200714,120.00-159.90-1.14%0.46
CATY32.49-0.29-0.91%156,435.100010/12/200732,490.00420.101.27%1.06
CENT8.93-0.02-0.22%158,738.100010/12/20078,930.0020.090.22%0.29
CMA52.70-0.66-1.23%1,399,417.100010/12/200752,710.001,080.102.00%1.72
CSGS21.410.211.03%420,830.100010/12/200721,410.00-179.90-0.84%0.70
CTB24.950.662.75%731,965.100010/12/200724,960.00-379.90-1.54%0.81
EFX37.360.391.08%830,417.100010/12/200737,370.00-139.89-0.37%1.22
ESIO23.850.000.00%118,659.100010/12/200723,850.00340.091.40%0.78
FITB33.03-0.64-1.90%5,778,057.100010/12/200733,039.89950.202.79%1.08
FRE60.63-0.14-0.24%2,024,000.100010/12/200760,630.00800.101.30%1.98
IART47.040.340.72%232,759.100010/12/200747,050.00140.100.29%1.53
JCP62.29-0.98-1.54%5,903,500.100010/12/200762,290.003,030.094.63%2.03
KMB70.500.480.69%1,631,221.100010/12/200770,500.00-209.89-0.29%2.30
LCAV29.110.652.28%1,029,171.100010/12/200729,110.00-249.90-0.86%0.95
LIZ31.76-0.35-1.12%1,415,000.100010/12/200731,760.00810.092.48%1.03
MU10.49-0.07-0.66%15,033,108.100010/12/200710,490.00160.091.50%0.34
MYL15.690.050.38%1,650,400.100010/12/200715,690.0070.090.44%0.51
NSM26.540.431.64%3,948,073.100010/12/200726,540.00-199.90-0.75%0.86
PLCM24.220.100.45%4,600,116.100010/12/200724,229.90-29.80-0.12%0.79