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Next Day's Advance Market Decisions: April 2008

Wednesday, April 30, 2008

Stock Trading Ideas Thursday May 1 2008

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

Next Day's Advance Market Decisions
Nightly Analysis Update

DIA Probability of being "Up" Thursday: 65%
DJIA Probability of being "Up" Thursday: 41%
(DIA & DJIA are weighted differently)
DJIA Trend: Falling Today 68% vs. 71% prior day (Sell stocks)
DJIA Trend Change: To "Down" from "Up" Tuesday 4-29-08
DJIA Momentum: Falling Today 55% vs. 61% prior day
DJIA Outlook: Bullish, yet Falling Today 63% vs. 64% prior day
Stock Market Outlook: Bullish, yet Falling 57.3% vs. 63.5% prior day

31 Selected Stocks expected to move "HIGHER" Thursday
Buy-Long Day Trading Ideas suggested for May 1 2008
Symbol OFV (Proposed Range) (Price Internal Strength)
ACV
ALU
ALV
ANSS
BKH
COP
CRR
CTV
CTXS
CVH
CVX
EPD
EWY
FCS
FLS
GWW
IDTI
INSP
KOP
NDSN
OTEX
PNRA
PVH
RRGB
RWT
TKLC
TKR
VSEA
WEN
X
YHOO
*OFV: Opening Fair Value

40 Selected Stocks expected to move "LOWER" Thursday
Sell-Short Day Trading Ideas suggested for May 1 2008
Symbol OFV (Proposed Range) (Price Internal Strength)
ABT
AMD
BAC
BEBE
C
CATY
CCRT
CEG
CL
CLX
CMG
CMTL
CSL
CTB
DELL
DGII
DNA
EPIC
ESLR
GE
GRMN
HOC
LCAV
LDK
LNCR
NCC
PPD
RNOW
RSYS
SEIC
SILC
SOLF
SUN
TESS
TRA
TRID
TSO
TSRA
VIVO
*OFV: Opening Fair Value

Good luck and good trading!

*WEDNESDAY'S RESULTS*
Next Day's Advance Market Decisions- Trading Ideas
$1,000,000.00 Portfolio Performance, Funded: 12-17-2007
Account Value $1,302,400.28 4-30-08 Change +$1,760.00
Account Value $1,300,640.28 4-29-08 Change +$13,994.62
Account Value $1,288,625.66 4-28-08 Change +$2,200.00
Account Value $1,292,805.66 4-25-08 Change -$9,020.00
Account Value $1,301,825.66 4-24-08 Change -$17,600.00
Account Value $1,319,425.66 4-23-08 Change +$1,540.00
Account Value $1,317,885.66 4-22-08 Change +$14,520.00
Account Value $1,303,365.66 4-21-08 Change +$3,820.00
Account Value $1,296,545.66 4-18-08 Change -$36,080.00
Account Value $1,332,625.66 4-17-08 Change -$1,320.00
Account Value $1,345,825.66 4-16-08 Change -$29,250.99
Account Value $1,375,076.65 4-15-08 Change +$5,884.67
Account Value $1,369,191.98 4-14-08 Change +$2,364.03
Account Value $1,366,827.95 4-11-08 Change +$46,422.46
Account Value $1,320,405.49 4-10-08 Change -$3,430.16
Account Value $1,323,835.65 4-9-08 Change +$24,007.45
Account Value $1,299,828.20 4-8-08 Change +$6,265.00
Account Value $1,293,563.20 4-7-08 Change -$5,051.92
Account Value $1,300,985.12 4-4-08 Change +$14,657.93
Account Value $1,286,335.60 4-3-08 Change +$19,017.55
Account Value $1,267,318.05 4-2-08 Change +$4,101.18
Account Value $1,263,216.87 4-1-08 Change -$17,750.69
Account Value $1,280,967.56 3-31-08 Change +$208,083.04
Account Value $1,072,884.52 2-29-08 Change +$65,048.93
Account Value $1,007,835.59 1-31-08 Change +$17,581.30
Account Value $990,254.29 12-31-07 Change -$9,745.71

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

Full disclosure:
Long/Short individual stocks and ETFs owned at time of writing by its author?
Short DIA

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 April 30 Forecast

Information provided by: http://www.mktmetrics.com/
(Below is a sample of our program using DIA ETF current information)

Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 04/30/08
Last Updated: 04/29/08
04/29/08 Final Numbers
(Open) 128.39
(High) 128.79
(Low) 127.94
(Close) 128.19
(Range) 0.85

DIA Wednesday Forecast
Opening Fair Value: 128.35
Today's Predicted High: 129.04
Today's Predicted Low: 127.34
Today's Proposed Range: 1.70
Buy/Sell Rating: Buy

Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 82 Down from 83
Volume Internal Strength: Negative 0.50/0.68 Down
Current Trend: Positive 49 Down from 53
Demand Factor: 98 Down from 100
Stock Volatility: -0.85 Down from 2.33

Predict DIA Upside and Downside Potential
04/29/08 12:45 Close: 128.17
Upside Potential: 129.84
Downside Potential: 126.44

Predicted Block Trading Resistance Levels (100,000+ shares)
1. 130.50
2. 130.75
3. 130.96
4. 131.37

Predicted Block Trading Support Levels (100,000+ shares)
1. 126.21
2. 125.82
3. 125.63
4. 125.38

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 128.06
21 DAY MOVING AVERAGE = 126.49
30 DAY MOVING AVERAGE = 125.57
42 DAY MOVING AVERAGE = 124.30
50 DAY MOVING AVERAGE = 124.41
65 DAY MOVING AVERAGE = 124.31
30 WEEK MOVING AVERAGE = 129.44
200 DAY MOVING AVERAGE = 130.63

Dow Jones Industrial Average and Diamonds (DIA)
DJIA Probability of Being Up Wednesday: 52%
DIA Probability of Being Up Wednesday: 61%
(DJIA & DIA are weighted differently)
Dow Outlook: Bullish Rising 64% vs. 62 previous day
Stock Market Outlook: Bullish, yet Falling 63.5 vs. 64.7% previous day

Subscribe today 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 at time of writing by author?
Short DIA

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

Stock Market Forecast Wednesday April 30 2008

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 4-29-08 DJIA closed: 12,831.94 -39.81 vs. Prior day: 12,871.75 -20.11
DJIA 21-Day Moving Average: 12,648.99 +27.09 vs. Prior day: 12,621.90 +31.21
(DJIA closed 1.45% above its rising 21-day moving average vs. 1.98% prior day)

Before the New York Stock Exchange Open
Wednesday April 30 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Wednesday: 52%
DIA probability of closing "Up" Wednesday: 61%
DIA Past 4 Wednesdays: Falling 59.2% / 60.3% / 59.6% / 60.7%
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Falling Today Up 22 vs. Down 9 (-2 vs +1 prior day)
DJIA Trend: Falling Today 71% vs Yesterday 77% (High 97% / Low 0%)
Change in Trend: To "Down" from "Up" as of day 4-29-08 (Change: Sell)
DJIA MACD: Unch Today, Buy as of Thursday 4-17-08 (12,26 computation)
DJIA Momentum: Rising Today 61% vs Yesterday 55% (High 97% / Low 10%)
DJIA Volatility: Falling Today 0.51 vs Yesterday 0.85 (High 6.98 / Low -1.14)
DJIA 50-Day Net Change: Falling Today +483 vs Yesterday +494 (High 1450 / Low -1812)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -1812 3-10-08 (today 483 33.3% of High)

DJIA Resistance Levels: Mean= 12,649 / Intermediate Term 12,870 / Breakout 13,091
DJIA Support Levels: Mean= 12,622 / Intermediate Term 12,414 / Breakdown 12,206

Market Comment:
The DJIA closed Tuesday 1.45% above its rising 21-day moving average vs. 1.98% previously. The daily Dow Trend has changed directions to "Down" from "Up" as it moved lower to 71 from 77. The daily Dow Outlook moved higher to 64 from 62. The DJIA 50-Day Net Change moved lower on Tuesday. Today, the FOMC meeting will adjourn and announce the decision to move key rates lower by a quarter of a point. Since this has been much publicized, most likely there will be selling upon the announcement. Stock Market is vulnerable here.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Falling Today .07% vs Yesterday .09% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, positive yet decreasing.

Institutional Money Flow: Falling Today 65% vs Yesterday 74% (High 97% / Low 6%) Mean= 52% Closed above its Mean, positive yet decreasing.

Institutional Demand: Falling Today 57.61% vs Yesterday 61.09% (High 86.84% / Low 13.13%) Mean= 50.0% Closed above its Mean, positve yet decreasing.

Institutional Inventory: Falling Today 58.22% vs Yesterday 59.96% (High 81.06%/Low 19.77%) Mean= 50.4% Closed above its Mean, positive yet decreasing.

Institutional Accumulation/Distribution Trend: Falling Today .17% vs Yesterday .20% (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 Rising Today 64% vs. Yesterday 62% (High 89% / Low 16%) Mean= 53.5% Closed above its Mean, Positive and increasing.

Stock Market Outlook: Bullish, yet Falling Today 63.5% vs Yesterday 64.7% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

12 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Falling Trend Today 49% vs. Yesterday 53% (High 95% / Low -80%)
SPY: Falling Trend Today 44% vs. Yesterday 51% (High 77% / Low -89%)
MDY: Falling Trend Today 74% vs. Yesterday 82% (High 91% / Low -1.16%)
IWM: Falling Trend Today 31% vs. Yesterday 35% (High 71% / Low -67%)
QQQQ: Rising Trend Today 30% vs. Yesterday 28% (High 54% / Low -43%)
SMH: Falling Trend Today 25% vs. Yesterday 26% (High 48% / Low -53%)
IYT: Rising Trend Today 44% vs. Yesterday 43% (High 80% / Low -95%)
XLE: Falling Trend Today 53% vs. Yesterday 67% (High 82% / Low -60%)
XLF: Falling Trend Today 12% vs. Yesterday 18% (High 45% / Low -58%)
IAI: Falling Trend Today 27% vs. Yesterday 29% (High 55% / Low -65%)
IYR: Falling Trend Today 24% vs. Yesterday 31% (High 64% / Low -85%)
XHB: Falling Trend Today 17% vs. Yesterday 22% (High .69% / Low -.56%)
(MktMetrics.com tracks 108 Exchange Traded Funds for our subscribers)

Stock Market Plurality: (a short-term overbought/oversold indicator)
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Falling Trend Today 105 vs. Yesterday 127 (High 367 / Low 3)
Demand Factor "0": Rising Trend Today 23 vs. Yesterday 11 (High 360 / Low 6)

Information provided by http://www.mktmetrics.com/
A Strategic Collaboration with TigerSoft.com
http://www.tigersoft.com/DG/TigerSoft-Blog.htm

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

Tuesday, April 29, 2008

Stock Trading Ideas Wednesday April 30 2008

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

Nightly Analysis Update

DIA Probability of being "Up" Wednesday: 61%
DJIA Probability of being "Up" Wednesday: 52%
(DIA & DJIA are weighted differently)
DJIA Trend: Falling Today 71% vs. 77% prior day (Sell)
DJIA Trend Change: To "Down" from "Up" Tuesday 4-29-08
DJIA Momentum: Rising Today 61% vs. 58% prior day
DJIA Outlook: Bullish Rising Today 64% vs. 62% prior day
Stock Market Outlook: Bullish, yet Falling 63.5% vs. 64.4% prior day

105 Selected Stocks expected to move "HIGHER" Wednesday
Buy-Long Day Trading Ideas suggested for April 30 2008

Symbol OFV (Proposed Range) (Price Internal Strength)
AAPL
ACV
ALU
ALV
ANSS
AXA
BKH
BMC
BRO
BXG
COP
CQB
CRS
CTSH
CTV
CVC
CVH
CVX
DB
DIS
DISH
DOV
DRE
ELNK
EWN
EWY
FCS
FDS
FLS
GPC
GWW
GYMB
HAS
HIW
HOLX
HST
HW
IDTI
IEV
IEX
IGV
IGW
IJH
IVAC
IVGN
IWO
IYC
IYW
JEF
JKHY
JOSB
JWN
KR
KSS
LLTC
LUV
MA
MAC
MCD
MSM
MSTR
MTW
MVL
NDN
OSG
PLXS
PRKR
PVH
QQQQ
RDK
RHI
RIMM
RSTI
RWT
SAFT
SBAC
SINA
SNA
SOHU
SON
SSP
SSS
TKLC
TMO
TXI
TXT
TYC
UNP
URBN
UTX
VECO
VPHM
VRTX
VSEA
WEN
WMT
WRE
WRLD
WTS
X
XLNX
XLV
XLY
YHOO
ZMH
*OFV: Opening Fair Value

23 Selected Stocks expected to move "LOWER" Wednesday
Sell-Short Day Trading Ideas suggested for April 30 2008

Symbol OFV (Proposed Range) (Price Internal Strength)
ABX
CEG
CSK
CSL
CTB
DGII
DNA
ESLR
GE
GLD
GM
IDXX
ININ
LCAV
LNCR
MRK
QID
RSYS
SILC
SOLF
SSW
TRA
TRID
*OFV: Opening Fair Value

Good luck and good trading!

*MONDAY'S RESULTS*
Next Day's Advance Market Decisions- Trading Ideas
$1,000,000.00 Portfolio Performance, Funded: 12-17-2007

Account Value $1,300,640.28 4-29-08 Change +$13,994.62
Account Value $1,288,625.66 4-28-08 Change +$2,200.00
Account Value $1,292,805.66 4-25-08 Change -$9,020.00
Account Value $1,301,825.66 4-24-08 Change -$17,600.00
Account Value $1,319,425.66 4-23-08 Change +$1,540.00
Account Value $1,317,885.66 4-22-08 Change +$14,520.00
Account Value $1,303,365.66 4-21-08 Change +$3,820.00
Account Value $1,296,545.66 4-18-08 Change -$36,080.00
Account Value $1,332,625.66 4-17-08 Change -$1,320.00
Account Value $1,345,825.66 4-16-08 Change -$29,250.99
Account Value $1,375,076.65 4-15-08 Change +$5,884.67
Account Value $1,369,191.98 4-14-08 Change +$2,364.03
Account Value $1,366,827.95 4-11-08 Change +$46,422.46
Account Value $1,320,405.49 4-10-08 Change -$3,430.16
Account Value $1,323,835.65 4-9-08 Change +$24,007.45
Account Value $1,299,828.20 4-8-08 Change +$6,265.00
Account Value $1,293,563.20 4-7-08 Change -$5,051.92
Account Value $1,300,985.12 4-4-08 Change +$14,657.93
Account Value $1,286,335.60 4-3-08 Change +$19,017.55
Account Value $1,267,318.05 4-2-08 Change +$4,101.18
Account Value $1,263,216.87 4-1-08 Change -$17,750.69
Account Value $1,280,967.56 3-31-08 Change +$208,083.04
Account Value $1,072,884.52 2-29-08 Change +$65,048.93
Account Value $1,007,835.59 1-31-08 Change +$17,581.30
Account Value $990,254.29 12-31-07 Change -$9,745.71

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

Full disclosure:
Long/Short individual stocks and ETFs owned at time of writing by its author?
Short DIA

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 April 29 Forecast

Information provided by: http://www.mktmetrics.com/
(Below is a sample of our program using DIA ETF current information)

Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 04/29/08
Last Updated: 04/28/08
04/28/08 Final Numbers
(Open) 128.88
(High) 129.28
(Low) 127.69
(Close) 128.79
(Range) 1.59

DIA Tuesday Forecast
Opening Fair Value: 128.57
Today's Predicted High: 129.40
Today's Predicted Low: 128.18
Today's Proposed Range: 1.22
Buy/Sell Rating: Buy

Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 83 Up from 81
Volume Internal Strength: Negative 0.50/0.72 Down
Current Trend: Positive 53 Up from 43
Demand Factor: 100 Up from 99
Stock Volatility: 2.33 Down from 2.58

Predict DIA Upside and Downside Potential
04/28/08 12:45 Close: 128.93
Upside Potential: 130.06
Downside Potential: 127.62

Predicted Block Trading Resistance Levels (100,000+ shares)
1. 130.24
2. 131.37
3. 131.46
4. 131.87

Predicted Block Trading Support Levels (100,000+ shares)
1. 126.69
2. 126.30
3. 126.21
4. 125.14

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 127.87
21 DAY MOVING AVERAGE = 126.21
30 DAY MOVING AVERAGE = 125.30
42 DAY MOVING AVERAGE = 124.25
50 DAY MOVING AVERAGE = 124.31
65 DAY MOVING AVERAGE = 124.22
30 WEEK MOVING AVERAGE = 129.50
200 DAY MOVING AVERAGE = 130.68

Dow Jones Industrial Average and Diamonds (DIA)
DJIA Probability of Being Up Tuesday: 67%
DIA Probability of Being Up Tuesday: 58%
(DJIA & DIA are weighted differently)
Dow Outlook: Bullish Rising 62% vs. 59 previous day
Stock Market Outlook: Bullish Rising 64.7 vs. 64.4% previous day

Subscribe today 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 at time of writing by author?
Short DIA

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

Stock Market Forecast Tuesday April 29 2008

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 4-28-08 DJIA closed: 12,871.75 -20.11 vs. Prior day: 12,891.86 +42.91
DJIA 21-Day Moving Average: 12,621.90 +31.21 vs. Prior day: 12,590.69 +28.07
(DJIA closed 1.98% above its rising 21-day moving average vs. 2.39% prior day)

Before the New York Stock Exchange Open
Tuesday April 29 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Tuesday: 67%
DIA probability of closing "Up" Tuesday: 58%
DIA Past 4 Tuesdays: Falling 56.6% / 57.6% / 56.8% / 56.0%
(Higher Close from Open is greatest for Tuesday)
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Unch Today Up 24 vs. Down 7 (+1 vs +4 prior day)
DJIA Trend: Rising Today 77% vs Yesterday 74% (High 97% / Low 0%)
Change in Trend: To "Up" from "Down" as of day 4-25-08 (Change: Buy)
DJIA MACD: Unch Today, Buy as of Thursday 4-17-08 (12,26 computation)
DJIA Momentum: Falling Today 55% vs Yesterday 58% (High 97% / Low 10%)
DJIA Volatility: Falling Today 0.85 vs Yesterday 1.47 (High 6.98 / Low -1.14)
DJIA 50-Day Net Change: Rising Today +494 vs Yesterday +340 (High 1450 / Low -1812)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -1812 3-10-08 (today 494 34.0% of High)

DJIA Resistance Levels: Mean= 12,621 / Intermediate Term 12,842 / Breakout 13,063
DJIA Support Levels: Mean= 12,590 / Intermediate Term 12,385 / Breakdown 12,180

Market Comment:
The DJIA closed Monday 1.38% above its rising 21-day moving average vs. 2.39% previously. The daily Dow Trend moved higher to 77 from 74. This reading is where the DJIA turned down last time. In other words, the DJIA is at a critical juncture that could move the Stock Market in either direction. The daily Dow Outlook moved higher again to 62 from 59. The DJIA 50-Day Net Change went positive last Thursday (4-17), went down five days, but closed higher Monday. Still, it is earnings season and it is full of surprises which is most likely why the dearth in volume has held back Investors from commitment. Stock Market is vulnerable here.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Rising Today .09% vs Yesterday .07% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, Positive and increasing.

Institutional Money Flow: Rising Today 77% vs Yesterday 74% (High 97% / Low 6%) Mean= 52% Closed above its Mean, Positive and increasing.

Institutional Demand: Falling Today 61.09% vs Yesterday 63.35% (High 86.84% / Low 13.13%) Mean= 50.0% Closed above its Mean, positve yet decreasing.

Institutional Inventory: Rising Today 59.96% vs Yesterday 59.77% (High 81.06%/Low 19.77%) Mean= 50.4% Closed above its Mean, Positive and increasing.

Institutional Accumulation/Distribution Trend: Rising Today .20% vs Yesterday .17% (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: Bullish Rising Today 62% vs. Yesterday 59% (High 89% / Low 16%) Mean= 53.5% Closed above its Mean, Positive and increasing.

Stock Market Outlook: Bullish Rising Today 64.7% vs Yesterday 64.4% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

12 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Rising Trend Today 53% vs. Yesterday 43% (High 95% / Low -80%)
SPY: Rising Trend Today 51% vs. Yesterday 41% (High 77% / Low -89%)
MDY: Rising Trend Today 82% vs. Yesterday 74% (High 91% / Low -1.16%)
IWM: Rising Trend Today 35% vs. Yesterday 25% (High 71% / Low -67%)
QQQQ: Rising Trend Today 28% vs. Yesterday 25% (High 54% / Low -43%)
SMH: Rising Trend Today 26% vs. Yesterday 23% (High 48% / Low -53%)
IYT: Rising Trend Today 43% vs. Yesterday 36% (High 80% / Low -95%)
XLE: Rising Trend Today 67% vs. Yesterday 62% (High 82% / Low -60%)
XLF: Rising Trend Today 18% vs. Yesterday 9% (High 45% / Low -58%)
IAI: Rising Trend Today 29% vs. Yesterday 12% (High 55% / Low -65%)
IYR: Rising Trend Today 31% vs. Yesterday 18% (High 64% / Low -85%)
XHB: Rising Trend Today 22% vs. Yesterday 14% (High .69% / Low -.56%)
(MktMetrics.com tracks 108 Exchange Traded Funds for our subscribers)

Stock Market Plurality: (a short-term overbought/oversold indicator)
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Falling Trend Today 127 vs. Yesterday 189 (High 367 / Low 3)
Demand Factor "0": Falling Trend Today 11 vs. Yesterday 19 (High 360 / Low 6)

Information provided by http://www.mktmetrics.com/
A Strategic Collaboration with TigerSoft.com
http://www.tigersoft.com/DG/TigerSoft-Blog.htm

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

Monday, April 28, 2008

Dow 30 ETF (DIA) Monday April 28 Forecast

Information provided by: http://www.mktmetrics.com/
(Below is a sample of our program using DIA ETF current information)

Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 04/28/08
Last Updated: 04/25/08
04/25/08 Final Numbers
(Open) 128.78
(High) 128.94
(Low) 127.32
(Close) 128.77
(Range) 1.62

DIA Monday Forecast
Opening Fair Value: 128.29
Today's Predicted High: 129.34
Today's Predicted Low: 128.20
Today's Proposed Range: 1.14
Buy/Sell Rating: Buy

Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 81 Up from 78
Volume Internal Strength: Negative 0.80/0.82 Down
Current Trend: Positive 43 Up from 32
Demand Factor: 99 Up from 96
Stock Volatility: 2.58 Down from 5.15

Predict DIA Upside and Downside Potential
04/25/08 12:45 Close: 127.75
Upside Potential: 130.46
Downside Potential: 128.18

Predicted Block Trading Resistance Levels (100,000+ shares)
1. 129.87
2. 131.35
3. 131.36
4. 131.52

Predicted Block Trading Support Levels (100,000+ shares)
1. 126.36
2. 126.20
3. 126.19
4. 124.77

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 127.60
21 DAY MOVING AVERAGE = 125.90
30 DAY MOVING AVERAGE = 125.00
42 DAY MOVING AVERAGE = 124.20
50 DAY MOVING AVERAGE = 124.22
65 DAY MOVING AVERAGE = 124.14
30 WEEK MOVING AVERAGE = 129.56
200 DAY MOVING AVERAGE = 130.73

Dow Jones Industrial Average and Diamonds (DIA)
DJIA Probability of Being Up Monday: 64%
DIA Probability of Being Up Monday: 35%
(DJIA & DIA are weighted differently)
Dow Outlook: Bullish Rising 59% vs. 57 previous day
Stock Market Outlook: Bullish Rising 64.4 vs. 61.5% previous day

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Long/Short individual stocks mentioned at time of writing by author?
Short DIA

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Stock Market Forecast Monday April 28 2008

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Friday 4-25-08 DJIA closed: 12,891.86 +42.91 vs. Prior day: 12,848.95 +85.73
DJIA 21-Day Moving Average: 12,590.69 +28.07 vs. Prior day: 12,562.62 +20.29
(DJIA closed 2.39% above its rising 21-day moving average vs. 2.28% prior day)

Before the New York Stock Exchange Open
Monday April 28 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Monday: 64%
DIA probability of closing "Up" Monday: 35%
DIA Past 4 Mondays: Rising 50.9% / 50.0% / 51.0% / 52.0%
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Unch Today Up 23 vs. Down 8 (+4 vs -0 prior day)
DJIA Trend: Rising Today 74% vs Yesterday 61% (High 97% / Low 0%)
Change in Trend: To "Up" from "Down" as of day 4-23-08 (Change: Buy)
DJIA MACD: Rising Today, Buy as of Thursday 4-17-08 (12,26 computation)
DJIA Momentum: Unch Today 58% vs Yesterday 58% (High 97% / Low 10%)
DJIA Volatility: Falling Today 1.47 vs Yesterday 2.13 (High 6.98 / Low -1.14)
DJIA 50-Day Net Change: Falling Today +340 vs Yesterday +475 (High 1450 / Low -1812)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -1812 3-10-08 (today 340 23.4% of High)

DJIA Resistance Levels: Mean= 12,591 / Intermediate Term 12,811 / Breakout 13,031
DJIA Support Levels: Mean= 12,562 / Intermediate Term 12,356 / Breakdown 12,150

Market Comment:
The DJIA closed Friday 2.38% above its rising 21-day moving average vs. 2.28% previously. The daily Dow Trend changed directions to "Up" from "Down" Friday, as the reading moved to 74 from 61. MktMetrics followers should wait today before commiting funds to a move up from here at least one day. The daily Dow Outlook moved higher again to 59 from 57. The DJIA 50-Day Net Change went positive last Thursday (4-17), but has been down since then for the last five days. Still, it is earnings season and it is full of surprises which is most likely why the dearth in volume has held back Investors from commitment.

Institutional Investor Statistical Trends (Historic High / Low)

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

Institutional Money Flow: Rising Today 74% vs Yesterday 61% (High 97% / Low 6%) Mean= 52% Closed above its Mean, Positive and increasing.

Institutional Demand: Rising Today 63.35% vs Yesterday 59.64% (High 86.84% / Low 13.13%) Mean= 50.0% Closed above its Mean, Positve and increasing.

Institutional Inventory: Rising Today 59.77% vs Yesterday 57.19% (High 81.06%/Low 19.77%) Mean= 50.4% Closed above its Mean, Positive and increasing.

Institutional Accumulation/Distribution Trend: Rising Today .17% vs Yesterday .09% (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: Bullish Rising Today 59% vs. Yesterday 57% (High 89% / Low 16%) Mean= 53.5% Closed above its Mean, Positive and increasing.

Stock Market Outlook: Bullish Rising Today 64.4% vs Yesterday 61.5% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

12 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Rising Trend Today 43% vs. Yesterday 32% (High 95% / Low -80%)
SPY: Rising Trend Today 41% vs. Yesterday 29% (High 77% / Low -89%)
MDY: Rising Trend Today 74% vs. Yesterday 51% (High 91% / Low -1.16%)
IWM: Rising Trend Today 25% vs. Yesterday 13% (High 71% / Low -67%)
QQQQ: Rising Trend Today 25% vs. Yesterday 12% (High 54% / Low -43%)
SMH: Rising Trend Today 23% vs. Yesterday 16% (High 48% / Low -53%)
IYT: Rising Trend Today 36% vs. Yesterday 21% (High 80% / Low -95%)
XLE: Rising Trend Today 62% vs. Yesterday 47% (High 82% / Low -60%)
XLF: Rising Trend Today 9% vs. Yesterday -2% (High 45% / Low -58%)
IAI: Rising Trend Today 12% vs. Yesterday -9% (High 55% / Low -65%)
IYR: Rising Trend Today 18% vs. Yesterday 10% (High 64% / Low -85%)
XHB: Rising Trend Today 14% vs. Yesterday 5% (High .69% / Low -.56%)
(MktMetrics.com tracks 108 Exchange Traded Funds for our subscribers)

Stock Market Plurality: (a short-term overbought/oversold indicator)
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Rising Trend Today 189 vs. Yesterday 146 (High 367 / Low 3)
Demand Factor "0": Rising Trend Today 19 vs. Yesterday 17 (High 360 / Low 6)

Information provided by http://www.mktmetrics.com/
A Strategic Collaboration with TigerSoft.com
http://www.tigersoft.com/DG/TigerSoft-Blog.htm

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

Sunday, April 27, 2008

Dow 30 + DIA Buy/Sell Monday 4-28-08

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

DIA Probability to be "Up" Monday: 35%
DJIA Probability to be "Up" Monday: 64%
(DIA & DJIA are weighted differently)

DIA Probability Percent of "Up" at the Close
This Week's Five Day Forecast (4-28 through 5-2)
Information provided by: http://www.tigersoft.com/DG/welcome.htm

Mondays: Past 51 Rising 50.9% / 50.0% / 51.0% / 52.0%

Tuesdays: Past 53 Falling 56.6% / 57.6% / 56.8% / 56.0%
(Higher Close from Open is greatest for Tuesday)

Wednesdays: Past 54 Falling 59.2% / 60.3% / 59.6% / 60.7%

Thursdays: Past 54 Rising 53.7% / 52.8% / 51.9% / 50.9%
(Lower Open is greatest for Thursday)

Fridays: Past 54 Rising 55.5% / 54.7% / 53.8% / 54.9%
(Higher Open, Lower Close from Open is greatest for Friday)

All days: Past 266 Days Rising 55.3% / 55.2 % / 54.7% / 55.0%

Dow 30 + DIA Buy/Sell Signals & Trends
Sym/Sig/Demand/Range/IRS*/Trend
AA SELL 88+ 0.84 48U 0.18+
AIG SELL 11+ 1.70 39U 0.14+
AXP S/BUY+ 29+ 1.51 50U 0.10+
BA S/BUY 91+ 1.68 80U 0.63+
BAC S/SELL 11+ 1.12 27U -0.25+
C BUY 15+ 0.83 61U 0.21+
CAT S/BUY 97+ 2.94 79U 0.35+
CVX BUY 99+ 1.55 91D 0.65+
DD S/BUY 81+ 1.15 68U 0.32+
DIA BUY 99+ 1.14 81U 0.43+
DIS BUY 100/ 0.46 83U 0.16+
GE S/SELL 8+ 0.52 19U -0.41+
GM S/BUY 13- 1.01 51D 0.05+
HD S/BUY+ 64+ 0.90 64U 0.16+
HPQ BUY 52- 0.81 61D 0.06+
IBM BUY- 99- 1.89 91D 0.61+
INTC BUY 60+ 0.39 72U 0.17+
JNJ BUY 84/ 0.91 82D 0.28+
JPM BUY 62+ 1.13 76U 0.23+
KO S/SELL 59- 0.97 37D -0.10+
MCD BUY 100/ 0.96 90U 0.40+
MMM BUY 68+ 1.61 32D 0.05+
MRK S/SELL- 45+ 1.52 33U -0.22+
MSFT S/BUY 20- 0.57 50D 0.20+
PFE BUY+ 17+ 0.37 19U 0.02+
PG SELL 31- 0.99 12D -0.19+
T BUY+ 89/ 0.82 61U 0.01+
UTX BUY 100/ 1.05 71U 0.29+
VZ S/SELL 77+ 0.79 46U -0.02+
WMT BUY 100/ 0.88 97U 0.47+
XOM BUY 95- 1.23 82D 0.42+
*Internal Relative Strength

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MktMetrics Weekly Stocks In Review

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This Week's BEST & WORST Opportunities

188 Top Selected BEST Positive Stocks (Buy-Long Ideas)
Steady Accumulation confirmed by an Up Trend
Statistics for 4-28-08 Monday's NYSE Open
Symbol OFV (Proposed Range) Price Internal Strength +/-
AAPL
ACC
ADP
AEPI
AG
ALU
ALV
AMB
ANSS
ANW
APH
ARA
ARE
ASMI
ASML
ATK
ATLS
AVY
AXA
BCE
BHI
BLL
BMC
BMS
BNI
BRO
BUCY
BXG
CHB
CHK
CHL
CMVT
CR
CREE
CRR
CRXL
CRYP
CSX
CTSH
CTV
CVH
CX
DB
DBC
DDM
DE
DEO
DIS
DNB
DPTR
DRE
DRQ
DSX
EEB
EEM
ELNK
ELOS
EPIQ
EPP
ETN
EWC
EWG
EWK
EWN
EWP
EWQ
EWU
EWW
EWY
FAF
FDS
FLIR
FLS
FMC
GME
GMT
GPC
HBC
HIW
HP
HW
IDTI
IEV
IEX
IFF
IGV
IGW
IIF
IIVI
IJH
IJK
INFY
ITW
IWM
IWO
IYC
IYE
IYH
IYK
IYW
IYY
JEF
JOSB
KBR
KOP
LLTC
LMT
MAA
MAC
MCD
MCRS
MDT
MEE
MKC
MRVL
MSM
MSTR
MTL
MU
MVL
NBR
NCR
NDN
NDSN
NITE
NSC
NTRS
NUAN
NYT
OIH
OII
OKE
OLN
OMG
OSG
OXY
PCL
PCP
PEO
PKOH
PLL
PNRA
PRKR
PWO
PX
QLD
QQQQ
QSFT
RHI
RIMM
ROP
RRGB
RSG
SBAC
SCHN
SGY
SINA
SKT
SLB
SNA
SON
SPG
SPN
SSP
SSS
TER
TKR
TMO
TRN
TROW
TWX
TXT
UEIC
UNP
UTH
UTX
VPHM
VSEA
WEN
WMT
WRE
WSO
WTS
XLE
XLNX
XLY
YUM
ZMH
*OFV: Opening Fair Value

20 Top Selected Negative Stocks (Short-Sale Ideas)
Steady Distribution confirmed by a Down Trend
Statistics for 4-28-08 Monday's NYSE Open
Symbol OFV (Proposed Range) Price Internal Strength +/-
BGG OFV: 14.09 (0.60) -7- Vol. .811
CSL OFV: 29.37 (1.55) -2- Vol. .599
CTB OFV: 14.15 (0.52) -22- Vol. .962
DUG OFV: 31.03 (1.41) -12- Vol. 5.504
DXD OFV: 51.49 (0.89) -18- Vol. 5.555
ESLR OFV: 8.78 (0.84) -11- Vol. 5.518
FXP OFV: 64.48 (3.57) -11+ Vol. 2.691
GLD OFV: 87.79 (1.32) -21- Vol. 12.229
LIFC OFV: 50.57 (0.10) +78/ Vol. 1.198
LNCR OFV: 24.55 (0.75) -3- Vol. 1.034
MLNM OFV: 24.57 (0.12) +80- Vol. 10.516
NDAQ OFV: 37.34 (1.36) -6- Vol. 2.681
PEP OFV: 67.79 (1.20) -5- Vol. 6.574
PGNX OFV: 14.08 (0.73) +61+ Vol. 1.091
QID OFV: 42.59 (1.34) -20- Vol. 36.551
SDS OFV: 57.62 (1.05) -18- Vol. 24.996
SUN OFV: 51.15 (1.79) -10- Vol. 2.973
TSO OFV: 26.59 (1.43) -11- Vol. 5.282
VIVO OFV: 27.29 (1.00) -9- Vol. .433
WFMI OFV: 31.55 (1.03) -7- Vol. 3.229
*OFV: Opening Fair Value

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"Not always right, just very seldom wrong."

Saturday, April 26, 2008

MktMetrics Weekly Stock Market Analysis

Stock Market Analysis for Week Ending April 25, 2008 (Historic: Highs /Lows)

Stock Market Outlook: Bullish Rising 64.4% vs Last week: 56.0% (Historic: High 100.0% / Low 7.1%)

DJIA Outlook: Bullish Rising 59% vs Last week: 50% (Historic: High 89% / Low 12%)

Dow Jones Industrial Average (DJIA) Trading Range:
High 14,279.96 (10-11-07) / Low 11,508.74 (1-22-08)= Range: 2,771.22

DJIA Closed: 12,891.86 vs Last week: 12,849.36 +42.50 / Prior week: +523.94
DJIA 21-day Moving Average: 12,590.69 vs Last week: 12,501.10 +89.59 / Prior week: +104.39
DJIA 50-Day Net Change: Rising 339 vs Last week 649 (High 1450 5-23-07 / Low -1812 3-10-08)DJIA Trend: Rising 74% vs Last week: 58% (High 97% 9-19-07&10-1-07 / Low: 0% 6-13-06)
DJIA Momentum: Rising 58% vs Last week: 48% (High 97% / Low 10%)
DJIA Volatility: Falling 1.47% vs Last week: 1.63% (High 6.98% / Low -1.14%)
DJIA Resistance: Rising Near Term 12,811 vs Last week 12,719 +92 / Prior week: +105
DJIA Breakout: Rising Intermediate Term 13,031 vs Last week 12,938
DJIA Support: Rising Near Term 12,356 vs Last week: 12,264 +92 / Prior week: +89
DJIA Breakdown: Rising Intermediate Term 12,150 vs Last week: 12,063
DJIA Directional Indicator: Falling 28.07 vs Last week: 35.70 (High +49.4 / Low -63.91)
DJIA Price Advance/Decline Line: Falling 226 vs Last week: 373 (High +647 / Low -660)
DJIA Volume Advance/Decline Line: Falling 14 vs Last week: 68 (High +349 / Low -484)
DJIA Price vs 21-Day Moving Average: Falling 2.39% vs Last week: 2.79% (High 4.36% / Low -6.99%)
DJIA Moving Average Convergence/Divergence(MACD): Buy / Last week: New Buy
DJIA Overbought/Oversold (CCI): Falling 98 vs Last week: 182 (High +255 / Low -285)
DJIA Stochastic 20-Day Indicator: Rising 84 vs Last week: 81 (High 100 / Low 00)
DJIA Stochastic 5-Day Indicator: Falling 66 vs Last week: 83 (High 100 / Low 00)
DJIA 14-Day Relative Strength Indicator: Falling 61 vs Last week: 70 (High 97 / Low 12)
DJIA Volume vs 50-Day Moving Average: Falling .8 vs Last week: 1.0 (High 3.3 / Low 0.3)

Institutional Investor Statistical Trends (Historic High / Low)

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

Institutional Money Flow Index: Rising 74% vs Last week: 64% (High 97% / Low 6%)

Institutional Demand Factor: Rising 63.35% vs Last week: 57.90% (High 86.8% / Low 13.13%)

Institutional Inventory Index: Rising 59.77% vs Last week: 57.48% (High 81.1% / 19.77%)

Institutional Accumulation/Distribution: Falling .17 vs Last week: .19 (High .35 / -.41)

Institutional Sentiment Index: Rising 128 vs Last week: 124 (High 179 (5-30-07) / (Low 68 (6-13-06)

Speculation Indicator Index: Rising .074 vs Last week: -.132 (High .749 (7-19-07) / (Low -1.174 (1-4-08)

One Year High Yield National CD Rate: Rising 3.94% vs Last week: 3.90% (5.27% / Low 3.86%)****************************************************************************************************************
108 Exchange Traded Funds
Trends & Sector Analysis


Symbol: Trend +/- (Historic: High / Low) / Rating / Demand Factor
Diamonds-Dow 30
DIA: +.43 vs Last week: +.44 (High .95 / Low -.80) Rating: BUY Demand Factor: 99+
S&P 500 Large-Cap
SPY: +.41 vs Last week: +.41 (High .77 / Low -.89) Rating: BUY Demand Factor: 99+
S&P 400 Mid-Cap
MDY: +.74 vs Last week: +.76 (High .89 / Low -1.16) Rating: BUY Demand Factor: 99+
Russell 2000 Small-Cap
IWM: +.25 vs Last week: +.40 (High .71 / Low -.67) Rating: BUY Demand Factor: 100+
Nasdaq 100 Large Growth
QQQQ: +.25 vs Last week: +.27 (High .54 / Low -.41) Rating: BUY Demand Factor: 100+
1. Biotech
BBH: -.35 vs Last week: +.14 (High 1.58 / Low -1.02) Rating: SELL Demand Factor: 78+
2. Broadband
BDH: -.12 vs Last week: -.10 (High .57 / Low -.54) Rating: SELL Demand Factor: 34+
3. Central Fund of Canada (Physical Precious Metals)
CEF: -.07 vs Last week: -.01 (High .41 / Low -.29) Rating: SELL Demand Factor: 53-
4. CHICAGO MERCANTILE EXCHANGE
CME: -.41 vs Last week: +2.57 (High 4.84 / Low -6.35) Rating: SELL Demand Factor: 43+
5. Deutsche Bank Commodity Index Tracking
DBC: +.14 vs Last week: +.35 (High .68 / Low -.65) Rating: BUY Demand Factor: 100/
6. ULTRA DOW 30 POWER SHARES
DDM: +.48 vs Last week: +.47 (High 1.00 / Low -1.13) Rating: BUY Demand Factor: 100+
7. UltraShort Oil & Gas ProShares (2:1 Leveraged ETF)
DUG: -.71 vs Last week: -.90 (High 1.07/ Low -1.02) Rating: SELL Demand Factor: 0/
8. Dow Jones Select Dividend Index
DVY: -.04 vs Last week: -.03 (High .58 / Low -.74) Rating: SELL Demand Factor: 71-
9. ULTRA SHORT DOW 30 POWER SHARES
DXD: -.43 vs Last week: -.51 (High .68 / Low -.70) Rating: SELL Demand Factor: 0-
10. CLAYMORE/BNY BRIC ETF (Brazil Russia India China)
EEB: +.56 vs Last week: +.67 (High .86 / Low -.50) Rating: BUY Demand Factor: 100+
11. Emerging Markets
EEM: +.82 vs Last week: +1.18 (High 1.29 / Low -1.19) Rating: BUY Demand Factor: 100/
12. EAFE Global Equities (Europe, Australasia and Far East)
EFA: +.35 vs Last week: +.51 (High .62 / Low -.65) Rating: BUY Demand Factor: 99/
13. Pacific ex-Japan
EPP: +.77 vs Last week: +.85 (High 1.36 / Low -1.18) Rating: BUY Demand Factor: 100/
14. Australia
EWA: +.29 vs Last week: +.23 (High .81 / Low -.45) Rating: BUY Demand Factor: 96-
15. Canada
EWC: +.38 vs Last week: +.47 (High .52 / Low -.37) Rating: BUY Demand Factor: 100/
16. Sweden
EWD: +.11 vs Last week: +.11 (High .79 / Low -.44) Rating: BUY Demand Factor: 89+
17. Germany
EWG: +.29 vs Last week: +.39 (High .61 / Low -.41) Rating: BUY Demand Factor: 100+
18. Hong Kong
EWH: +.14 vs Last week: +.07 (High .48 / Low -.44) Rating: BUY+ Demand Factor: 37+
19. Italy
EWI: +.11 vs Last week: +.12 (High .51 / Low -.63) Rating: BUY Demand Factor: 37+
20. Japan
EWJ: -.04 vs Last week: -.03 (High .63 / Low -.43) Rating: SELL Demand Factor: 59+
21. Belgium
EWK: +.32 vs Last week: +.26 (High .60 / Low -.40) Rating: BUY Demand Factor: 100+
22. Switzerland
EWL: -.17 vs Last week: -.37 (High .64 / Low -.49) Rating: SELL Demand Factor: 38+
23. Malaysia
EWM: +.02 vs Last week: +.02 (High .39 / Low -.21) Rating: BUY Demand Factor: 92+
24. Netherlands
EWN: +.56 vs Last week: +.62 (High .62 / Low -.30) Rating: BUY Demand Factor: 100/
25. Austria
EWO: +.47 vs Last week: +.54 (High .54 / Low -.30) Rating: BUY Demand Factor: 83-
26. Spain
EWP: +.33 vs Last week: +.51 (High .75 / Low -.63) Rating: BUY Demand Factor: 100/
27. France
EWQ: +.21 vs Last week: +.15 (High .56 / Low -.44) Rating: BUY Demand Factor: 100+
28. Singapore
EWS: +.12 vs Last week: +.17 (High .45 / Low -.50) Rating: BUY Demand Factor: 58+
29. Taiwan
EWT: -.03 vs Last week: +.08 (High .40 / Low -.23) Rating: SELL- Demand Factor: 72+
30. United Kingdom
EWU: +.43 vs Last week: +.47 (High .69 / Low -.28) Rating: BUY Demand Factor: 100/
31. Mexico
EWW: +.22 vs Last week: +.52 (High .72 / Low -.59) Rating: BUY Demand Factor: 100+
32. South Korea
EWY: +.43 vs Last week: +.52 (High .68 / Low -.53) Rating: BUY Demand Factor: 100+
33. Brazil
EWZ: +.66 vs Last week: +.87 (High 1.00 / Low -.81) Rating: BUY Demand Factor: 95-
34. FTSE/Xinhua China 25 Index
FXI: +1.28 vs Last week: +1.18 (High 2.91 / Low -2.03) Rating: BUY Demand Factor: 78+
31. PROSHARES US FTSE/XI
FXP: -1.78 vs Last week: -1.93 (High 1.30 / Low -1.93) Rating: SELL Demand Factor: 0-
35. Street TRACKS Gold Trust
GLD: -.40 vs Last week: -.13 (High .77 / Low -.61) Rating: SELL Demand Factor: 0-
36. Internet
HHH: +.32 vs Last week: +.42 (High .63 / Low -.75) Rating: BUY Demand Factor: 85+
37. Internet Architecture
IAH: +.25 vs Last week: +.26 (High .65 / Low -.86) Rating: BUY Demand Factor: 12+
38. U.S. Broker-Dealers
IAI: +.12 vs Last week: +.03 (High .55 / Low -.69) Rating: BUY+ Demand Factor: 23+
39. Comex Gold
IAU: -.31 vs Last week: -.00 (High .81 / Low -.65) Rating: SELL Demand Factor: 72-
40. Biotechnology
IBB: +.16 vs Last week: +.51 (High .70 / Low -.62) Rating: BUY Demand Factor: 88+
41. InterContinental Exchange, Inc.
ICE: +1.54 vs Last week: +1.82 (High 1.82 /Low -2.72) Rating: BUY Demand Factor: 62+
42. Cohen & Steers Realty Majors
ICF: +.33 vs Last week: +.21 (High .98 / Low -1.02) Rating: BUY Demand Factor: 70+
43. Utilities
IDU: +.37 vs Last week: +.25 (High .78 / Low -.76) Rating: BUY Demand Factor: 54+
44. S&P Europe 350 Index
IEV: +.51 vs Last week: +.69 (High .84 / Low -.88) Rating: BUY Demand Factor: 100/
45. Natural Resources
IGE: +.90 vs Last week: +1.35 (High 1.35 / Low -.75) Rating: BUY Demand Factor: 98-
46. Networking
IGN: +.08 vs Last week: +.14 (High .48 / Low -.50) Rating: BUY Demand Factor: 78+
47. Software
IGV: +.32 vs Last week: +.48 (High .66 / Low -.60) Rating: BUY Demand Factor: 100/
48. Semiconductor
IGW: +.45 vs Last week: +.47 (High .62 / Low -.75) Rating: BUY Demand Factor: 100/
49. MS India Investment Fund
IIF: +.39 vs Last week: +.47 (High .88 / Low -.81) Rating: BUY Demand Factor: 100+
50. Internet Infrastructure
IIH: +.38 vs Last week: +.42 (High .64 / Low -.52) Rating: BUY Demand Factor: 72+
51. Mid-Cap 400 Blend
IJH: +.65 vs Last week: +.62 (High .78 / Low -.68) Rating: BUY Demand Factor: 100+
52. Mid-Cap 400 Growth
IJK: +.60 vs Last week: +.74 (High .74 / Low -.86) Rating: BUY Demand Factor: 100/
53. Small-Cap 600
IJR: +.12 vs Last week: +.26 (High .83 / Low -.54) Rating: BUY Demand Factor: 80+
54. S&P Latin America 40 Index
ILF: +1.36 vs Last week: +2.37 (High 2.68 / Low -2.31) Rating: BUY Demand Factor: 98-
55. S&P 1500 Index
ISI: +.38 vs Last week: +.53 (High .81 / Low -.95) Rating: BUY Demand Factor: 25+
56. U.S. Aerospace & Defense
ITA: +.33 vs Last week: +.34 (High .46 / Low -.69) Rating: BUY Demand Factor: 49+
57. S&P Latin America 40 Index
ITF: +.59 vs Last week: +.66 (High .92 / Low -.90) Rating: BUY Demand Factor: 47+
58. Global Financial
IXG: +.18 vs Last week: +.36 (High .79 / Low -.94) Rating: BUY Demand Factor: 70+
59. Consumer Cyclical
IYC: +.17 vs Last week: +.28 (High .78 / Low -.70) Rating: BUY Demand Factor: 100+
60. Energy
IYE: +1.00 vs Last week: +1.29 (High 1.29 / Low -.85) Rating: BUY Demand Factor: 100/
61. Financial Services
IYG: +.11 vs Last week: -.12 (High .79 / Low -1.18) Rating: BUY+ Demand Factor: 15+
62. Healthcare
IYH: +.26 vs Last week: +.22 (High .54 / Low -.63) Rating: BUY+ Demand Factor: 100+
63. Industrial
IYJ: +.26 vs Last week: +.31 (High .52 / Low -.80) Rating: BUY Demand Factor: 92+
64. Consumer Non-Cyclical
IYK: +.19 vs Last week: +.28 (High .58 / Low -.72) Rating: BUY Demand Factor: 100+
65. Basic Materials
IYM: +.54 vs Last week: +.84 (High .84 / Low -.61) Rating: BUY Demand Factor: 95-
66. Real Estate
IYR: +.18 vs Last week: +.20 (High .64 / Low -.85) Rating: BUY Demand Factor: 79+
67. Transportation
IYT: +.36 vs Last week: +.61 (High .80 / Low -.95) Rating: BUY Demand Factor: 80-
68. U.S. Technology
IYW: +.44 vs Last week: +.09 (High .54 / Low -.59) Rating: BUY Demand Factor: 100+
69. U.S. Total Market Index
IYY: +.37 vs Last week: +.33 (High .84 / Low -.72) Rating: BUY Demand Factor: 100+
70. U.S. Telecommunications
IYZ: +.13 vs Last week: +.11 (High .43 / Low -.37 Rating: BUY+ Demand Factor: 98+
71. ULTRA SHORT MID-CAP 400 POWER SHARES
MZZ: -.58 vs Last week: -.64 (High .85 / Low -.82) Rating: SELL Demand Factor: 6-
72. NYSE Euronext Group, Inc.
NYX: +.20 vs Last week: +.36 (High 1.77 / Low -1.30 Rating: SELL Demand Factor: 8/
73. NASDAQ Stock Market, Inc.
NDAQ: -.21 vs Last week: +.21 (High 1.07/ Low -1.02) Rating: SELL Demand Factor: 0-
74. Oil Services
OIH: +1.66 vs Last week: +2.43 (High 2.43 /Low -1.58) Rating: BUY Demand Factor: 100/
75. PowerShares WilderHill Clean Energy
PBW: +.29 vs Last week: +.37 (High .72 / Low -.52) Rating: BUY Demand Factor: 65+
76. Pharmaceuticals
PPH: +.12 vs Last week: +.04 (High .80 / Low -.61) Rating: BUY+ Demand Factor: 98+
77. PowerShares Dynamic OTC
PWO: +.37 vs Last week: +.39 (High .51 / Low -.54) Rating: BUY Demand Factor: 100+
78. ULTRA SHORT QQQ POWER SHARES
QID: -.51 vs Last week: -.68 (High .74 / Low -.73) Rating: SELL Demand Factor: 0/
79. ULTRA QQQ PROSHARES
QLD: +.59 vs Last week: +.77 (High 1.14 / Low -1.51) Rating: BUY Demand Factor: 100/
80. Regional Banks
RKH: +.05 vs Last week: -.25 (High .95 / Low -1.50) Rating: SELL Demand Factor: 29+
81. MS Eastern Europe Fund
RNE: +.02 vs Last week: +.14 (High .55 / Low -.73) Rating: SELL- Demand Factor: 25+
82. Retail
RTH: +.37 vs Last week: +.29 (High .60 / Low -.68) Rating: BUY Demand Factor: 85+
83. DJ Wilshire REIT
RWR: +.38 vs Last week: +.29 (High .78 / Low -.81) Rating: BUY Demand Factor: 95+
84. ULTRA SHORT S&P 500 Power Shares
SDS: -.44 vs Last week: -.46 (High .78 / Low: -.69) Rating: SELL Demand Factor: 0-
85. ULTRA SHORT Russell 2000 Value ProShares
SJH: -.27 vs Last week: -.78 (High .99 / Low -.78) Rating: SELL Demand Factor: 19-
86. Silver Trust
SLV: -.78 vs Last week: -.17 (High 2.31 / Low -1.53) Rating: SELL Demand Factor: 75-
87. Semiconductor
SMH: +.23 vs Last week: +.13 (High .48 / Low -.52) Rating: BUY Demand Factor: 63+
88. UltraShort Real Estate ProShares (2:1 Leveraged ETF)
SRS: -.80 vs Last week: -.97 (High 2.19 / Low -1.62) Rating: SELL Demand Factor: 16-
89. Software
SWH: +.19 vs Last week: +.19 (High .61 / Low -.43) Rating: BUY Demand Factor: 18+
90. Lehman 20+ Treasury Bond Fund
TLT: -.23 vs Last week: -.50 (High .53 / Low -.50) Rating: SELL Demand Factor: 27+
91. Telecommunications Holders Trust
TTH: +.07 vs Last week: +.15 (High .54 / Low -.40) Rating: BUY+ Demand Factor: 84+
92. Utilities
UTH: +.55 vs Last week: +.53 (High .95 / Low -1.13) Rating: BUY Demand Factor: 100+
93. Wireless
WMH: +.06 vs Last week: +.32 (High .87 / Low -.82) Rating: BUY Demand Factor: 72-
94. Homebuilders Select Sector
XHB: +.14 vs Last week: +.02 (High .69 / Low -.56) Rating: SELL- Demand Factor: 24+
95. Materials Select Sector
XLB: +.36 vs Last week: +.45 (High .45 / Low -.41) Rating: BUY Demand Factor: 98-
96. Energy Select Sector
XLE: +.62 vs Last week: +.80 (High .80 / Low -.60) Rating: BUY Demand Factor: 100/
97. Financial Select Sector
XLF: +.09 vs Last week: -.00 (High .46 / Low -.43) Rating: BUY+ Demand Factor: 60+
98. Industrial Select Sector
XLI: +.33 vs Last week: +.37 (High .46 / Low -.49) Rating: BUY Demand Factor: 97-
99. Technology Select Sector
XLK: +.10 vs Last week: +.06 (High .51 / Low -.32) Rating: BUY Demand Factor: 82+
100. Consumer Staples Select Sector
XLP: +.01 vs Last week: +.14 (High .59 / Low -.43) Rating: SELL- Demand Factor: 62+
101. Healthcare Select Sector
XLV: +.12 vs Last week: +.09 (High .57 / Low -.33) Rating: BUY Demand Factor: 98+
102. Industrial Select Sector
XLY: +.23 vs Last week: +.14 (High .44 / Low -.57) Rating: BUY Demand Factor: 100+
103. Mining & Metals Select Sector
XME: +.54 vs Last week: +.81 (High .98 / Low -.78) Rating: BUY Demand Factor: 86+

108 Total Exchange Traded Funds Tracked: (Historic: High= 90% / Low= 13%)
Buy 82/Sell 26(76%) vs. Last week: Buy 78/Sell 30(72%) vs. Prior week: Buy 74/Sell 34(68%)

DJIA 6 weeks: +42.50(4-25) +523.94(4-18) -284.00(4-11) +393.02(4-4) -144.92(3-28) +410.23(3-20)

Information provided by: http://www.mktmetrics.com/
A Strategic Collaboration with Tiger Investment Software
http://www.tigersoft.com/DG/welcome.htm

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:
TraderDaily.com, Institutional Investor Magazine and TigerSoft.com

News:
In production, a Power Point Slide presentation on how MktMetrics makes money for users.

www.galefinancialmarketeconometrics.blogspot.com/
Next Day's Advance Market Decisions blog (First daily information available)
The three daily blogs provide:
11:00pmET Trading Ideas for next day's trading
7:45amET Stock Market Forecast and Institutional Investor Statistics
8:15amET Diamonds (DIA) Forecast for the day illustrating a portion of our program

Subscribe today to MktMetrics.com to see what the Exchange Insiders (Specialists & Market Makers) are currently doing with their inventory for any stock or ETF that you trade.

Total number of Blogs archived: 1,672 since April 2005

Friday, April 25, 2008

Dow 30 ETF (DIA) Friday April 25 Forecast

Information provided by: http://www.mktmetrics.com/
(Below is a sample of our program using DIA ETF current information)

Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 04/25/08
Last Updated: 04/24/08
04/24/08 Final Numbers
(Open) 127.79
(High) 129.31
(Low) 126.94
(Close) 128.42
(Range) 2.37

DIA Friday Forecast
Opening Fair Value: 128.12
Today's Predicted High: 128.91
Today's Predicted Low: 127.93
Today's Proposed Range: 0.98
Buy/Sell Rating: Buy

Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 78 Down from 79
Volume Internal Strength: Negative 0.90/0.82 Up
Current Trend: Positive 32 Up from 23
Demand Factor: 96 Down from 97
Stock Volatility: 5.15 Up from 1.23

Predict DIA Upside and Downside Potential
04/24/08 12:45 Close: 128.73
Upside Potential: 129.39
Downside Potential: 127.43

Information for Extreme Trading Days
Predicted Block Trading Resistance Levels (100,000+ shares)
1. 129.48
2. 130.35
3. 130.99
4. 131.90

Predicted Block Trading Support Levels (100,000+ shares)
1. 126.72
2. 125.85
3. 125.23
4. 124.40

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 126.97
21 DAY MOVING AVERAGE = 125.65
30 DAY MOVING AVERAGE = 124.77
42 DAY MOVING AVERAGE = 124.16
50 DAY MOVING AVERAGE = 124.15
65 DAY MOVING AVERAGE = 124.05
30 WEEK MOVING AVERAGE = 129.62
200 DAY MOVING AVERAGE = 130.77

Dow Jones Industrial Average and Diamonds (DIA)
DJIA Probability of Being Up Friday: 40%
DIA Probability of Being Up Friday: 23%
(DJIA & DIA are weighted differently)

Dow Outlook: Bullish Rising 57% vs. 56 previous day
Stock Market Outlook: Bullish Rising 61.5 vs. 59.3% previous day

Subscribe today 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 at time of writing by author?
Short DIA

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

Stock Market Forecast Friday April 25 2008

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 4-24-08 DJIA closed: 12,848.95 +42.99 vs. Prior day: 12,763.22 +42.99
DJIA 21-Day Moving Average: 12,562.62 +20.29 vs. Prior day: 12,542.33 +10.98
(DJIA closed 2.28% above its rising 21-day moving average vs. 1.76% prior day)

Before the New York Stock Exchange Open
Friday April 25 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Friday: 40%
DIA probability of closing "Up" Friday: 23%
DIA Past 4 Fridays: Rising 54.7% / 53.8% / 54.9% / 58.4%
(Higher Open, Lower Close from Opening is greatest for Friday)
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Unch Today Up 19 vs. Down 12 (-0 vs -2 prior day)
DJIA Trend: Unch Today 61% vs Yesterday 61% (High 97% / Low 0%)
Change in Trend: To "Down" from "Up" as of day 4-23-08 (Change: Sell)
DJIA MACD: Rising Today, Buy as of Thursday 4-17-08 (12,26 computation)
DJIA Momentum: Rising Today 58% vs Yesterday 52% (High 97% / Low 10%)
DJIA Volatility: Rising Today 2.13 vs Yesterday 0.88 (High 6.98 / Low -1.14)
DJIA 50-Day Net Change: Falling Today +475 vs Yesterday +523 (High 1450 / Low -1812)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -1812 3-10-08 (today 475 32.7% of High)

DJIA Resistance Levels: Mean= 12,562 / Intermediate Term 12,782 / Breakout 13,002
DJIA Support Levels: Mean= 12,542 / Intermediate Term 12,332 / Breakdown 12,122

Market Comment:
The DJIA closed Thursday 2.28% above its rising 21-day moving average vs. 1.76% previously. The daily Dow Trend changed directions to "Down" from "Up" Wednesday, but was unchanged on Thursday at 61. The daily Dow Outlook moved higher again to 57 from 56. The DJIA 50-Day Net Change went positive last Thursday (4-17), but has been down for the last four days since. Still, it is earnings season and it is full of surprises which is most likely why the dearth in volume has held back Investors from commitment. Expecting a lower Market, Friday.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Rising Today .02% vs Yesterday .01% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, Positive and increasing.

Institutional Money Flow: Rising Today 61% vs Yesterday 51% (High 97% / Low 6%) Mean= 52% Closed above its Mean, Positive and increasing.

Institutional Demand: Falling Today 59.64% vs Yesterday 58.64% (High 86.84% / Low 13.13%) Mean= 50.0% Closed above its Mean, Positve and increasing.

Institutional Inventory: Rising Today 57.19% vs Yesterday 56.29% (High 81.06%/Low 19.77%) Mean= 50.4% Closed above its Mean, Positive and increasing.

Institutional Accumulation/Distribution Trend: Rising Today .09% 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: Bullish Rising Today 57% vs. Yesterday 56% (High 89% / Low 16%) Mean= 53.5% Closed above its Mean, Positive and increasing.

Stock Market Outlook: Bullish Rising Today 61.5% vs Yesterday 59.3% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

12 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Rising Trend Today 32% vs. Yesterday 23% (High 95% / Low -80%)
SPY: Rising Trend Today 29% vs. Yesterday 16% (High 77% / Low -89%)
MDY: Rising Trend Today 51% vs. Yesterday 36% (High 91% / Low -1.16%)
IWM: Rising Trend Today 13% vs. Yesterday 7% (High 71% / Low -67%)
QQQQ: Rising Trend Today 12% vs. Yesterday 10% (High 54% / Low -43%)
SMH: Rising Trend Today 16% vs. Yesterday 13% (High 48% / Low -53%)
IYT: Rising Trend Today 21% vs. Yesterday 0% (High 80% / Low -95%)
XLE: Falling Trend Today 47% vs. Yesterday 68% (High 82% / Low -60%)
XLF: Rising Trend Today -2% vs. Yesterday -21% (High 45% / Low -58%)
IAI: Rising Trend Today -9% vs. Yesterday -24% (High 55% / Low -65%)
IYR: Rising Trend Today 10% vs. Yesterday -11% (High 64% / Low -85%)
XHB: Rising Trend Today 5% vs. Yesterday -15% (High .69% / Low -.56%)
(MktMetrics.com tracks 108 Exchange Traded Funds for our subscribers)

Stock Market Plurality: (a short-term overbought/oversold indicator)
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Rising Trend Today 146 vs. Yesterday 109 (High 367 / Low 3)
Demand Factor "0": Falling Trend Today 17 vs. Yesterday 44 (High 360 / Low 6)

Information provided by http://www.mktmetrics.com/
A Strategic Collaboration with TigerSoft.com
http://www.tigersoft.com/DG/TigerSoft-Blog.htm

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

Thursday, April 24, 2008

Stock Trading Ideas Friday April 25 2008

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

Nightly Analysis Update

DIA Probability of being "Up" Friday: 23%
DJIA Probability of being "Up" Friday: 40%
(DIA & DJIA are weighted differently)
DJIA Trend: Unch Today 61% vs. 61% prior day (hold)
DJIA Trend Change: To "Down" from "Up" Wednesday 4-23-08
DJIA Momentum: Rising Today 58% vs. 52% prior day
DJIA Outlook: Bullish Rising Today 57% vs. 56% prior day
Stock Market Outlook: Bullish Rising 61.5% vs. 59.3% prior day

146 Selected Stocks expected to move "HIGHER" Friday
Buy-Long Day Trading Ideas suggested for April 25 2008
Symbol OFV (Proposed Range) (Price Internal Strength)

Too many to mention. Subscribe today and get all the details first hand.

*OFV: Opening Fair Value

17 Selected Stocks expected to move "LOWER" Friday
Sell-Short Day Trading Ideas suggested for April 25 2008
Symbol OFV (Proposed Range) (Price Internal Strength)
ABT
BC
CSIQ
CSL
ESLR
FXP
GE
LCAV
LIFC
LNCR
MLNM
SOLF
SSW
SUN
TSO
WFMI
WGO
*OFV: Opening Fair Value

Good luck and good trading!

*FRIDAY'S RESULTS*
Next Day's Advance Market Decisions- Trading Ideas
$1,000,000.00 Portfolio Performance, Funded: 12-17-2007
Account Value $1,288,625.66 4-28-08 Change +$2,200.00
Account Value $1,292,805.66 4-25-08 Change -$9,020.00
Account Value $1,301,825.66 4-24-08 Change -$17,600.00
Account Value $1,319,425.66 4-23-08 Change +$1,540.00
Account Value $1,317,885.66 4-22-08 Change +$14,520.00
Account Value $1,303,365.66 4-21-08 Change +$3,820.00
Account Value $1,296,545.66 4-18-08 Change -$36,080.00
Account Value $1,332,625.66 4-17-08 Change -$1,320.00
Account Value $1,345,825.66 4-16-08 Change -$29,250.99
Account Value $1,375,076.65 4-15-08 Change +$5,884.67
Account Value $1,369,191.98 4-14-08 Change +$2,364.03
Account Value $1,366,827.95 4-11-08 Change +$46,422.46
Account Value $1,320,405.49 4-10-08 Change -$3,430.16
Account Value $1,323,835.65 4-9-08 Change +$24,007.45
Account Value $1,299,828.20 4-8-08 Change +$6,265.00
Account Value $1,293,563.20 4-7-08 Change -$5,051.92
Account Value $1,300,985.12 4-4-08 Change +$14,657.93
Account Value $1,286,335.60 4-3-08 Change +$19,017.55
Account Value $1,267,318.05 4-2-08 Change +$4,101.18
Account Value $1,263,216.87 4-1-08 Change -$17,750.69
Account Value $1,280,967.56 3-31-08 Change +$208,083.04
Account Value $1,072,884.52 2-29-08 Change +$65,048.93
Account Value $1,007,835.59 1-31-08 Change +$17,581.30
Account Value $990,254.29 12-31-07 Change -$9,745.71

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

Full disclosure:
Long/Short individual stocks and ETFs owned at time of writing by its author?
Short DIA

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 April 24 Forecast

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

(Below is a sample of our program using DIA ETF current information)

Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 04/24/08
Last Updated: 04/23/08
04/23/08 Final Numbers
(Open) 127.49
(High) 128.24
(Low) 126.91
(Close) 127.63
(Range) 1.33

DIA Thursday Forecast
Opening Fair Value: 127.57
Today's Predicted High: 128.32
Today's Predicted Low: 126.94
Today's Proposed Range: 1.38
Buy/Sell Rating: Buy

Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 79 Up from 77
Volume Internal Strength: Negative 0.70/0.85 Down
Current Trend: Positive 23 Up from 18
Demand Factor: 97 Up from 95
Stock Volatility: 1.23 Down from 1.43

Predict DIA Upside and Downside Potential
04/23/08 12:45 Close: 127.13
Upside Potential: 129.19
Downside Potential: 126.43

Information for Extreme Trading Days
Predicted Block Trading Resistance Levels (100,000+ shares)
1. 129.45
2. 130.04
3. 130.18
4. 130.80

Predicted Block Trading Support Levels (100,000+ shares)
1. 125.68
2. 125.08
3. 124.94
4. 124.37

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 126.36
21 DAY MOVING AVERAGE = 125.45
30 DAY MOVING AVERAGE = 124.55
42 DAY MOVING AVERAGE = 124.10
50 DAY MOVING AVERAGE = 124.07
65 DAY MOVING AVERAGE = 123.91
30 WEEK MOVING AVERAGE = 129.69
200 DAY MOVING AVERAGE = 130.80

Dow Jones Industrial Average and Diamonds (DIA)
DJIA Probability of Being Up Thursday: 48%
DIA Probability of Being Up Thursday: 42%
(DJIA & DIA are weighted differently)

Dow Outlook: Bullish Rising 56% vs. 54 previous day
Stock Market Outlook: Bullish Rising 59.3 vs. 55.7% previous day

Subscribe today 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 at time of writing by author?
Short DIA

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

Stock Market Forecast Thursday April 24 2008

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.

Wednesday 4-23-08 DJIA closed: 12,763.22 +42.99 vs. Prior day: 12,720.23 -104.79
DJIA 21-Day Moving Average: 12,542.33 +10.98 vs. Prior day: 12,531.35 +8.17
(DJIA closed 1.76% above its rising 21-day moving average vs. 1.51% prior day)

Before the New York Stock Exchange Open
Thursday April 24 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Thursday: 48%
DIA probability of closing "Up" Thursday: 42%
DIA Past 4 Thursdays: Rising 52.8% / 51.9% / 50.9% / 54.7%
(Lower Open is greatest for Thursday)
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Falling Today Up 19 vs. Down 12 (-2 vs +0 prior day)
DJIA Trend: Falling Today 61% vs Yesterday 68% (High 97% / Low 0%)
Change in Trend: To "Down" from "Up" as of day 4-23-08 (Change: Sell)
DJIA MACD: Unch#2 Today, Buy as of Thursday 4-17-08 (12,26 computation)
DJIA Momentum: Unch Today 52% vs Yesterday 52% (High 97% / Low 10%)
DJIA Volatility: Falling Today 0.88 vs Yesterday 1.08 (High 6.98 / Low -1.14)
DJIA 50-Day Net Change: Falling Today +523 vs Yesterday +538 (High 1450 / Low -1812)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -1812 3-10-08 (today 523 36.1% of High)

DJIA Resistance Levels: Mean= 12,542 / Intermediate Term 12,761 / Breakout 12,981
DJIA Support Levels: Mean= 12,531 / Intermediate Term 12,317 / Breakdown 12,103

Market Comment:
The DJIA closed Wednesday 1.76% above its rising 21-day moving average vs. 1.51% previously. The daily Dow Trend has changed directions to "Down" from "Up" scoring a reading of 61 from 68. The daily Dow Outlook moved up to 56 from 54. The DJIA 50-Day Net Change went positive last Thursday (4-17), but has been down for the last three days since. Still, it is earnings season and it is full of surprises which is most likely why the dearth in volume has held back Investors from financial commitment. Expect lower prices today.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Unch Today .01% vs Yesterday .01% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, positive yet flat.

Institutional Money Flow: Rising Today 51% vs Yesterday 48% (High 97% / Low 6%) Mean= 52% Closed below its Mean, negative yet increasing.

Institutional Demand: Falling Today 56.54% vs Yesterday 58.83% (High 86.84% / Low 13.13%) Mean= 50.0% Closed above its Mean, positve yet decreasing.

Institutional Inventory: Falling Today 56.29% vs Yesterday 56.74% (High 81.06%/Low 19.77%) Mean= 50.4% Closed above its Mean, positive yet decreasing.

Institutional Accumulation/Distribution Trend: Rising Today .04% vs Yesterday .03% (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: Bullish Rising Today 54% vs. Yesterday 53% (High 89% / Low 16%) Mean= 53.5% Closed above its Mean, Positive and increasing.

Stock Market Outlook: Bullish Rising Today 59.3% vs Yesterday 55.7% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

12 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Rising Trend Today 23% vs. Yesterday 18% (High 95% / Low -80%)
SPY: Rising Trend Today 16% vs. Yesterday 13% (High 77% / Low -89%)
MDY: Falling Trend Today 36% vs. Yesterday 40% (High 91% / Low -1.16%)
IWM: Falling Trend Today 7% vs. Yesterday 10% (High 71% / Low -67%)
QQQQ: Rising Trend Today 10% vs. Yesterday 8% (High 54% / Low -43%)
SMH: Rising Trend Today 13% vs. Yesterday 6% (High 48% / Low -53%)
IYT: Falling Trend Today 0% vs. Yesterday 7% (High 80% / Low -95%)
XLE: Falling Trend Today 68% vs. Yesterday 76% (High 82% / Low -60%)
XLF: Falling Trend Today -21% vs. Yesterday -13% (High 45% / Low -58%)
IAI: Falling Trend Today -24% vs. Yesterday -20% (High 55% / Low -65%)
IYR: Rising Trend Today -11% vs. Yesterday -15% (High 64% / Low -85%)
XHB: Falling Trend Today -15% vs. Yesterday -11% (High .69% / Low -.56%)
(MktMetrics.com tracks 108 Exchange Traded Funds for our subscribers)

Stock Market Plurality: (a short-term overbought/oversold indicator)
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Rising Trend Today 109 vs. Yesterday 81 (High 367 / Low 3)
Demand Factor "0": Rising Trend Today 44 vs. Yesterday 38 (High 360 / Low 6)

Information provided by http://www.mktmetrics.com/
A Strategic Collaboration with TigerSoft.com
http://www.tigersoft.com/DG/TigerSoft-Blog.htm

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

Wednesday, April 23, 2008

Stock Trading Ideas Thursday April 24 2008

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

Nightly Analysis Update

DIA Probability of being "Up" Thursday: 42%
DJIA Probability of being "Up" Thursday: 48%
(DIA & DJIA are weighted differently)
DJIA Trend: Falling Today 61% vs. 68% prior day (distribute stocks)
DJIA Trend Change: To "Down" from "Up" Wednesday 4-23-08
DJIA Momentum: Unch Today 52% vs. 52% prior day
DJIA Outlook: Bullish Rising Today 56% vs. 54% prior day
Stock Market Outlook: Bullish Rising 59.3% vs. 55.7% prior day

109 Selected Stocks expected to move "HIGHER" Thursday
Buy-Long Day Trading Ideas suggested for April 24 2008
Symbol OFV (Proposed Range) (Price Internal Strength)

Too many to mention. Subscribe today and get all the details first hand.

*OFV: Opening Fair Value

44 Selected Stocks expected to move "LOWER" Thursday
Sell-Short Day Trading Ideas suggested for April 24 2008
Symbol OFV (Proposed Range) (Price Internal Strength)
ABT
AIG
AMD
AMR
AXP
BAC
BC
BGG
BSX
CAL
CCRT
CMA
CMTL
CROX
CSIQ
CSL
CTX
CYBE
CYN
DUG
EPIC
ESLR
EXAR
FNM
FXP
GE
HOC
KND
LDK
LIFC
LNCR
NCC
PRX
QID
RSCR
SHW
SOLF
SUN
TCB
TSO
UAUA
USU
WGO
WM
*OFV: Opening Fair Value

Good luck and good trading!

*WEDNESDAY'S RESULTS*
Next Day's Advance Market Decisions- Trading Ideas
$1,000,000.00 Portfolio Performance, Funded: 12-17-2007
Account Value $1,319,425.66 4-23-08 Change +$1,540.00
Account Value $1,317,885.66 4-22-08 Change +$14,520.00
Account Value $1,303,365.66 4-21-08 Change +$3,820.00
Account Value $1,296,545.66 4-18-08 Change -$36,080.00
Account Value $1,332,625.66 4-17-08 Change -$1,320.00
Account Value $1,345,825.66 4-16-08 Change -$29,250.99
Account Value $1,375,076.65 4-15-08 Change +$5,884.67
Account Value $1,369,191.98 4-14-08 Change +$2,364.03
Account Value $1,366,827.95 4-11-08 Change +$46,422.46
Account Value $1,320,405.49 4-10-08 Change -$3,430.16
Account Value $1,323,835.65 4-9-08 Change +$24,007.45
Account Value $1,299,828.20 4-8-08 Change +$6,265.00
Account Value $1,293,563.20 4-7-08 Change -$5,051.92
Account Value $1,300,985.12 4-4-08 Change +$14,657.93
Account Value $1,286,335.60 4-3-08 Change +$19,017.55
Account Value $1,267,318.05 4-2-08 Change +$4,101.18
Account Value $1,263,216.87 4-1-08 Change -$17,750.69
Account Value $1,280,967.56 3-31-08 Change +$208,083.04
Account Value $1,072,884.52 2-29-08 Change +$65,048.93
Account Value $1,007,835.59 1-31-08 Change +$17,581.30
Account Value $990,254.29 12-31-07 Change -$9,745.71

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

Full disclosure:
Long/Short individual stocks and ETFs owned at time of writing by its author?
Short DIA

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 April 23 Forecast

Information provided by: http://www.mktmetrics.com/
(Below is a sample of our program using DIA ETF current information)

Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 04/23/08
Last Updated: 04/22/08
04/22/08 Final Numbers
(Open) 127.85
(High) 127.85
(Low) 126.44
(Close) 127.20
(Range) 1.41

DIA Wednesday Forecast
Opening Fair Value: 127.24
Today's Predicted High: 127.90
Today's Predicted Low: 126.50
Today's Proposed Range: 1.40
Buy/Sell Rating: Buy

Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 77 Down from 81
Volume Internal Strength: Negative 0.70/0.87 Down
Current Trend: Positive 18 Down from 34
Demand Factor: 95 Unch
Stock Volatility: 1.43 Up from 0.03

Predict DIA Upside and Downside Potential
04/22/08 12:45 Close: 127.52
Upside Potential: 128.51
Downside Potential: 125.71

Information for Extreme Trading Days
Predicted Block Trading Resistance Levels (100,000+ shares)
1. 128.97
2. 129.74
3. 130.41
4. 130.41

Predicted Block Trading Support Levels (100,000+ shares)
1. 125.29
2. 125.29
3. 124.66
4. 123.91

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 125.80
21 DAY MOVING AVERAGE = 125.32
30 DAY MOVING AVERAGE = 124.36
42 DAY MOVING AVERAGE = 124.01
50 DAY MOVING AVERAGE = 123.96
65 DAY MOVING AVERAGE = 123.80
30 WEEK MOVING AVERAGE = 129.75
200 DAY MOVING AVERAGE = 130.84

Dow Jones Industrial Average and Diamonds (DIA)
DJIA Probability of Being Up Wednesday: 50%
DIA Probability of Being Up Wednesday: 77%
(DJIA & DIA are weighted differently)

Dow Outlook: Bullish Rising 54% vs. 53 previous day
Stock Market Outlook: Bullish, yet Falling 55.7 vs. 59.4% previous day

Subscribe today 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 at time of writing by author?
Short DIA

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

Stock Market Forecast Wednesday April 23 2008

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 4-22-08 DJIA closed: 12,720.23 -104.79 vs. Prior day: 12,825.02 -24.34
DJIA 21-Day Moving Average: 12,531.35 +8.17 vs. Prior day: 12,523.18 +22.08
(DJIA closed 1.51% above its rising 21-day moving average vs. 2.41% prior day)

Before the New York Stock Exchange Open
Wednesday April 23 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Wednesday: 50%
DIA probability of closing "Up" Wednesday: 77%
DIA Past 4 Wednesdays: Rising 60.3% / 59.6% / 60.7% / 62.2%
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Unch Today Up 21 vs. Down 10 (+0 vs +3 prior day)
DJIA Trend: Unch Today 68% vs Yesterday 68% (High 97% / Low 0%)
Change in Trend: To "Up" from "Down" as of day 4-16-08 (Change: Buy)
DJIA MACD: Unch Today, Buy as of Thursday 4-17-08 (12,26 computation)
DJIA Momentum: Falling Today 52% vs Yesterday 55% (High 97% / Low 10%)
DJIA Volatility: Falling Today 1.08 vs Yesterday 0.84 (High 6.98 / Low -1.14)
DJIA 50-Day Net Change: Falling Today +538 vs Yesterday +578 (High 1450 / Low -1812)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -1812 3-10-08 (today 538 37.1% of High)

DJIA Resistance Levels: Mean= 12,531 / Intermediate Term 12,750 / Breakout 12,969
DJIA Support Levels: Mean= 12,523 / Intermediate Term 12,308 / Breakdown 12,093

Market Comment:
The DJIA closed Tuesday 1.51% above its rising 21-day moving average vs. 2.41% previously. The daily Dow Trend has stalled here as it unchanged at 68. The daily Dow Outlook moved up a notch to 54 from 53. The DJIA 50-Day Net Change went positive last Thursday (4-17), but is now starting to weaken. Still, it is earnings season and it is full of surprises which is most likely why the dearth in volume has held back Investors from financial commitment.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Falling Today .01% vs Yesterday .03% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, positive yet decreasing.

Institutional Money Flow: Falling Today 48% vs Yesterday 58% (High 97% / Low 6%) Mean= 52% Closed below its Mean, Negative and decreasing.

Institutional Demand: Falling Today 58.83% vs Yesterday 59.93% (High 86.84% / Low 13.13%) Mean= 50.0% Closed above its Mean, positve yet decreasing.

Institutional Inventory: Falling Today 56.74% vs Yesterday 58.38% (High 81.06%/Low 19.77%) Mean= 50.4% Closed above its Mean, postive yet decreasing.

Institutional Accumulation/Distribution Trend: Falling Today .03% vs Yesterday .11% (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 Rising Today 54% vs. Yesterday 53% (High 89% / Low 16%) Mean= 53.5% Closed above its Mean, Positive and increasing.

Stock Market Outlook: Bullish, yet Falling Today 55.7% vs Yesterday 59.4% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

12 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Falling Trend Today 18% vs. Yesterday 34% (High 95% / Low -80%)
SPY: Falling Trend Today 13% vs. Yesterday 32% (High 77% / Low -89%)
MDY: Falling Trend Today 40% vs. Yesterday 75% (High 91% / Low -1.16%)
IWM: Falling Trend Today 10% vs. Yesterday 33% (High 71% / Low -67%)
QQQQ: Falling Trend Today 8% vs. Yesterday 23% (High 54% / Low -43%)
SMH: Falling Trend Today 6% vs. Yesterday 16% (High 48% / Low -53%)
IYT: Falling Trend Today 7% vs. Yesterday 36% (High 80% / Low -95%)
XLE: Falling Trend Today 76% vs. Yesterday 82% (High 82% / Low -60%)
XLF: Rising Trend Today -13% vs. Yesterday -15% (High 45% / Low -58%)
IAI: Falling Trend Today -20% vs. Yesterday -19% (High 55% / Low -65%)
IYR: Falling Trend Today -15% vs. Yesterday -3% (High 64% / Low -85%)
XHB: Falling Trend Today -11% vs. Yesterday -9% (High .69% / Low -.56%)
(MktMetrics.com tracks 108 Exchange Traded Funds for our subscribers)

Stock Market Plurality: (a short-term overbought/oversold indicator)
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Falling Trend Today 81 vs. Yesterday 170 (High 367 / Low 3)
Demand Factor "0": Rising Trend Today 38 vs. Yesterday 30 (High 360 / Low 6)

Information provided by http://www.mktmetrics.com/
A Strategic Collaboration with TigerSoft.com
http://www.tigersoft.com/DG/TigerSoft-Blog.htm

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

Tuesday, April 22, 2008

Stock Trading Ideas Wednesday April 23 2008

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

Nightly Analysis Update

DIA Probability of being "Up" Wednesday: 77%
DJIA Probability of being "Up" Wednesday: 50%
(DIA & DJIA are weighted differently)
DJIA Trend: Unch Today 68% vs. 68% prior day (hold)
DJIA Trend Change: To "Up" from "Down" Wednesday 4-16-08
DJIA Momentum: Falling Today 52% vs. 55% prior day
DJIA Outlook: Bullish Rising Today 54% vs. 53% prior day
Stock Market Outlook: Bullish, yet Falling 55.7% vs. 59.4% prior day

81 Selected Stocks expected to move "HIGHER" Wednesday
Buy-Long Day Trading Ideas suggested for April 23 2008
Symbol OFV (Proposed Range) (Price Internal Strength)

Too many to mention. Subscribe today and get all the details first hand.

*OFV: Opening Fair Value

38 Selected Stocks expected to move "LOWER" Wednesday
Sell-Short Day Trading Ideas suggested for April 23 2008
Symbol OFV (Proposed Range) (Price Internal Strength)
AGN
AMR
AXP
BGG
BRKS
BSX
CMA
CROX
CSK
CTX
CYBE
ESLR
EXAR
GE
HOC
IDXX
IGT
ININ
KND
LCAV
LDK
LIFC
LNCR
NCC
NOC
PMTI
PRX
QID
RSCR
SOLF
SUN
TSO
UAUA
USNA
USU
WGO
*OFV: Opening Fair Value

Good luck and good trading!

*MONDAY'S RESULTS*
Next Day's Advance Market Decisions- Trading Ideas
$1,000,000.00 Portfolio Performance, Funded: 12-17-2007
Account Value $1,317,885.66 4-22-08 Change +$14,520.00
Account Value $1,303,365.66 4-21-08 Change +$3,820.00
Account Value $1,296,545.66 4-18-08 Change -$36,080.00
Account Value $1,332,625.66 4-17-08 Change -$1,320.00
Account Value $1,345,825.66 4-16-08 Change -$29,250.99
Account Value $1,375,076.65 4-15-08 Change +$5,884.67
Account Value $1,369,191.98 4-14-08 Change +$2,364.03
Account Value $1,366,827.95 4-11-08 Change +$46,422.46
Account Value $1,320,405.49 4-10-08 Change -$3,430.16
Account Value $1,323,835.65 4-9-08 Change +$24,007.45
Account Value $1,299,828.20 4-8-08 Change +$6,265.00
Account Value $1,293,563.20 4-7-08 Change -$5,051.92
Account Value $1,300,985.12 4-4-08 Change +$14,657.93
Account Value $1,286,335.60 4-3-08 Change +$19,017.55
Account Value $1,267,318.05 4-2-08 Change +$4,101.18
Account Value $1,263,216.87 4-1-08 Change -$17,750.69
Account Value $1,280,967.56 3-31-08 Change +$208,083.04
Account Value $1,072,884.52 2-29-08 Change +$65,048.93
Account Value $1,007,835.59 1-31-08 Change +$17,581.30
Account Value $990,254.29 12-31-07 Change -$9,745.71

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

Full disclosure:
Long/Short individual stocks and ETFs owned at time of writing by its author?
Short DIA

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 April 22 Forecast

Information provided by: http://www.mktmetrics.com/
(Below is a sample of our program using DIA ETF current information)

Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 04/22/08
Last Updated: 04/21/08
04/21/08 Final Numbers
(Open) 127.75
(High) 128.34
(Low) 127.41
(Close) 128.08
(Range) 0.93

DIA Tuesday Forecast
Opening Fair Value: 127.89
Today's Predicted High: 128.77
Today's Predicted Low: 127.39
Today's Proposed Range: 1.38
Buy/Sell Rating: Buy

Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 81 Up from 80
Volume Internal Strength: Negative 0.70/0.87 Down
Current Trend: Positive 34 Down from 44
Demand Factor: 95 Up from 92
Stock Volatility: 0.03 Down from 0.73

Predict DIA Upside and Downside Potential
04/21/08 12:45 Close: 127.81
Upside Potential: 129.62
Downside Potential: 126.86

Information for Extreme Trading Days
Predicted Block Trading Resistance Levels (100,000+ shares)
1. 129.96
2. 130.31
3. 130.64
4. 130.91

Predicted Block Trading Support Levels (100,000+ shares)
1. 125.77
2. 125.52
3. 125.20
4. 124.86

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 125.65
21 DAY MOVING AVERAGE = 125.23
30 DAY MOVING AVERAGE = 124.05
42 DAY MOVING AVERAGE = 123.91
50 DAY MOVING AVERAGE = 123.85
65 DAY MOVING AVERAGE = 123.72
30 WEEK MOVING AVERAGE = 129.80
200 DAY MOVING AVERAGE = 130.89

Dow Jones Industrial Average and Diamonds (DIA)
DJIA Probability of Being Up Tuesday: 67%
DIA Probability of Being Up Tuesday: 48%
(DJIA & DIA are weighted differently)
Dow Outlook: Neutral 53%, yet Rising
Stock Market Outlook: Bullish 59.4%, Rising

Subscribe today 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 at time of writing by author?
Short DIA

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

Stock Market Forecast Tuesday April 22 2008

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 4-21-08 DJIA closed: 12,825.02 -24.34 vs. Prior day: 12,849.36 +228.87
DJIA 21-Day Moving Average: 12,523.18 +22.08 vs. Prior day: 12,501.10 +35.70
(DJIA closed 2.41% above its rising 21-day moving average vs. 2.79% prior day)

Before the New York Stock Exchange Open
Tuesday April 22 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Tuesday: 67%
DIA probability of closing "Up" Tuesday: 48%
DIA Past 4 Tuesdays: Rising 57.6% / 56.8% / 56.0% /55.7%
(Higher Close from Opening is greatest for Tuesday)
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Rising Today Up 21 vs. Down 10 (+3 vs +0 prior day)
DJIA Trend: Rising Today 68% vs Yesterday 58% (High 97% / Low 0%)
Change in Trend: To "Up" from "Down" as of day 4-16-08 (Change: Buy)
DJIA MACD: Rising Today, Buy as of Thursday 4-17-08 (12,26 computation)
DJIA Momentum: Rising Today 55% vs Yesterday 48% (High 97% / Low 10%)
DJIA Volatility: Falling Today 0.84 vs Yesterday 1.63 (High 6.98 / Low -1.14)
DJIA 50-Day Net Change: Falling Today +578 vs Yesterday +649 (High 1450 / Low -1812)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -1812 3-10-08 (today 578 39.8% of High)

DJIA Resistance Levels: Mean= 12,523 / Intermediate Term 12,742 / Breakout 12,961
DJIA Support Levels: Mean= 12,501 / Intermediate Term 12,293 / Breakdown 12,085

Market Comment:
The DJIA closed Monday 2.41% above its rising 21-day moving average vs. 2.79% previously. The daily Dow Trend is moving higher. The Trend has moved higher to 68 from 58. The daily Dow Outlook has also moved higher to 53 from 50. The DJIA 50-Day Net Change turned up last Wednesday (5-6) and is postive by +578. Normally, when the Dow Trend changes direction, it has a mild set-back before moving higher. This has yet to happen. Looking for this today.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Falling Today .03% vs Yesterday .07% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, positive yet decreasing.

Institutional Money Flow: Falling Today 58% vs Yesterday 64% (High 97% / Low 6%) Mean= 52% Closed above its Mean, positive yet decreasing.

Institutional Demand: Rising Today 59.93% vs Yesterday 57.90% (High 86.84% / Low 13.13%) Mean= 50.0% Closed above its Mean, Positve and increasing.

Institutional Inventory: Rising Today 58.38% vs Yesterday 57.48% (High 81.06%/Low 19.77%) Mean= 50.4% Closed above its Mean, Postive and increasing.

Institutional Accumulation/Distribution Trend: Falling Today .11% vs Yesterday .19% (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: Neutral, yet Rising Today 53% vs. Yesterday 50% (High 89% / Low 16%) Mean= 53.5% Closed at its Mean.

Stock Market Outlook: Bullish Rising Today 59.4% vs Yesterday 56.0% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

12 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Falling Trend Today 34% vs. Yesterday 44% (High 95% / Low -80%)
SPY: Falling Trend Today 32% vs. Yesterday 41% (High 77% / Low -89%)
MDY: Falling Trend Today 75% vs. Yesterday 76% (High 91% / Low -1.16%)
IWM: Falling Trend Today 33% vs. Yesterday 40% (High 71% / Low -67%)
QQQQ: Falling Trend Today 23% vs. Yesterday 27% (High 54% / Low -43%)
SMH: Rising Trend Today 16% vs. Yesterday 13% (High 48% / Low -53%)
IYT: Falling Trend Today 36% vs. Yesterday 61% (High 80% / Low -95%)
XLE: Rising Trend Today 82% vs. Yesterday 80% (High 82% / Low -60%)
XLF: Falling Trend Today -15% vs. Yesterday -0% (High 45% / Low -58%)
IAI: Falling Trend Today -19% vs. Yesterday 3% (High 55% / Low -65%)
IYR: Falling Trend Today -3% vs. Yesterday 20% (High 64% / Low -85%)
XHB: Falling Trend Today -9% vs. Yesterday 2% (High .69% / Low -.56%)
(MktMetrics.com tracks 108 Exchange Traded Funds for our subscribers)

Stock Market Plurality: (a short-term overbought/oversold indicator)
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Rising Trend Today 170 vs. Yesterday 136 (High 367 / Low 3)
Demand Factor "0": Falling Trend Today 30 vs. Yesterday 33 (High 360 / Low 6)

Information provided by http://www.mktmetrics.com/
A Strategic Collaboration with TigerSoft.com
http://www.tigersoft.com/DG/TigerSoft-Blog.htm

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

Monday, April 21, 2008

Stock Trading Ideas Tuesday April 22 2008

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

Nightly Analysis Update

DIA Probability of being "Up" Tuesday: 48%
DJIA Probability of being "Up" Tuesday: 67%
(DIA & DJIA are weighted differently)
DJIA Trend: Rising Today 68% vs. 58% prior day (hold)
DJIA Trend Change: To "Up" from "Down" Wednesday 4-16-08
DJIA Momentum: Rising Today 55% vs. 48% prior day
DJIA Outlook: Bullish Rising Today 53% vs. 50% prior day
Stock Market Outlook: Bullish Rising 59.4% vs. 56.0% prior day

170 Selected Stocks expected to move "HIGHER" Tuesday
Buy-Long Day Trading Ideas suggested for April 22 2008
Symbol OFV (Proposed Range) (Price Internal Strength)

Too many to mention. Subscribe today and get all the details first hand.

*OFV: Opening Fair Value

30 Selected Stocks expected to move "LOWER" Tuesday
Sell-Short Day Trading Ideas suggested for April 22 2008
Symbol OFV (Proposed Range) (Price Internal Strength)
AGN
AMLN
BGG
BK
BRKS
CATY
CHS
CROX
CYBE
CYN
DUG
EXAR
FITB
GE
HOC
IDXX
IGT
LIFC
LNCR
NCC
NOC
PRXL
QID
RSCR
SUN
TSO
USNA
VIVO
WGO
*OFV: Opening Fair Value

Good luck and good trading!

*MONDAY'S RESULTS*
Next Day's Advance Market Decisions- Trading Ideas
$1,000,000.00 Portfolio Performance, Funded: 12-17-2007
Account Value $1,303,365.66 4-21-08 Change +$3,820.00
Account Value $1,296,545.66 4-18-08 Change -$36,080.00
Account Value $1,332,625.66 4-17-08 Change -$1,320.00
Account Value $1,345,825.66 4-16-08 Change -$29,250.99
Account Value $1,375,076.65 4-15-08 Change +$5,884.67
Account Value $1,369,191.98 4-14-08 Change +$2,364.03
Account Value $1,366,827.95 4-11-08 Change +$46,422.46
Account Value $1,320,405.49 4-10-08 Change -$3,430.16
Account Value $1,323,835.65 4-9-08 Change +$24,007.45
Account Value $1,299,828.20 4-8-08 Change +$6,265.00
Account Value $1,293,563.20 4-7-08 Change -$5,051.92
Account Value $1,300,985.12 4-4-08 Change +$14,657.93
Account Value $1,286,335.60 4-3-08 Change +$19,017.55
Account Value $1,267,318.05 4-2-08 Change +$4,101.18
Account Value $1,263,216.87 4-1-08 Change -$17,750.69
Account Value $1,280,967.56 3-31-08 Change +$208,083.04
Account Value $1,072,884.52 2-29-08 Change +$65,048.93
Account Value $1,007,835.59 1-31-08 Change +$17,581.30
Account Value $990,254.29 12-31-07 Change -$9,745.71

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

Full disclosure:
Long/Short individual stocks and ETFs owned at time of writing by its author?
Short DIA

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 April 21 Forecast

Information provided by: http://www.mktmetrics.com/
(Below is a sample of our program using DIA ETF current information)

Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 04/21/08
Last Updated: 04/18/08
04/18/08 Final Numbers
(Open) 127.96
(High) 128.83
(Low) 127.76
(Close) 127.86
(Range) 1.07

DIA Monday Forecast
Opening Fair Value: 128.20
Today's Predicted High: 128.48
Today's Predicted Low: 127.24
Today's Proposed Range: 1.24
Buy/Sell Rating: Buy

Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 80 Up from 68
Volume Internal Strength: Negative 1.10/0.93 Up
Current Trend: Positive 44 Up from 22
Demand Factor: 92 Down from 100
Stock Volatility: 0.73 Up from 0.12

Predict DIA Upside and Downside Potential
04/18/08 12:45 Close: 128.61
Upside Potential: 128.70
Downside Potential: 126.22

Information for Extreme Trading Days
Predicted Block Trading Resistance Levels (100,000+ shares)
1. 130.32
2. 130.42
3. 130.52
4. 131.41

Predicted Block Trading Support Levels (100,000+ shares)
1. 126.25
2. 125.40
3. 125.30
4. 125.20

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 125.35
21 DAY MOVING AVERAGE = 125.00
30 DAY MOVING AVERAGE = 123.75
42 DAY MOVING AVERAGE = 123.82
50 DAY MOVING AVERAGE = 123.74
65 DAY MOVING AVERAGE = 123.66
30 WEEK MOVING AVERAGE = 129.84
200 DAY MOVING AVERAGE = 130.93

Dow Jones Industrial Average and Diamonds (DIA)
DJIA Probability of Being Up Monday: 33%
DIA Probability of Being Up Monday: 19%
(DJIA & DIA are weighted differently)
Dow Outlook: Bearish 50%, yet Flat
Stock Market Outlook: Bullish 56.0%, Rising

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Long/Short individual stocks mentioned at time of writing by author?
Short DIA

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

Stock Market Forecast Monday April 21 2008

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

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Friday 4-18-08 DJIA closed: 12,849.36 +228.87 vs. Prior day: 12,620.49 +1.22
DJIA 21-Day Moving Average: 12,501.10 +35.70 vs. Prior day: 12,465.40 +10.85
(DJIA closed 2.79% above its rising 21-day moving average vs. 1.24% prior day)

Before the New York Stock Exchange Open
Monday April 21 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Monday: 33%
DIA probability of closing "Up" Monday: 19%
DIA Past 4 Mondays: Falling 50.0% / 51.0% / 52.0% / 52.0%
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Unch Today Up 18 vs. Down 13 (+2 vs +2 prior day)
DJIA Trend: Unch Today 58% vs Yesterday 58% (High 97% / Low 0%)
Change in Trend: To "Up" from "Down" as of day 4-16-08 (Change? Hold)
DJIA MACD: Rising Today, New Buy as of Thursday 4-17-08 (12,26 computation)
DJIA Momentum: Rising Today 48% vs Yesterday 42% (High 97% / Low 10%)
DJIA Volatility: Rising Today 1.63 vs Yesterday 1.15 (High 6.98 / Low -1.14)
DJIA 50-Day Net Change: Rising Today +649 vs Yesterday +355 (High 1450 / Low -1812)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -1812 3-10-08 (today 649 44.7% of High)

DJIA Resistance Levels: Mean= 12,501 / Intermediate Term 12,720 / Breakout 12,939
DJIA Support Levels: Mean= 12,465 / Intermediate Term 12,264 / Breakdown 12,063

Market Comment:
The DJIA closed Friday 2.79% below its rising 21-day moving average vs. 1.24% previously. The daily Dow Trend is at the crossroads. The Trend is unchanged today at 58. The daily Dow Outlook is unchanged at 50. The DJIA 50-Day Net Change turned up last Wednesday (5-6) and is now postive by +649. Still, the Stock Market remains vulnerable now that Futures and Options have expired and there are no other excuses to prop up the market. Investors should refrain from buying until Outlook improves and the Trend confirms "Up".

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Rising Today .07% vs Yesterday -.003% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, Positive and Rising.

Institutional Money Flow: Rising Today 64% vs Yesterday 45% (High 97% / Low 6%) Mean= 52% Closed above its Mean, Positive and increasing.

Institutional Demand: Rising Today 57.90% vs Yesterday 57.38% (High 86.84% / Low 13.13%) Mean= 50.0% Closed above its Mean, Positve and increasing.

Institutional Inventory: Rising Today 57.48% vs Yesterday 51.77% (High 81.06%/Low 19.77%) Mean= 50.4% Closed above its Mean, Postive and increasing.

Institutional Accumulation/Distribution Trend: Rising Today .19% vs Yesterday .03% (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 Unch Today 50% vs. Yesterday 50% (High 89% / Low 16%) Mean= 53.5% Closed below its Mean, Negative yet flat.

Stock Market Outlook: Bullish Rising Today 56.0% vs Yesterday 52.2% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

12 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Rising Trend Today 44% vs. Yesterday 22% (High 95% / Low -80%)
SPY: Rising Trend Today 41% vs. Yesterday 14% (High 77% / Low -89%)
MDY: Rising Trend Today 76% vs. Yesterday 49% (High 91% / Low -1.16%)
IWM: Rising Trend Today 40% vs. Yesterday 21% (High 71% / Low -67%)
QQQQ: Rising Trend Today 27% vs. Yesterday 7% (High 54% / Low -43%)
SMH: Rising Trend Today 13% vs. Yesterday -1% (High 48% / Low -53%)
IYT: Rising Trend Today 61% vs. Yesterday 33% (High 80% / Low -95%)
XLE: Rising Trend Today 80% vs. Yesterday 39% (High 69% / Low -60%)
XLF: Rising Trend Today -0% vs. Yesterday -11% (High 45% / Low -58%)
IAI: Rising Trend Today 3% vs. Yesterday -13% (High 55% / Low -65%)
IYR: Rising Trend Today 20% vs. Yesterday 13% (High 64% / Low -85%)
XHB: Rising Trend Today 2% vs. Yesterday -3% (High .69% / Low -.56%)
(MktMetrics.com tracks 108 Exchange Traded Funds for our subscribers)

Stock Market Plurality: (a short-term overbought/oversold indicator)
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Rising Trend Today 136 vs. Yesterday 126 (High 367 / Low 3)
Demand Factor "0": Rising Trend Today 33 vs. Yesterday 26 (High 360 / Low 6)

Information provided by http://www.mktmetrics.com/
A Strategic Collaboration with TigerSoft.com
http://www.tigersoft.com/DG/TigerSoft-Blog.htm

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

Sunday, April 20, 2008

Dow 30 + DIA Buy/Sell Monday 4-21-08

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

DIA Probability to be "Up" Monday: 19%
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 (4-21 through 4-25)
Information provided by: http://www.tigersoft.com/DG/welcome.htm

Mondays: Past 50 Falling 50.0% / 51.0% / 52.0% / 52.0%

Tuesdays: Past 52 Rising 57.6% / 56.8% / 56.0% /55.7%
(Higher Close from Opening is greatest for Tuesday)

Wednesdays: Past 53 Rising 60.3% / 59.6% / 60.7% / 62.2%

Thursdays: Past 53 Rising 52.8% / 51.9% / 50.9% / 54.7%
(Lower Open is greatest for Thursday)

Fridays: Past 53 Rising 54.7% / 53.8% / 54.9% / 58.4%
(Higher Open, Lower Close from Opening is greatest for Friday)

All days: Past 261 Days Rising 55.2 % / 54.7% / 55.0% / 56.7%

Dow 30 + DIA Buy/Sell Signals & Trends
Sym/Sig/Demand/Range/IRS*/Trend
AA BUY+
88+ 1.23 56U 0.16+
AIG SELL+ 14+ 1.27 46U 0.23+
AXP SELL+ 0- 1.29 28U 0.06+
BA BUY+ 58+ 1.57 51U 0.33+
BAC S/SELL 13- 1.12 26U -0.21+
C SELL 0- 0.84 49U 0.12+
CAT S/BUY 100+ 1.54 94U 0.73+
CVX BUY 100/ 1.00 97U 0.74+
DD BUY- 100/ 0.84 98U 0.53+
DIA BUY 92- 1.24 80U 0.44+
DIS BUY+ 85+ 0.81 53U 0.05+
GE SELL 5+ 0.81 12U -0.26+
GM SELL+ 11- 0.77 31U 0.02+
HD SELL+ 51+ 0.61 46U 0.11+
HPQ BUY+ 49+ 0.95 60U 0.04+
IBM S/BUY 100/ 2.12 98U 0.62+
INTC S/BUY+ 49+ 0.63 70U 0.12+
JNJ BUY 65+ 0.83 66U 0.16+
JPM BUY+ 30- 1.48 53U 0.08+
KO S/BUY+ 55- 1.13 51D 0.02+
MCD BUY 100/ 0.59 92U 0.36+
MMM S/BUY+ 79+ 0.99 69U 0.25+
MRK SELL+ 39+ 0.98 29D -0.16+
MSFT SELL+ 13+ 0.55 50U 0.11+
PFE BUY 39+ 0.33 25U 0.11+
PG BUY+ 39- 0.67 20D 0.03+
T SELL 80- 0.78 47D 0.06+
UTX S/BUY 87+ 1.37 65U 0.27+
VZ S/SELL 61- 0.71 32U -0.03+
WMT BUY 93- 0.86 92D 0.38/
XOM BUY 100/ 1.30 96U 0.56+
*Internal Relative Strength

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MktMetrics Weekly Stocks In Review

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This Week's BEST & WORST Opportunities

Top Selected BEST Positive Stocks (Buy-Long Ideas)
Steady Accumulation confirmed by an Up Trend
Statistics for 4-21-08 Monday's NYSE Open
Symbol OFV (Proposed Range) Price Internal Strength +/-
ACC
ACI
ACS
ADP
ALV
ANSS
AOC
APA
APC
ASML
ATLS
AZN
BCE
BHI
BJS
BLL
BMC
BNI
BUCY
CAT
CBE
CCK
CF
CHL
CLB
COP
CRA
CSX
CTSH
CVH
CVX
DBC
DD
DDS
DNB
DO
DPTR
DRQ
DWSN
EEM
EPIQ
EPP
ETN
EWA
EWC
EWN
EWP
EWU
EWZ
F
FCX
FLS
FMC
GIS
GPC
HAL
HP
HW
HXM
IAU
IBM
IDTI
IEV
IEX
IFF
IGE
IGV
IGW
IJK
ILF
IYE
IYM
JEC
LMT
LNN
MCD
MDR
MEE
MKC
MOS
MSM
MVL
NBR
NCR
NOV
NSC
NX
NYT
OIH
OII
OLN
PDLI
PEO
PH
PKOH
POT
PRKR
PTEN
PX
PXD
QLD
QSFT
R
RDC
RIG
ROH
ROK
RPM
RRC
RSG
SGY
SLB
SLGN
SNA
SON
SPN
SSP
SSS
TBSI
TKR
TNB
TTI
TWX
UNP
USG
USO
VAW
VSEA
WEN
WTS
XEC
XLB
XLE
XLI
XOM
YUM
*OFV: Opening Fair Value

Top Selected Negative Stocks (Short-Sale Ideas)
Steady Distribution confirmed by a Down Trend
Statistics for 4-21-08 Monday's NYSE Open
Symbol OFV (Proposed Range) Price Internal Strength +/-
ABT OFV: 51.01 (0.99) -2- Vol. 7.131
AXP OFV: 45.92 (1.29) -28+ Vol. 10.883
BGG OFV: 15.00 (0.49) -13- Vol. .791
C OFV: 25.49 (0.84) -49+ Vol. 109.153
CATY OFV: 17.70 (0.62) -9+ Vol. .808
CHS OFV: 6.079 (0.24) -12+ Vol. 3.691
CROX OFV: 10.42 (1.29) -2/ Vol. 7.675
CYBE OFV: 10.79 (0.35) -29- Vol. .025
CYN OFV: 46.63 (1.61) -8- Vol. .823
DUG OFV: 31.27 (1.14) -1- Vol. 4.765
ESLR OFV: 9.92 (0.56) -45- Vol. 5.563
EXAR OFV: 8.12 (0.27) -22+ Vol. .505
HANS OFV: 32.64 (1.27) -3+ Vol. 2.211
IGT OFV: 35.92 (0.98) -7- Vol. 4.023
ININ OFV: 11.50 (0.43) -12+ Vol. .259
ISRG OFV: 298.81 (16.22) -47- Vol. 1.154
LCAV OFV: 12.57 (0.60) -21+ Vol. .542
LDK OFV: 33.41 (2.44) -48- Vol. 3.528
LIFC OFV: 50.57 (0.19) +78/ Vol. 1.161
LIZ OFV: 16.85 (0.53) -18+ Vol. 1.995
LNCR OFV: 25.66 (1.02) -3- Vol. 1.025
NOC OFV: 71.61 (2.41) -10+ Vol. 2.172
PMTI OFV: 13.31 (0.52) -4- Vol. .294
PRXL OFV: 22.92 (0.98) -7- Vol. .815
QID OFV: 43.45 (1.50) -23- Vol. 38.404
RSCR OFV: 16.27 (0.63) -10- Vol. .186
SOLF OFV: 14.90 (0.82) -48+ Vol. 4.839
SUPX OFV: 20.93 (0.82) -19+ Vol. .224
TSO OFV: 28.50 (1.46) -23+ Vol. 5.383
UNTD OFV: 10.70 (0.25) -15- Vol. .819
VIVO OFV: 27.61 (1.17) -21- Vol. .439
*OFV: Opening Fair Value

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"Not always right, just very seldom wrong."

Saturday, April 19, 2008

MktMetrics Weekly Stock Market Analysis

Stock Market Analysis for Week Ending April 18, 2008 (Historic: Highs /Lows)

Stock Market Outlook: Bullish Rising 56.0% vs Last week: 41.4% (Historic: High 100.0% / Low 7.1%)

DJIA Outlook: Neutral, yet Falling 50% vs Last week: 65% (Historic: High 89% / Low 12%)

Dow Jones Industrial Average (DJIA) Trading Range:
High 14,279.96 (10-11-07) / Low 11,508.74 (1-22-08)= Range: 2,771.22

DJIA Closed: 12,849.36 vs Last week: 12,325.42 +523.94 / Prior week: -284.00
DJIA 21-day Moving Average: 12,501.10 vs Last week: 12,396.71 +104.39 / Prior week: +127.44
DJIA 50-Day Net Change: Rising 649 vs Last week -117 (High 1450 5-23-07 / Low -1812 3-10-08)
DJIA Trend: Falling 58% vs Last week: 74% (High 97% 9-19-07&10-1-07 / Low: 0% 6-13-06)
DJIA Momentum: Rising 48% vs Last week: 39% (High 97% / Low 10%)
DJIA Volatility: Rising 1.63% vs Last week: 1.35% (High 6.98% / Low -1.14%)
DJIA Resistance: Rising Near Term 12,719 vs Last week 12,614 +105 / Prior week: +130
DJIA Breakout: Rising Intermediate Term 12,938 vs Last week 12,831
DJIA Support: Rising Near Term 12,264 vs Last week: 12,175 +89 / Prior week: +129
DJIA Breakdown: Rising Intermediate Term 12,063 vs Last week: 11,963
DJIA Directional Indicator: Rising 35.70 vs Last week: 10.25 (High +49.4 / Low -63.91)
DJIA Price Advance/Decline Line: Rising 373 vs Last week: 64 (High +647 / Low -660)
DJIA Volume Advance/Decline Line: Rising 68 vs Last week: -104 (High +349 / Low -484)
DJIA Price vs 21-Day Moving Average: Rising 2.79% vs Last week: -.58% (High 4.36% / Low -6.99%)
DJIA Moving Average Convergence/Divergence(MACD): New Buy / Last week: Sell
DJIA Overbought/Oversold (CCI): Rising 182 vs Last week: -56 (High +255 / Low -285)
DJIA Stochastic 20-Day Indicator: Rising 81 vs Last week: 73 (High 100 / Low 00)
DJIA Stochastic 5-Day Indicator: Rising 83 vs Last week: 26 (High 100 / Low 00)
DJIA 14-Day Relative Strength Indicator: Rising 70 vs Last week: 41 (High 97 / Low 12)
DJIA Volume vs 50-Day Moving Average: Rising 1.0 vs Last week: .8 (High 3.3 / Low 0.3)

Institutional Investor Statistical Trends (Historic High / Low)

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

Institutional Money Flow Index: Rising 64% vs Last week: 48% (High 97% / Low 6%)

Institutional Demand Factor: Rising 57.90% vs Last week: 50.48% (High 86.8% / Low 13.13%)

Institutional Inventory Index: Rising 57.48% vs Last week: 52.32% (High 81.1% / 19.77%)

Institutional Accumulation/Distribution: Rising .19 vs Last week: .08 (High .35 / -.41)

Institutional Sentiment Index: Rising 124 vs Last week: 120 (High 179 (5-30-07) / (Low 68 (6-13-06)

Speculation Indicator Index: Rising -.132 vs Last week: -.350 (High .749 (7-19-07) / (Low -1.174 (1-4-08)

One Year High Yield National CD Rate: Falling 3.90% vs Last week: 3.97% (5.27% / Low 3.86%)****************************************************************************************************************
108 Exchange Traded Funds
Trends & Sector Analysis


Symbol: Trend +/- (Historic: High / Low) / Rating / Demand Factor
Diamonds-Dow 30
DIA: +.44 vs Last week: +.21 (High .95 / Low -.80) Rating: BUY Demand Factor: 92-
S&P 500 Large-Cap
SPY: +.41 vs Last week: +.12 (High .77 / Low -.89) Rating: BUY Demand Factor: 82+
S&P 400 Mid-Cap
MDY: +.76 vs Last week: +.28 (High .89 / Low -1.16) Rating: BUY Demand Factor: 82+
Russell 2000 Small-Cap
IWM: +.40 vs Last week: +.17 (High .71 / Low -.67) Rating: BUY Demand Factor: 93+
Nasdaq 100 Large Growth
QQQQ: +.27 vs Last week: +.08 (High .54 / Low -.41) Rating: BUY Demand Factor: 81+
1. Biotech
BBH: +.14 vs Last week: +.06 (High 1.58 / Low -1.02) Rating: SELL- Demand Factor: 72-
2. Broadband
BDH: -.10 vs Last week: -.08 (High .57 / Low -.54) Rating: SELL Demand Factor: 30-
3. Central Fund of Canada (Physical Precious Metals)
CEF: -.01 vs Last week: -.03 (High .41 / Low -.29) Rating: SELL Demand Factor: 67-
4. CHICAGO MERCANTILE EXCHANGE
CME: +2.57 vs Last week: -.38 (High 4.84 / Low -6.35) Rating: SELL Demand Factor: 37+
5. Deutsche Bank Commodity Index Tracking
DBC: +.35 vs Last week: +.09 (High .68 / Low -.65) Rating: BUY Demand Factor: 100+
6. ULTRA DOW 30 POWER SHARES
DDM: +.47 vs Last week: +.14 (High 1.00 / Low -1.13) Rating: BUY Demand Factor: 88+
7. UltraShort Oil & Gas ProShares (2:1 Leveraged ETF)
DUG: -.90 vs Last week: -.26 (High 1.07/ Low -1.02) Rating: SELL Demand Factor: 0-
8. Dow Jones Select Dividend Index
DVY: -.03 vs Last week: -.09 (High .58 / Low -.74) Rating: SELL Demand Factor: 69+
9. ULTRA SHORT DOW 30 POWER SHARES
DXD: -.51 vs Last week: -.29 (High .68 / Low -.70) Rating: SELL Demand Factor: 3-
10. CLAYMORE/BNY BRIC ETF (Brazil Russia India China)
EEB: +.67 vs Last week: +.23 (High .86 / Low -.50) Rating: BUY Demand Factor: 99+
11. Emerging Markets
EEM: +1.18 vs Last week: +.26 (High 1.29 / Low -1.19) Rating: BUY Demand Factor: 100+
12. EAFE Global Equities (Europe, Australasia and Far East)
EFA: +.51 vs Last week: +.14 (High .62 / Low -.65) Rating: BUY Demand Factor: 99+
13. Pacific ex-Japan
EPP: +.85 vs Last week: +.25 (High 1.36 / Low -1.18) Rating: BUY Demand Factor: 100+
14. Australia
EWA: +.23 vs Last week: +.02 (High .81 / Low -.45) Rating: BUY Demand Factor: 100+
15. Canada
EWC: +.47 vs Last week: +.03 (High .52 / Low -.37) Rating: BUY Demand Factor: 100+
16. Sweden
EWD: +.11 vs Last week: -.00 (High .79 / Low -.44) Rating: BUY Demand Factor: 78+
17. Germany
EWG: +.39 vs Last week: +.35 (High .61 / Low -.41) Rating: BUY Demand Factor: 99+
18. Hong Kong
EWH: +.07 vs Last week: -.19 (High .48 / Low -.44) Rating: SELL Demand Factor: 15+
19. Italy
EWI: +.12 vs Last week: -.00 (High .51 / Low -.63) Rating: BUY Demand Factor: 33+
20. Japan
EWJ: -.03 vs Last week: -.09 (High .63 / Low -.43) Rating: SELL Demand Factor: 53+
21. Belgium
EWK: +.26 vs Last week: +.13 (High .60 / Low -.40) Rating: BUY Demand Factor: 87+
22. Switzerland
EWL: -.37 vs Last week: -.18 (High .64 / Low -.49) Rating: SELL Demand Factor: 2-
23. Malaysia
EWM: +.02 vs Last week: +.04 (High .39 / Low -.21) Rating: BUY Demand Factor: 90-
24. Netherlands
EWN: +.62 vs Last week: +.36 (High .62 / Low -.30) Rating: BUY Demand Factor: 100+
25. Austria
EWO: +.54 vs Last week: +.32 (High .54 / Low -.30) Rating: BUY Demand Factor: 88+
26. Spain
EWP: +.51 vs Last week: +.27 (High .75 / Low -.63) Rating: BUY Demand Factor: 100+
27. France
EWQ: +.15 vs Last week: +.05 (High .56 / Low -.44) Rating: BUY Demand Factor: 88+
28. Singapore
EWS: +.17 vs Last week: +.15 (High .45 / Low -.50) Rating: BUY Demand Factor: 44+
29. Taiwan
EWT: +.08 vs Last week: +.03 (High .40 / Low -.23) Rating: BUY Demand Factor: 70-
30. United Kingdom
EWU: +.47 vs Last week: +.15 (High .69 / Low -.28) Rating: BUY Demand Factor: 100+
31. Mexico
EWW: +.52 vs Last week: +.36 (High .72 / Low -.59) Rating: BUY Demand Factor: 95-
32. South Korea
EWY: +.52 vs Last week: +.37 (High .68 / Low -.53) Rating: BUY Demand Factor: 93-
33. Brazil
EWZ: +.87 vs Last week: +.15 (High 1.00 / Low -.81) Rating: BUY Demand Factor: 100+
34. FTSE/Xinhua China 25 Index
FXI: +1.18 vs Last week: +.09 (High 2.91 / Low -2.03) Rating: BUY Demand Factor: 68+
31. PROSHARES US FTSE/XI
FXP: -1.93 vs Last week: -.52 (High 1.30 / Low -1.16) Rating: SELL Demand Factor: 16-
35. Street TRACKS Gold Trust
GLD: -.13 vs Last week: -.41 (High .77 / Low -.61) Rating: SELL Demand Factor: 43-
36. Internet
HHH: +.42 vs Last week: +.28 (High .63 / Low -.75) Rating: BUY Demand Factor: 63+
37. Internet Architecture
IAH: +.26 vs Last week: +.17 (High .65 / Low -.86) Rating: BUY+ Demand Factor: 11+
38. U.S. Broker-Dealers
IAI: +.03 vs Last week: -.23 (High .55 / Low -.69) Rating: SELL Demand Factor: 15+
39. Comex Gold
IAU: -.00 vs Last week: -.23 (High .81 / Low -.65) Rating: SELL Demand Factor: 100/
40. Biotechnology
IBB: +.51 vs Last week: +.30 (High .70 / Low -.62) Rating: BUY Demand Factor: 83+
41. InterContinental Exchange, Inc.
ICE: +1.82 vs Last week: +.88 (High 1.82 /Low -2.72) Rating: BUY Demand Factor: 58+
42. Cohen & Steers Realty Majors
ICF: +.21 vs Last week: +.17 (High .98 / Low -1.02) Rating: BUY Demand Factor: 52+
43. Utilities
IDU: +.25 vs Last week: +.05 (High .78 / Low -.76) Rating: BUY Demand Factor: 48+
44. S&P Europe 350 Index
IEV: +.69 vs Last week: +.23 (High .84 / Low -.88) Rating: BUY Demand Factor: 100+
45. Natural Resources
IGE: +1.35 vs Last week: +.34 (High 1.35 / Low -.75) Rating: BUY Demand Factor: 100+
46. Networking
IGN: +.14 vs Last week: +.06 (High .48 / Low -.50) Rating: BUY Demand Factor: 34/
47. Software
IGV: +.48 vs Last week: +.37 (High .66 / Low -.60) Rating: BUY Demand Factor: 100+
48. Semiconductor
IGW: +.47 vs Last week: +.33 (High .62 / Low -.75) Rating: BUY Demand Factor: 100+
49. MS India Investment Fund
IIF: +.47 vs Last week: +.01 (High .88 / Low -.81) Rating: BUY+ Demand Factor: 96+
50. Internet Infrastructure
IIH: +.42 vs Last week: +.41 (High .64 / Low -.52) Rating: BUY Demand Factor: 45+
51. Mid-Cap 400 Blend
IJH: +.62 vs Last week: +.33 (High .78 / Low -.68) Rating: BUY Demand Factor: 97+
52. Mid-Cap 400 Growth
IJK: +.74 vs Last week: +.38 (High .66 / Low -.86) Rating: BUY Demand Factor: 100+
53. Small-Cap 600
IJR: +.26 vs Last week: +.19 (High .83 / Low -.54) Rating: BUY Demand Factor: 64-
54. S&P Latin America 40 Index
ILF: +2.37 vs Last week: +.64 (High 2.68 / Low -2.31) Rating: BUY Demand Factor: 100+
55. S&P 1500 Index
ISI: +.53 vs Last week: -.09 (High .81 / Low -.95) Rating: BUY+ Demand Factor: 23+
56. U.S. Aerospace & Defense
ITA: +.34 vs Last week: +.35 (High .46 / Low -.69) Rating: BUY Demand Factor: 44+
57. S&P Latin America 40 Index
ITF: +.66 vs Last week: +.11 (High .92 / Low -.90) Rating: BUY+ Demand Factor: 41+
58. Global Financial
IXG: +.36 vs Last week: +.23 (High .79 / Low -.94) Rating: BUY Demand Factor: 68-
59. Consumer Cyclical
IYC: +.28 vs Last week: +.22 (High .78 / Low -.70) Rating: BUY Demand Factor: 98+
60. Energy
IYE: +1.29 vs Last week: +.27 (High 1.29 / Low -.85) Rating: BUY Demand Factor: 100+
61. Financial Services
IYG: -.12 vs Last week: -.19 (High .79 / Low -1.18) Rating: SELL Demand Factor: 8+
62. Healthcare
IYH: +.22 vs Last week: +.26 (High .54 / Low -.63) Rating: SELL- Demand Factor: 95+
63. Industrial
IYJ: +.31 vs Last week: +.12 (High .52 / Low -.80) Rating: BUY Demand Factor: 64+
64. Consumer Non-Cyclical
IYK: +.28 vs Last week: +.22 (High .58 / Low -.72) Rating: BUY Demand Factor: 98+
65. Basic Materials
IYM: +.84 vs Last week: +.37 (High .84 / Low -.61) Rating: BUY Demand Factor: 100+
66. Real Estate
IYR: +.20 vs Last week: +.20 (High .64 / Low -.85) Rating: BUY Demand Factor: 71/
67. Transportation
IYT: +.61 vs Last week: +.39 (High .80 / Low -.95) Rating: BUY Demand Factor: 82+
68. U.S. Technology
IYW: +.09 vs Last week: +.09 (High .54 / Low -.59) Rating: BUY Demand Factor: 79
69. U.S. Total Market Index
IYY: +.33 vs Last week: +.23 (High .84 / Low -.72) Rating: BUY Demand Factor: 99+
70. U.S. Telecommunications
IYZ: +.11 vs Last week: +.05 (High .43 / Low -.37 Rating: SELL- Demand Factor: 88+
71. ULTRA SHORT MID-CAP 400 POWER SHARES
MZZ: -.64 vs Last week: -.37 (High .85 / Low -.82) Rating: SELL Demand Factor: 12-
72. NYSE Euronext Group, Inc.
NYX: +.36 vs Last week: +.19 (High 1.77 / Low -1.30 Rating: SELL Demand Factor: 8+
73. NASDAQ Stock Market, Inc.
NDAQ: +.21 vs Last week: -.09 (High 1.07/ Low -1.02) Rating: SELL Demand Factor: 40+
74. Oil Services
OIH: +2.43 vs Last week: +.77 (High 2.43 /Low -1.58) Rating: BUY Demand Factor: 100+
75. PowerShares WilderHill Clean Energy
PBW: +.37 vs Last week: +.16 (High .72 / Low -.52) Rating: BUY+ Demand Factor: 56+
76. Pharmaceuticals
PPH: +.04 vs Last week: +.16 (High .80 / Low -.61) Rating: SELL- Demand Factor: 93-
77. PowerShares Dynamic OTC
PWO: +.39 vs Last week: +.46 (High .51 / Low -.54) Rating: BUY Demand Factor: 98+
78. ULTRA SHORT QQQ POWER SHARES
QID: -.68 vs Last week: -.33 (High .74 / Low -.73) Rating: SELL Demand Factor: 0-
79. ULTRA QQQ PROSHARES
QLD: +.77 vs Last week: +.24 (High 1.14 / Low -1.51) Rating: BUY Demand Factor: 100+
80. Regional Banks
RKH: -.25 vs Last week: -.16 (High .95 / Low -1.50) Rating: SELL Demand Factor: 12-
81. MS Eastern Europe Fund
RNE: +.14 vs Last week: -.08 (High .55 / Low -.73) Rating: BUY+ Demand Factor: 18+
82. Retail
RTH: +.29 vs Last week: +.15 (High .60 / Low -.68) Rating: BUY Demand Factor: 70+
83. DJ Wilshire REIT
RWR: +.29 vs Last week: +.21 (High .78 / Low -.81) Rating: BUY Demand Factor: 91+
84. ULTRA SHORT S&P 500 Power Shares
SDS: -.46 vs Last week: -.21 (High .78 / Low: -.69) Rating: SELL Demand Factor: 8-
85. ULTRA SHORT Russell 2000 Value ProShares
SJH: -.78 vs Last week: -.47 (High .99 / Low -.78) Rating: SELL Demand Factor: 20-
86. Silver Trust
SLV: -.17 vs Last week: -1.15 (High 2.31 / Low -1.53) Rating: SELL Demand Factor: 89-
87. Semiconductor
SMH: +.13 vs Last week: +.04 (High .48 / Low -.52) Rating: BUY Demand Factor: 30+
88. UltraShort Real Estate ProShares (2:1 Leveraged ETF)
SRS: -.97 vs Last week: -.93 (High 2.19 / Low -1.62) Rating: SELL Demand Factor: 27-
89. Software
SWH: +.19 vs Last week: +.05 (High .61 / Low -.43) Rating: BUY+ Demand Factor: 16+
90. Lehman 20+ Treasury Bond Fund
TLT: -.50 vs Last week: -.20 (High .53 / Low -.50) Rating: SELL Demand Factor: 9/
91. Telecommunications Holders Trust
TTH: +.15 vs Last week: +.17 (High .54 / Low -.40) Rating: SELL- Demand Factor: 80-
92. Utilities
UTH: +.53 vs Last week: +.23 (High .95 / Low -1.13) Rating: BUY Demand Factor: 97+
93. Wireless
WMH: +.32 vs Last week: +.19 (High .87 / Low -.82) Rating: BUY Demand Factor: 70+
94. Homebuilders Select Sector
XHB: +.02 vs Last week: +.05 (High .69 / Low -.56) Rating: BUY+ Demand Factor: 13+
95. Materials Select Sector
XLB: +.45 vs Last week: +.18 (High .45 / Low -.41) Rating: BUY Demand Factor: 100+
96. Energy Select Sector
XLE: +.80 vs Last week: +.16 (High .80 / Low -.60) Rating: BUY Demand Factor: 100+
97. Financial Select Sector
XLF: -.00 vs Last week: -.05 (High .46 / Low -.43) Rating: SELL Demand Factor: 45+
98. Industrial Select Sector
XLI: +.37 vs Last week: +.25 (High .46 / Low -.49) Rating: BUY Demand Factor: 100+
99. Technology Select Sector
XLK: +.06 vs Last week: -.07 (High .51 / Low -.32) Rating: BUY+ Demand Factor: 63+
100. Consumer Staples Select Sector
XLP: +.14 vs Last week: +.09 (High .59 / Low -.43) Rating: BUY Demand Factor: 58+
101. Healthcare Select Sector
XLV: +.09 vs Last week: +.10 (High .57 / Low -.33) Rating: BUY Demand Factor: 96+
102. Industrial Select Sector
XLY: +.14 vs Last week: +.03 (High .44 / Low -.57) Rating: BUY Demand Factor: 94+
103. Mining & Metals Select Sector
XME: +.81 vs Last week: +.30 (High .98 / Low -.78) Rating: BUY Demand Factor: 95+

108 Total Exchange Traded Funds Tracked: (Historic: High= 90% / Low= 13%)
Buy 78/Sell 30(72%) vs. Last week: Buy 74/Sell 34(68%) vs. Prior week: Buy 82/Sell 26(80%)

DJIA 6 weeks: +523.94(4-18) -284.00(4-11) +393.02(4-4) -144.92(3-28) +410.23(3-20) +51.40 (3-14)

Information provided by: http://www.mktmetrics.com/
A Strategic Collaboration with Tiger Investment Software
http://www.tigersoft.com/DG/welcome.htm

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:
TraderDaily.com, Institutional Investor Magazine and TigerSoft.com

News:
In production, a Power Point Slide presentation on how MktMetrics makes money for users.

www.galefinancialmarketeconometrics.blogspot.com/
Next Day's Advance Market Decisions blog (First current information available)

The three daily blogs provide:
11:00pmET Trading Ideas for next day's trading
7:45amET Stock Market Forecast and Institutional Investor Statistics
8:15amET Diamonds (DIA) Forecast for the day illustrating a portion of our program

Subscribe today to MktMetrics.com to see what the Exchange Insiders (Specialists & Market Makers) are currently doing with their inventory for any stock or ETF that you trade.

Total number of Blogs archived: 1,656 since April 2005

Friday, April 18, 2008

Stock Market Forecast Friday April 18 2008

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 4-17-08 DJIA closed: 12,620.49 +1.22 vs. Prior day: 12,619.27 +256.80
DJIA 21-Day Moving Average: 12,465.40 +10.85 vs. Prior day: 12,454.55 +30.81
(DJIA closed 1.24% above its rising 21-day moving average vs. 1.32% prior day)

Before the New York Stock Exchange Open
Friday April 18 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Friday: 64%
DIA probability of closing "Up" Friday: 45%
DIA Past 4 Fridays: Falling 53.8% / 54.9% / 58.4% / 58.4%
(Higher Open, Lower Close from Opening is greatest for Friday)
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Rising Today Up 18 vs. Down 13 (+2 vs +1 prior day)
DJIA Trend: Rising Today 58% vs Yesterday 52% (High 97% / Low 0%)
Change in Trend: To "Up" from "Down" as of day 4-16-08 (Change? Hold)
DJIA MACD: Rising Today, Sell as of Friday 4-11-08 (12,26 computation)
DJIA Momentum: Rising Today 42% vs Yesterday 35% (High 97% / Low 10%)
DJIA Volatility: Falling Today 1.15 vs Yesterday 1.65 (High 6.98 / Low -1.14)
DJIA 50-Day Net Change: Rising Today +355 vs Yesterday -16 (High 1450 / Low -1812)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -1812 3-10-08 (today 355 24.5% of High)

DJIA Resistance Levels: Mean= 12,465 / Intermediate Term 12,682 / Breakout 12,9010
DJIA Support Levels: Mean= 12,455 / Intermediate Term 12,242 / Breakdown 12,029

Market Comment:
The DJIA closed Thursday 1.24% below its rising 21-day moving average vs. 1.32% previously. The daily Dow Trend is at the crossroads. Expecting that Trend will change down, which most likely will happen today with Futures and Options expiration. The daily Dow Outlook is declining as it moved down to 50 from 52. The DJIA 50-Day Net Change turned up Wednesday and is now postive by +355. However, the Stock Market remains vulnerable. Investors should refrain from buying until Outlook improves and the Trend confirms "Up".

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Falling Today -.003% vs Yesterday .04% (High .29% / Low -.24%) Mean= -.02% Closed near its Mean, Neutral.

Institutional Money Flow: Falling Today 45% vs Yesterday 51% (High 97% / Low 6%) Mean= 52% Closed below its Mean, Negative and decreasing.

Institutional Demand: Rising Today 57.38% vs Yesterday 57.03% (High 86.84% / Low 13.13%) Mean= 50.0% Closed above its Mean, Positve and increasing.

Institutional Inventory: Rising Today 51.77% vs Yesterday 50.77% (High 81.06%/Low 19.77%) Mean= 50.4% Closed above its Mean, Postive and increasing.

Institutional Accumulation/Distribution Trend: Falling Today .03% vs Yesterday .16% (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 50% vs. Yesterday 52% (High 89% / Low 16%) Mean= 53.5% Closed below its Mean, Negative and decreasing.

Stock Market Outlook: Bearish Falling Today 52.2% vs Yesterday 52.3% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

12 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Falling Trend Today 22% vs. Yesterday 45% (High 95% / Low -80%)
SPY: Falling Trend Today 14% vs. Yesterday 41% (High 77% / Low -89%)
MDY: Falling Trend Today 49% vs. Yesterday 82% (High 91% / Low -1.16%)
IWM: Falling Trend Today 21% vs. Yesterday 43% (High 71% / Low -67%)
QQQQ: Falling Trend Today 7% vs. Yesterday 24% (High 54% / Low -43%)
SMH: Falling Trend Today -1% vs. Yesterday 7% (High 48% / Low -53%)
IYT: Falling Trend Today 33% vs. Yesterday 67% (High 80% / Low -95%)
XLE: Falling Trend Today 39% vs. Yesterday 59% (High 69% / Low -60%)
XLF: Falling Trend Today -11% vs. Yesterday 2% (High 45% / Low -58%)
IAI: Falling Trend Today -13% vs. Yesterday 11% (High 55% / Low -65%)
IYR: Falling Trend Today 13% vs. Yesterday 30% (High 64% / Low -85%)
XHB: Falling Trend Today -3% vs. Yesterday 8% (High .69% / Low -.56%)
(MktMetrics.com tracks 108 Exchange Traded Funds for our subscribers)

Stock Market Plurality: (a short-term overbought/oversold indicator)
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Falling Trend Today 126 vs. Yesterday 147 (High 367 / Low 3)
Demand Factor "0": Rising Trend Today 26 vs. Yesterday 21 (High 360 / Low 6)

Information provided by http://www.mktmetrics.com/
A Strategic Collaboration with TigerSoft.com
http://www.tigersoft.com/DG/TigerSoft-Blog.htm

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

Thursday, April 17, 2008

Stock Trading Ideas Friday April 18 2008

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

Nightly Analysis Update

DIA Probability of being "Up" Friday: 45%
DJIA Probability of being "Up" Friday: 64%
(DIA & DJIA are weighted differently)
DJIA Trend: Rising Today 58% vs. 52% prior day (hold, await confirmation)
DJIA Trend Change: To "Up" from "Down" Wednesday 4-16-08
DJIA Momentum: Rising Today 42% vs. 35% prior day
DJIA Outlook: Bullish, yet Falling Today 50% vs. 52% prior day
Stock Market Outlook: Bullish Rising 52.2% vs. 50.4% prior day

126 Selected Stocks expected to move "HIGHER" Friday
Buy-Long Day Trading Ideas suggested for April 18 2008
Symbol OFV (Proposed Range) (Price Internal Strength)
Too many to mention. Subscribe today and get all the details first hand.

*OFV: Opening Fair Value

23 Selected Stocks expected to move "LOWER" Friday
Sell-Short Day Trading Ideas suggested for April 18 2008
Symbol OFV (Proposed Range) (Price Internal Strength)
ABT
AVCT
BGG
BSX
CATY
CHS
CHTT
CSGS
EWL
EXAR
GRMN
HANS
KND
LDK
LIFC
LIZ
LNCR
MVSN
NOC
RNOW
RSCR
SOLF
WSFS
*OFV: Opening Fair Value

Good luck and good trading!

*FRIDAY'S RESULTS*
Next Day's Advance Market Decisions- Trading Ideas
$1,000,000.00 Portfolio Performance, Funded: 12-17-2007
Account Value $1,296,545.66 4-18-08 Change -$36,080.00
Account Value $1,332,625.66 4-17-08 Change -$1,320.00
Account Value $1,345,825.66 4-16-08 Change -$29,247.87
Account Value $1,375,076.65 4-15-08 Change +$5,884.67
Account Value $1,369,191.98 4-14-08 Change +$2,364.03
Account Value $1,366,827.95 4-11-08 Change +$46,422.46
Account Value $1,320,405.49 4-10-08 Change -$3,430.16
Account Value $1,323,835.65 4-9-08 Change +$24,007.45
Account Value $1,299,828.20 4-8-08 Change +$6,265.00
Account Value $1,293,563.20 4-7-08 Change -$5,051.92
Account Value $1,300,985.12 4-4-08 Change +$14,657.93
Account Value $1,286,335.60 4-3-08 Change +$19,017.55
Account Value $1,267,318.05 4-2-08 Change +$4,101.18
Account Value $1,263,216.87 4-1-08 Change -$17,750.69
Account Value $1,280,967.56 3-31-08 Change +$208,083.04
Account Value $1,072,884.52 2-29-08 Change +$65,048.93
Account Value $1,007,835.59 1-31-08 Change +$17,581.30
Account Value $990,254.29 12-31-07 Change -$9,745.71

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

Full disclosure:
Long/Short individual stocks and ETFs owned at time of writing by its author?
Short DIA

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 April 17 Forecast

Information provided by: http://www.mktmetrics.com/
(Below is a sample of our program using DIA ETF current information)

Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 04/17/08
Last Updated: 04/16/08
04/16/08 Final Numbers
(Open) 124.53
(High) 126.65
(Low) 124.52
(Close) 126.64
(Range) 2.13

DIA Thursday Forecast
Opening Fair Value: 125.58
Today's Predicted High: 127.42
Today's Predicted Low: 125.86
Today's Proposed Range: 1.56
Buy/Sell Rating: Buy

Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 64 Up from 56
Volume Internal Strength: Negative 1.10/0.92 Up
Current Trend: Positive 45 Up from 30
Demand Factor: 100 Up from 97
Stock Volatility: 3.27 Up from 0.90

Predict DIA Upside and Downside Potential
04/16/08 12:45 Close: 125.64
Upside Potential: 128.88
Downside Potential: 125.76

Information for Extreme Trading Days
Predicted Block Trading Resistance Levels (100,000+ shares)
1. 127.01
2. 127.02
3. 129.17
4. 129.18

Predicted Block Trading Support Levels (100,000+ shares)
1. 124.12
2. 124.11
3. 122.04
4. 122.03

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 125.05
21 DAY MOVING AVERAGE = 124.57
30 DAY MOVING AVERAGE = 123.39
42 DAY MOVING AVERAGE = 123.64
50 DAY MOVING AVERAGE = 123.56
65 DAY MOVING AVERAGE = 123.64
30 WEEK MOVING AVERAGE = 129.93
200 DAY MOVING AVERAGE = 131.01

Dow Jones Industrial Average and Diamonds (DIA)
DJIA Probability of Being Up Thursday: 40%
DIA Probability of Being Up Thursday: 06%
(DJIA & DIA are weighted differently)
Dow Outlook: Bullish 52%, yet Falling
Stock Market Outlook: Bullish 52.3%, Rising

Subscribe today 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 at time of writing by author?
Short DIA

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

Stock Market Forecast Thursday April 17 2008

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.

Wednesday 4-16-08 DJIA closed: 12,619.27 +256.80 vs. Prior day: 12,362.47 +60.41
DJIA 21-Day Moving Average: 12,454.55 +30.81 vs. Prior day: 12,423.74 +19.59
(DJIA closed 1.32% above its rising 21-day moving average vs. -.49% prior day)

Before the New York Stock Exchange Open (Delayed Report)
Thursday April 17 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Thursday: 40%
DIA probability of closing "Up" Thursday: 06%
DIA Past 4 Thursdays: Rising 51.9% / 50.9% / 54.7% / 53.8%
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Rising Today Up 16 vs. Down 15 (+1 vs -6 prior day)
DJIA Trend: Rising Today 52% vs Yesterday 48% (High 97% / Low 0%)
Change in Trend: To "Up" from "Down" as of day 4-16-08 (Change? Hold)
DJIA MACD: Falling Today, Sell as of Friday 4-11-08 (12,26 computation)
DJIA Momentum: Unch Today 35% vs Yesterday 35% (High 97% / Low 10%)
DJIA Volatility: Rising Today 1.65 vs Yesterday 0.83 (High 6.98 / Low -1.14)
DJIA 50-Day Net Change: Falling Today -16 vs Yesterday -381 (High 1450 / Low -1812)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -1812 3-10-08 (today -16 -.01% of High)

DJIA Resistance Levels: Mean= 12,454 / Intermediate Term 12,672 / Breakout 12,890
DJIA Support Levels: Mean= 12,424 / Intermediate Term 12,221 / Breakdown 12,018

Market Comment:
The DJIA closed Wednesday 1.32% below its rising 21-day moving average vs. -.49% previously. The daily Dow Trend is at the crossroads. Expecting it will continue down, which most likely will happen today. The daily Dow Outlook is declining as it moved down to 52 from 56. The DJIA 50-Day Net Change turned up Wednesday. Stock Market remains vulnerable. Investors should refrain from buying until Outlook improves and the Trend confirms "Up.".

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Unch Today .04% vs Yesterday .04% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, Positive yet flat.

Institutional Money Flow: Rising Today 51% vs Yesterday 42% (High 97% / Low 6%) Mean= 52% Closed near its Mean, Neutral.

Institutional Demand: Rising Today 57.03% vs Yesterday 50.83% (High 86.84% / Low 13.13%) Mean= 50.0% Closed above its Mean, Positve and increasing.

Institutional Inventory: Rising Today 50.77% vs Yesterday 45.96% (High 81.06%/Low 19.77%) Mean= 50.4% Closed near its Mean, Neutral.

Institutional Accumulation/Distribution Trend: Rising Today .16% vs Yesterday .11% (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: Bullish, yet Falling Today 52% vs. Yesterday 56% (High 89% / Low 16%) Mean= 53.5% Closed above its Mean, positive yet decreasing.

Stock Market Outlook: Bullish Rising Today 52.3% vs Yesterday 42.1% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

12 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Rising Trend Today 45% vs. Yesterday 30% (High 95% / Low -80%)
SPY: Rising Trend Today 41% vs. Yesterday 22% (High 77% / Low -89%)
MDY: Rising Trend Today 82% vs. Yesterday 32% (High 91% / Low -1.16%)
IWM: Rising Trend Today 43% vs. Yesterday 22% (High 71% / Low -67%)
QQQQ: Rising Trend Today 24% vs. Yesterday 10% (High 54% / Low -43%)
SMH: Rising Trend Today 7% vs. Yesterday 3% (High 48% / Low -53%)
IYT: Rising Trend Today 67% vs. Yesterday 43% (High 80% / Low -95%)
XLE: Rising Trend Today 59% vs. Yesterday 30% (High 69% / Low -60%)
XLF: Rising Trend Today 2% vs. Yesterday -1% (High 45% / Low -58%)
IAI: Rising Trend Today 11% vs. Yesterday -9% (High 55% / Low -65%)
IYR: Rising Trend Today 30% vs. Yesterday 15% (High 64% / Low -85%)
XHB: Rising Trend Today 8% vs. Yesterday -3% (High .69% / Low -.56%)
(MktMetrics.com tracks 108 Exchange Traded Funds for our subscribers)

Stock Market Plurality: (a short-term overbought/oversold indicator)
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Rising Trend Today 147 vs. Yesterday 62 (High 367 / Low 3)
Demand Factor "0": Falling Trend Today 21 vs. Yesterday 41 (High 360 / Low 6)

Information provided by http://www.mktmetrics.com/
A Strategic Collaboration with TigerSoft.com
http://www.tigersoft.com/DG/TigerSoft-Blog.htm

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

Wednesday, April 16, 2008

Dow 30 ETF (DIA) Wednesday April 16 Forecast

Information provided by: http://www.mktmetrics.com/
(Below is a sample of our program using DIA ETF current information)

Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 04/16/08
Last Updated: 04/15/08
04/15/08 Final Numbers
(Open) 123.76
(High) 123.84
(Low) 122.70
(Close) 123.64
(Range) 1.14


DIA Wednesday Forecast
Opening Fair Value: 123.38
Today's Predicted High: 124.27
Today's Predicted Low: 123.01
Today's Proposed Range: 1.26
Buy/Sell Rating: Buy

Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 56 Down from 60
Volume Internal Strength: Negative 0.80/0.87 Down
Current Trend: Positive 30 Up from 16
Demand Factor: 97 Up from 92
Stock Volatility: 0.90 Up from 0.17

Predict DIA Upside and Downside Potential
04/15/08 12:45 Close: 122.96
Upside Potential: 125.25
Downside Potential: 122.73

Information for Extreme Trading Days
Predicted Block Trading Resistance Levels (100,000+ shares)
1. 125.15
2. 126.11
3. 126.24
4. 126.32

Predicted Block Trading Support Levels (100,000+ shares)
1. 121.36
2. 121.28
3. 121.17
4. 120.25

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 125.00
21 DAY MOVING AVERAGE = 124.26
30 DAY MOVING AVERAGE = 123.25
42 DAY MOVING AVERAGE = 123.58
50 DAY MOVING AVERAGE = 123.55
65 DAY MOVING AVERAGE = 123.63
30 WEEK MOVING AVERAGE = 129.97
200 DAY MOVING AVERAGE = 131.05

Dow Jones Industrial Average and Diamonds (DIA)
DJIA Probability of Being Up Wednesday: 48%
DIA Probability of Being Up Wednesday: 26%
(DJIA & DIA are weighted differently)
Dow Outlook: Bullish 56%, yet Falling
Stock Market Outlook: Bearish 42.1%, yet Rising

Subscribe today 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 at time of writing by author?
Short DIA

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

Stock Market Forecast Wednesday April 16 2008

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 4-15-08 DJIA closed: 12,362.47 +60.41 vs. Prior day: 12,302.06 -23.36
DJIA 21-Day Moving Average: 12,423.74 +19.59 vs. Prior day: 12,404.15 +7.44
(DJIA closed -.49% below its rising 21-day moving average vs. -.82% prior day)

Before the New York Stock Exchange Open
Wednesday April 16 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Wednesday: 48%
DIA probability of closing "Up" Wednesday: 26%
DIA Past 4 Wednesdays: Falling 59.6% / 60.7% / 62.2% / 63.4%
(Lower Open is greatest for Wednesday)
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Falling Today Up 15 vs. Down 16 (-6 vs -2 prior day)
DJIA Trend: Falling Today 48% vs Yesterday 68% (High 97% / Low 0%)
Change in Trend: To "Down" from "Up" as of day 4-9-08 (distribute stocks)
DJIA MACD: Falling Today, Sell as of Friday 4-11-08 (12,26 computation)
DJIA Momentum: Rising Today 35% vs Yesterday 32% (High 97% / Low 10%)
DJIA Volatility: Rising Today 0.83 vs Yesterday 0.67 (High 6.98 / Low -1.14)
DJIA 50-Day Net Change: Falling Today -381 vs Yesterday -348 (High 1450 / Low -1812)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -1812 3-10-08 (today -381 -.26% of High)

DJIA Resistance Levels: Mean= 12,424 / Intermediate Term 12,641 / Breakout 12,858
DJIA Support Levels: Mean= 12,404 / Intermediate Term 12,196 / Breakdown 11,988

Market Comment:
The DJIA closed Tuesday -.49% below its rising 21-day moving average vs. -.82% previously. The daily Dow Trend is declining. The daily Dow Outlook is declining as it moved down to 56 from 61. The DJIA 50-Day Net Change turned negative Friday and is declining. The Stock Market remains vulnerable. Investors should refrain from buying until statistics improve.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Rising Today .04% vs Yesterday .02% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, Positive and increasing.

Institutional Money Flow: Unch Today 42% vs Yesterday 42% (High 97% / Low 6%) Mean= 52% Closed below its Mean, Negative yet flat.

Institutional Demand: Rising Today 50.83% vs Yesterday 48.51% (High 86.84% / Low 13.13%) Mean= 50.0% Closed near its Mean, Neutral yet increasing.

Institutional Inventory: Falling Today 45.96% vs Yesterday 49.16% (High 81.06%/Low 19.77%) Mean= 50.4% Closed below its Mean, Negative and decreasing.

Institutional Accumulation/Distribution Trend: Rising Today .11% vs Yesterday .03% (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: Bullish, yet Falling Today 56% vs. Yesterday 61% (High 89% / Low 16%) Mean= 53.5% Closed above its Mean, positive yet decreasing.

Stock Market Outlook: Bearish, yet Rising Today 42.1% vs Yesterday 37.5% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

12 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Rising Trend Today 30% vs. Yesterday 16% (High 95% / Low -80%)
SPY: Rising Trend Today 22% vs. Yesterday 3% (High 77% / Low -89%)
MDY: Rising Trend Today 32% vs. Yesterday 14% (High 91% / Low -1.16%)
IWM: Rising Trend Today 22% vs. Yesterday 2% (High 71% / Low -67%)
QQQQ: Rising Trend Today 10% vs. Yesterday 1% (High 54% / Low -43%)
SMH: Rising Trend Today 3% vs. Yesterday -5% (High 48% / Low -53%)
IYT: Rising Trend Today 43% vs. Yesterday 25% (High 80% / Low -95%)
XLE: Rising Trend Today 30% vs. Yesterday 14% (High 69% / Low -60%)
XLF: Rising Trend Today -1% vs. Yesterday -10% (High 45% / Low -58%)
IAI: Rising Trend Today -9% vs. Yesterday -34% (High 55% / Low -65%)
IYR: Rising Trend Today 15% vs. Yesterday 8% (High 64% / Low -85%)
XHB: Rising Trend Today -3% vs. Yesterday -10% (High .69% / Low -.56%)
(MktMetrics.com tracks 108 Exchange Traded Funds for our subscribers)

Stock Market Plurality: (a short-term overbought/oversold indicator)
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Rising Trend Today 62 vs. Yesterday 39 (High 367 / Low 3)
Demand Factor "0": Falling Trend Today 41 vs. Yesterday 93 (High 360 / Low 6)

Information provided by http://www.mktmetrics.com/
A Strategic Collaboration with TigerSoft.com
http://www.tigersoft.com/DG/TigerSoft-Blog.htm

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

Tuesday, April 15, 2008

Stock Trading Ideas Wednesday April 16 2008

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

Nightly Analysis Update

DIA Probability of being "Up" Wednesday: 26%
DJIA Probability of being "Up" Wednesday: 48%
(DIA & DJIA are weighted differently)
DJIA Trend: Falling Today 56% vs. 68% prior day (distribute stocks)
DJIA Trend Change: To "Down" from "Up" Wednesday 4-9-08
DJIA Momentum: Falling Today 35% vs. 39% prior day
DJIA Outlook: Bullish, yet Falling Today 56% vs. 61% prior day
Stock Market Outlook: Bearish, yet Rising 42.1% vs. 37.4% prior day

Selected Stocks expected to move "HIGHER" Wednesday
Buy-Long Day Trading Ideas suggested for April 16 2008
Symbol OFV (Proposed Range) (Price Internal Strength)
ACC
ANSS
AOC
APA
ASML
ATLS
ATVI
AU
BNI
BOLT
BPT
CBST
CCK
CLB
CSX
CVX
DDS
DO
DPTR
DRQ
EEB
EWU
EWW
EWZ
F
FLS
GME
GRP
HAL
HP
HW
HXM
IBM
IGE
ILF
IWO
KOP
NCR
NOV
NSC
NX
NYT
OIH
OII
PAAS
PH
PKOH
POT
PRKR
PXD
RSG
RSTI
SCHN
SPN
TKR
TYC
USG
USO
WEN
WMT
X
XEC
*OFV: Opening Fair Value

Selected Stocks expected to move "LOWER" Tuesday
Sell-Short Day Trading Ideas suggested for April 15 2008
Symbol OFV (Proposed Range) (Price Internal Strength)
AEO
AGN
AMLN
AXP
BAC
BC
BEBE
BMY
CATY
CROX
CTX
CYN
DELL
DUG
DUK
ELX
EXAR
FITB
GRMN
HANS
IDXX
IGT
ININ
LCAV
LDK
MDCI
MICC
MIDD
NOC
NWS
RNOW
SIGM
SOLF
STT
SUN
SUPX
TIN
TLT
USU
WGO
XLTC
*OFV: Opening Fair Value

Good luck and good trading!

*WEDNESDAY'S RESULTS*
Next Day's Advance Market Decisions- Trading Ideas
$1,000,000.00 Portfolio Performance, Funded: 12-17-2007
Account Value $1,345,825.66 4-16-08 Change -$29,247.87
Account Value $1,375,076.65 4-15-08 Change +$5,884.67
Account Value $1,369,191.98 4-14-08 Change +$2,364.03
Account Value $1,366,827.95 4-11-08 Change +$46,422.46
Account Value $1,320,405.49 4-10-08 Change -$3,430.16
Account Value $1,323,835.65 4-9-08 Change +$24,007.45
Account Value $1,299,828.20 4-8-08 Change +$6,265.00
Account Value $1,293,563.20 4-7-08 Change -$5,051.92
Account Value $1,300,985.12 4-4-08 Change +$14,657.93
Account Value $1,286,335.60 4-3-08 Change +$19,017.55
Account Value $1,267,318.05 4-2-08 Change +$4,101.18
Account Value $1,263,216.87 4-1-08 Change -$17,750.69
Account Value $1,280,967.56 3-31-08 Change +$208,083.04
Account Value $1,072,884.52 2-29-08 Change +$65,048.93
Account Value $1,007,835.59 1-31-08 Change +$17,581.30
Account Value $990,254.29 12-31-07 Change -$9,745.71

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

Full disclosure:
Long/Short individual stocks and ETFs owned at time of writing by its author?
Short DIA

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 April 15 Forecast

Information provided by: http://www.mktmetrics.com/
(Below is a sample of our program using DIA ETF current information)

Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 04/15/08
Last Updated: 04/14/08
04/14/08 Final Numbers
(Open) 123.31
(High) 123.68
(Low) 122.79
(Close) 123.16
(Range) 0.89

DIA Tuesday Forecast
Opening Fair Value: 123.23
Today's Predicted High: 123.79
Today's Predicted Low: 122.54
Today's Proposed Range: 1.25
Buy/Sell Rating: Buy

Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 60 Down from 66
Volume Internal Strength: Negative 0.70/0.87 Down
Current Trend: Positive 16 Down from 21
Demand Factor: 92 Down from 94
Stock Volatility: 0.17 Down from 2.48

Predict DIA Upside and Downside Potential
04/14/08 12:45 Close: 123.62
Upside Potential: 124.24
Downside Potential: 121.74

Information for Extreme Trading Days
Predicted Block Trading Resistance Levels (100,000+ shares)
1. 125.25
2. 125.62
3. 125.78
4. 126.15

Predicted Block Trading Support Levels (100,000+ shares)
1. 121.21
2. 120.84
3. 120.70
4. 120.33

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 125.34
21 DAY MOVING AVERAGE = 124.09
30 DAY MOVING AVERAGE = 123.22
42 DAY MOVING AVERAGE = 123.62
50 DAY MOVING AVERAGE = 123.62
65 DAY MOVING AVERAGE = 123.70
30 WEEK MOVING AVERAGE = 130.03
200 DAY MOVING AVERAGE = 131.10

Dow Jones Industrial Average and Diamonds (DIA)
DJIA Probability of Being Up Tuesday: 48%
DIA Probability of Being Up Tuesday: 58%
(DJIA & DIA are weighted differently)

Dow Outlook: Bullish 61%, yet Falling
Stock Market Outlook: Bearish 37.5, Falling

Subscribe today 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 at time of writing by author?
Short CAT

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

Stock Market Forecast Tuesday April 15 2008

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 4-14-08 DJIA closed: 12,302.06 -23.36 vs. Prior day: 12,325.42 -256.42
DJIA 21-Day Moving Average: 12,404.15 +7.44 vs. Prior day: 12,396.71 +10.25
(DJIA closed -.82% below its rising 21-day moving average vs. -.58% prior day)

Before the New York Stock Exchange Open
Tuesday April 15 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Tuesday: 48%
DIA probability of closing "Up" Tuesday: 58%
DIA Past 4 Tuesdays: Rising 56.8% / 56.0% /55.7% / 54.9%
(Higher Close from Opening is greatest for Tuesday)
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Falling Today Up 21 vs. Down 10 (-2 vs -2 prior day)
DJIA Trend: Falling Today 68% vs Yesterday 74% (High 97% / Low 0%)
Change in Trend: To "Down" from "Up" as of day 4-9-08 (distribute stocks)
DJIA MACD: Falling Today, Sell as of Friday 4-11-08 (12,26 computation)
DJIA Momentum: Falling Today 32% vs Yesterday 39% (High 97% / Low 10%)
DJIA Volatility: Falling Today 0.67 vs Yesterday 1.35 (High 6.98 / Low -1.14)
DJIA 50-Day Net Change: Falling Today -348 vs Yesterday -117 (High 1450 / Low -1812)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -1812 3-10-08 (today -348 -.24% of High)

DJIA Resistance Levels: Mean= 12,404 / Intermediate Term 12,621 / Breakout 12,838
DJIA Support Levels: Mean= 12,396 / Intermediate Term 12,183 / Breakdown 11,970

Market Comment:
The DJIA closed Monday -.82% below its rising 21-day moving average vs. -.58% previously. The daily Dow Trend is declining. The daily Dow Outlook is declining as it moved down to 61 from 65. The DJIA 50-Day Net Change turned negative Friday and is declining. The Stock Market is vulnerable at this time. Investors should refrain from buying until statistics improve.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Falling Today .02% vs Yesterday .05% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, positive yet decreasing.

Institutional Money Flow: Falling Today 42% vs Yesterday 48% (High 97% / Low 6%) Mean= 52% Closed below its Mean, Negative and decreasing.

Institutional Demand: Falling Today 48.51% vs Yesterday 50.48% (High 86.84% / Low 13.13%) Mean= 50.0% Closed below its Mean, Negative and decreasing.

Institutional Inventory: Falling Today 49.16% vs Yesterday 52.32% (High 81.06%/Low 19.77%) Mean= 50.4% Closed below its Mean, Negative and decreasing.

Institutional Accumulation/Distribution Trend: Falling Today .03% vs Yesterday .08% (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 61% vs. Yesterday 65% (High 89% / Low 16%) Mean= 53.5% Closed above its Mean, positive yet decreasing.

Stock Market Outlook: Bearish Falling Today 37.5% vs Yesterday 41.4% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

12 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Falling Trend Today 16% vs. Yesterday 21% (High 95% / Low -80%)
SPY: Falling Trend Today 3% vs. Yesterday 12% (High 77% / Low -89%)
MDY: Falling Trend Today 14% vs. Yesterday 28% (High 91% / Low -1.16%)
IWM: Falling Trend Today 2% vs. Yesterday 17% (High 71% / Low -67%)
QQQQ: Falling Trend Today 1% vs. Yesterday 8% (High 54% / Low -43%)
SMH: Falling Trend Today -5% vs. Yesterday 4% (High 48% / Low -53%)
IYT: Falling Trend Today 25% vs. Yesterday 39% (High 80% / Low -95%)
XLE: Falling Trend Today 14% vs. Yesterday 16% (High 69% / Low -60%)
XLF: Falling Trend Today -10% vs. Yesterday -5% (High 45% / Low -58%)
IAI: Falling Trend Today -34% vs. Yesterday -23% (High 55% / Low -65%)
IYR: Falling Trend Today 8% vs. Yesterday 20% (High 64% / Low -85%)
XHB: Falling Trend Today -10% vs. Yesterday 5% (High .69% / Low -.56%)
(MktMetrics.com tracks 108 Exchange Traded Funds for our subscribers)

Stock Market Plurality: (a short-term overbought/oversold indicator)
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Rising Trend Today 39 vs. Yesterday 27 (High 367 / Low 3)
Demand Factor "0": Rising Trend Today 93 vs. Yesterday 70 (High 360 / Low 6)

Information provided by http://www.mktmetrics.com/
A Strategic Collaboration with TigerSoft.com
http://www.tigersoft.com/DG/TigerSoft-Blog.htm

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

Monday, April 14, 2008

Stock Trading Ideas Tuesday April 15 2008

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

Nightly Analysis Update

DIA Probability of being "Up" Tuesday: 58%
DJIA Probability of being "Up" Tuesday: 48%
(DIA & DJIA are weighted differently)
DJIA Trend: Falling Today 68% vs. 74% prior day (distribute stocks)
DJIA Trend Change: To "Down" from "Up" Wednesday 4-9-08
DJIA Momentum: Falling Today 45% vs. 39% prior day
DJIA Outlook: Bullish, yet Falling Today 61% vs. 65% prior day
Stock Market Outlook: Bearish Falling 37.4% vs. 41.1% prior day

Selected Stocks expected to move "HIGHER" Tuesday
Buy-Long Day Trading Ideas suggested for April 15 2008
Symbol OFV (Proposed Range) (Price Internal Strength)
AGU OFV: 74.64 (3.09) +90+
ANW OFV: 37.45 (1.49) +81+
APA OFV: 134.19 (4.30) +98+
ATLS OFV: 68.06 (1.49) +96+
AU OFV: 37.29 (0.76) +76+
BNI OFV: 93.56 (2.50) +76+
BOLT OFV: 19.98 (0.59) +82+
BPT OFV: 96.00 (1.80) +94-
CBST OFV: 19.75 (0.67) +74+
CF OFV: 142.41 (7.18) +98+
DO OFV: 128.95 (3.74) +78+
DRQ OFV: 53.44 (2.07) +92+
EWW OFV: 59.93 (1.14) +83+
FE OFV: 74.51 (1.17) +86-
FLS OFV: 105.36 (4.81) +70-
FMC OFV: 60.45 (1.72) +93+
HAL OFV: 43.89 (0.99) +98+
HP OFV: 52.03 (1.35) +99+
HXM OFV: 61.20 (1.84) +90+
IEX OFV: 32.51 (0.60) +77+
ILF OFV: 265.34 (6.63) +89+
KOP OFV: 46.42 (2.06) +87+
NCR OFV: 23.36 (0.49) +87+
NX OFV: 51.97 (0.63) +75-
OIH OFV: 191.10 (4.45) +91+
PDLI OFV: 13.77 (0.38) +83+
PKOH OFV: 15.96 (0.39) +63+
PXD OFV: 55.51 (1.62) +94+
SCHN OFV: 80.52 (3.50) +96+
SKF OFV: 116.76 (4.31) +58+
SNIC OFV: 9.79 (0.34) +77+
SPN OFV: 42.81 (0.99) +93+
TZIX OFV: 20.40 (0.37) +95+
UAUA OFV: 23.30 (1.54) +57+
UNP OFV: 130.78 (3.35) +76+
USO OFV: 89.10 (1.74) +92+
*OFV: Opening Fair Value

Selected Stocks expected to move "LOWER" Tuesday
Sell-Short Day Trading Ideas suggested for April 15 2008
Symbol OFV (Proposed Range) (Price Internal Strength)

Too many to list tonight. Subscribe and get the full details.

*OFV: Opening Fair Value

Good luck and good trading!

*MONDAY'S RESULTS*
Next Day's Advance Market Decisions- Trading Ideas
$1,000,000.00 Portfolio Performance, Funded: 12-17-2007
Account Value $1,369,191.98 4-14-08 Change +$2,364.03
Account Value $1,366,827.95 4-11-08 Change +$46,422.46
Account Value $1,320,405.49 4-10-08 Change -$3,430.16
Account Value $1,323,835.65 4-9-08 Change +$24,007.45
Account Value $1,299,828.20 4-8-08 Change +$6,265.00
Account Value $1,293,563.20 4-7-08 Change -$5,051.92
Account Value $1,300,985.12 4-4-08 Change +$14,657.93
Account Value $1,286,335.60 4-3-08 Change +$19,017.55
Account Value $1,267,318.05 4-2-08 Change +$4,101.18
Account Value $1,263,216.87 4-1-08 Change -$17,750.69
Account Value $1,280,967.56 3-31-08 Change +$208,083.04
Account Value $1,072,884.52 2-29-08 Change +$65,048.93
Account Value $1,007,835.59 1-31-08 Change +$17,581.30
Account Value $990,254.29 12-31-07 Change -$9,745.71

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

Full disclosure:
Long/Short individual stocks and ETFs owned at time of writing by its author?
Short CAT

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 April 14 Forecast

Information provided by: http://www.mktmetrics.com/
(Below is a sample of our program using DIA ETF current information)

Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 04/14/08
Last Updated: 04/11/08
04/11/08 Final Numbers
(Open) 124.53
(High) 124.70
(Low) 123.02
(Close) 123.39
(Range) 1.68

DIA Monday Forecast
Opening Fair Value: 123.89
Today's Predicted High: 124.03
Today's Predicted Low: 122.75
Today's Proposed Range: 1.28
Buy/Sell Rating: Buy

Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 66 Down from 76
Volume Internal Strength: Negative 1.10/0.87 Up
Current Trend: Positive 21 Down from 31
Demand Factor: 94 Down from 100
Stock Volatility: 2.48 Up from 1.44

Predict DIA Upside and Downside Potential
04/11/08 12:45 Close: 124.09
Upside Potential: 124.28
Downside Potential: 121.72

Information for Extreme Trading Days
Predicted Block Trading Resistance Levels (100,000+ shares)
1. 125.48
2. 125.86
3. 127.02
4. 127.19

Predicted Block Trading Support Levels (100,000+ shares)
1. 122.21
2. 122.04
3. 120.92
4. 120.56

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 125.72
21 DAY MOVING AVERAGE = 124.01
30 DAY MOVING AVERAGE = 123.21
42 DAY MOVING AVERAGE = 123.63
50 DAY MOVING AVERAGE = 123.68
65 DAY MOVING AVERAGE = 123.76
30 WEEK MOVING AVERAGE = 130.08
200 DAY MOVING AVERAGE = 131.15

Dow Jones Industrial Average and Diamonds (DIA)
DJIA Probability of Being Up Monday: 68%
DIA Probability of Being Up Monday: 97%
(DJIA & DIA are weighted differently)

Dow Outlook: Bullish 65%, yet Falling
Stock Market Outlook: Bearish 41.4, Falling

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Long/Short individual stocks mentioned at time of writing by author?
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Stock Market Forecast Monday April 14 2008

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Friday 4-11-08 DJIA closed: 12,325.42 -256.56 vs. Prior day: 12,581.98 +54.72
DJIA 21-Day Moving Average: 12,396.71 +10.25 vs. Prior day: 12,386.46 +20.25
(DJIA closed -.58% above its rising 21-day moving average vs. 1.58% prior day)

Before the New York Stock Exchange Open
Monday April 14 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Monday: 68%
DIA probability of closing "Up" Monday: 97%
DIA Past 4 Mondays: Falling 51.0% / 52.0% / 52.0% / 51.0%
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Falling Today Up 23 vs. Down 8 (-2 vs -2 prior day)
DJIA Trend: Falling Today 74% vs Yesterday 81% (High 97% / Low 0%)
Change in Trend: To "Down" from "Up" as of day 4-9-08 (distribute stocks)
DJIA MACD: Falling Today, New Sell as of Friday 4-11-08 (12,26 computation)
DJIA Momentum: Falling Today 39% vs Yesterday 45% (High 97% / Low 10%)
DJIA Volatility: Rising Today 1.35 vs Yesterday 1.12 (High 6.98 / Low -1.14)
DJIA 50-Day Net Change: Falling Today -117 vs Yesterday 101 (High 1450 / Low -1812)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -1812 3-10-08 (today -117 -.08% of High)

DJIA Resistance Levels: Mean= 12,396 / Intermediate Term 12,613 / Breakout 12,830
DJIA Support Levels: Mean= 12,386 / Intermediate Term 12,174 / Breakdown 11,962

Market Comment:
The DJIA closed Friday -.58% above its rising 21-day moving average vs. 1.58% previously. The daily Dow Trend is declining. The daily Dow Outlook just went negative as it moved down to 65 from 68. The DJIA 50-Day Net Change turned negative Friday. The Stock Market looks vulnerable at this time. Investors should refrain from buying until statistics improve.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Unch Today .05% vs Yesterday .05% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, positive yet flat.

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

Institutional Demand: Falling Today 50.48% vs Yesterday 59.32% (High 86.84% / Low 13.13%) Mean= 50.0% Closed at its Mean, Neutral yet decreasing.

Institutional Inventory: Falling Today 52.32% vs Yesterday 59.96% (High 81.06%/Low 19.77%) Mean= 50.4% Closed above its Mean, positive yet decreasing.

Institutional Accumulation/Distribution Trend: Falling Today .08% vs Yesterday .13% (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 65% vs. Yesterday 68% (High 89% / Low 16%) Mean= 53.5% Closed above its Mean, positive yet decreasing.

Stock Market Outlook: Bearish Falling Today 41.4% vs Yesterday 50.4% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

12 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Falling Trend Today 21% vs. Yesterday 31% (High 95% / Low -80%)
SPY: Falling Trend Today 12% vs. Yesterday 18% (High 77% / Low -89%)
MDY: Falling Trend Today 28% vs. Yesterday 39% (High 91% / Low -1.16%)
IWM: Falling Trend Today 17% vs. Yesterday 21% (High 71% / Low -67%)
QQQQ: Falling Trend Today 8% vs. Yesterday 13% (High 54% / Low -43%)
SMH: Falling Trend Today 4% vs. Yesterday 10% (High 48% / Low -53%)
IYT: Rising Trend Today 39% vs. Yesterday 29% (High 80% / Low -95%)
XLE: Rising Trend Today 16% vs. Yesterday 10% (High 69% / Low -60%)
XLF: Rising Trend Today -5% vs. Yesterday -6% (High 45% / Low -58%)
IAI: Rising Trend Today -23% vs. Yesterday -24% (High 55% / Low -65%)
IYR: Rising Trend Today 20% vs. Yesterday 12% (High 64% / Low -85%)
XHB: Rising Trend Today 5% vs. Yesterday 3% (High .69% / Low -.56%)
(MktMetrics.com tracks 108 Exchange Traded Funds for our subscribers)

Stock Market Plurality: (a short-term overbought/oversold indicator)
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Falling Trend Today 27 vs. Yesterday 80 (High 367 / Low 3)
Demand Factor "0": Rising Trend Today 70 vs. Yesterday 32 (High 360 / Low 6)

Information provided by http://www.mktmetrics.com/
A Strategic Collaboration with TigerSoft.com
http://www.tigersoft.com/DG/TigerSoft-Blog.htm

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

Sunday, April 13, 2008

Dow 30 + DIA Buy/Sell Monday 4-14-08

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

DIA Probability to be "Up" Monday: 97%
DJIA Probability to be "Up" Monday: 68%
(DIA & DJIA are weighted differently)

DIA Probability Percent of "Up" at the Close
This Week's Five Day Forecast (4-14 through 4-18)
Information provided by:http://www.tigersoft.com/DG/welcome.htm

Mondays: Past 49 Falling 51.0% / 52.0% / 52.0% / 51.0%

Tuesdays: Past 51 Rising 56.8% / 56.0% /55.7% / 54.9%
(Higher Close from Opening is greatest for Tuesday)

Wednesdays: Past 52 Falling 59.6% / 60.7% / 62.2% / 63.4%
(Lower Open is greatest for Wednesday)

Thursdays: Past 52 Rising 51.9% / 50.9% / 54.7% / 53.8%

Fridays: Past 52 Falling 53.8% / 54.9% / 58.4% / 58.4%
(Higher Open, Lower Close from Opening is greatest for Friday)

All days: Past 256 Days Falling 54.7% / 55.0% / 56.7% / 56.4%

Dow 30 + DIA Buy/Sell Signals & Trends
Sym/Sig/Demand/Range/IRS*/Trend
AA BUY- 86- 1.48 53D -0.01+
AIG S/SELL 0- 1.21 37D -0.04+
AXP S/SELL 0/ 1.16 31D -0.02/
BA S/BUY 49- 1.43 53D 0.30+
BAC S/SELL 18- 1.02 23D -0.12+
C SELL 0- 0.87 46D 0.05+
CAT BUY 63- 1.54 55D 0.07+
CVX BUY 92- 1.26 86D 0.17+
DD BUY 83- 1.07 89D 0.30+
DIA BUY 94- 1.28 66D 0.21+
DIS S/SELL- 50- 0.51 35D -0.10+
GE SELL- 23- 0.63 26D -0.09+
GM S/SELL 15- 1.02 37D -0.10+
HD SELL- 43- 0.66 49D 0.12+
HPQ S/SELL 30- 1.09 33D -0.15+
IBM BUY 95- 1.70 77D 0.09+
INTC BUY 40- 0.48 52D 0.02+
JNJ BUY 60- 0.84 72D 0.29+
JPM SELL- 5- 1.39 41D 0.12+
KO BUY 60- 0.58 71D 0.13+
MCD BUY 90- 0.78 64D 0.18+
MMM SELL- 54- 1.29 48D 0.05+
MRK S/SELL- 54- 1.41 41D -0.04+
MSFT S/SELL 5- 0.51 36D -0.04+
PFE S/SELL 20- 0.33 24D 0.00+
PG BUY 61- 0.83 63D 0.36+
T BUY 90- 0.77 59D 0.19/
UTX SELL- 53- 1.19 50D 0.09+
VZ SELL 72- 0.74 40D 0.08+
WMT BUY 88+ 0.83 92U 0.31+
XOM BUY 72- 1.32 73D 0.12+
*Internal Relative Strength

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Saturday, April 12, 2008

MktMetrics Weekly Stocks In Review

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This Week's BEST & WORST Opportunities

Top Selected BEST Positive Stocks (Buy-Long Ideas)
Steady Accumulation confirmed by an Up Trend
Statistics for 4-14-08 Monday's NYSE Open
Symbol OFV (Proposed Range) Price Internal Strength +/-
ACL OFV: 154.81 (5.19) +99+ Vol: .473
ACV OFV: 26.91 (0.60) +54+ Vol: .862
ANW OFV: 36.20 (1.44) +73+ Vol: .425
ATLS OFV: 66.15 (1.19) +93+ Vol: .210
ATVI OFV: 27.08 (0.35) +78+ Vol: 4.213
AU OFV: 36.90 (0.70) +74+ Vol: 2.312
CCU OFV: 29.11 (0.75) -44+ Vol: 13.929
CF OFV: 136.69 (8.58) +96+ Vol: 3.163
DPTR OFV: 25.98 (0.90) +96+ Vol: 1.196
DRQ OFV: 51.98 (1.86) +85+ Vol: .707
FE OFV: 74.27 (1.22) +88+ Vol: 3.161
FMC OFV: 59.66 (1.40) +90- Vol: .829
IAU OFV: 91.27 (0.93) +52/ Vol: .427
KOP OFV: 45.70 (1.92) +80- Vol: .265
MTL OFV: 146.57 (7.87) +95+ Vol: 1.168
NCR OFV: 23.28 (0.51) +86- Vol: 1.891
POT OFV: 177.70 (6.53) +98+ Vol: 8.186
SCHN OFV: 80.37 (4.36) +94- Vol: .673
SKF OFV: 111.59 (3.79) +54+ Vol: 9.011
SPN OFV: 42.05 (0.98) +90+ Vol: 1.311
TKR OFV: 31.20 (0.62) +88- Vol: .643
TZIX OFV: 20.38 (0.47) +93+ Vol: .881
UNP OFV: 129.69 (2.83) +73- Vol: 3.127
USO OFV: 88.00 (1.25) +89/ Vol: 5.131
WSO OFV: 42.31 (1.19) +81+ Vol: .499
WYE OFV: 45.07 (1.19 +77- Vol: 10.409
*OFV: Opening Fair Value

Top Selected Negative Stocks (Short-Sale Ideas)
Steady Distribution confirmed by a Down Trend
Statistics for 4-14-08 Monday's NYSE Open
Symbol OFV (Proposed Range) Price Internal Strength +/-
AEO OFV: 16.61 (0.86) -7- Vol: 5.017
AGN OFV: 56.64 (1.40) -29- Vol: 2.736
AIG OFV: 44.58 (1.21) -37- Vol: 23.875
AMD OFV: 6.12 (0.20) -23- Vol: 26.451
AMLN OFV: 30.03 (1.71) -40- Vol: 2.511
ANF OFV: 71.56 (1.82) -11- Vol: 2.445
ASFI OFV: 12.75 (0.79) -2- Vol: .179
ATAC OFV: 22.20 (0.91) -46- Vol: .291
AXP OFV: 43.87 (1.16) -31- Vol: 12.233
BC OFV: 16.05 (0.65) -23- Vol: 1.794
BEBE OFV: 10.12 (0.40) -17- Vol: .956
BMY OFV: 21.84 (0.45) -40- Vol: 15.911
BRKS OFV: 10.23 (0.30) -43- Vol: .929
BRO OFV: 16.89 (0.40) -8- Vol: .761
C OFV: 23.69 (0.87) -46- Vol: 115.524
CATY OFV: 17.44 (1.21) -2- Vol: .753
CC OFV: 4.04 (0.38) -25- Vol: 8.852
CNB OFV: 9.45 (0.53) -3- Vol: 4.169
CROX OFV: 17.95 (1.48) -27- Vol: 6.686
CRYP OFV: 15.92 (0.34) -29- Vol: .058
CSGS OFV: 11.12 (0.30) -30- Vol: .485
CSK OFV: 5.69 (0.67) -8- Vol: .137
CYMI OFV: 25.91 (0.90) -23- Vol: .911
CYN OFV: 47.84 (1.36) -4- Vol: .772
DELL OFV: 18.59 (0.49) -4- Vol: 31.051
EEFT OFV: 17.47 (0.76) -1- Vol: .671
ELX OFV: 13.55 (0.96) -9- Vol: 1.196
ESIO OFV: 16.73 (0.76) -34- Vol: .183
ESLR OFV: 10.59 (1.08) +52- Vol: 5.587
EWH OFV: 18.25 (0.31) -38- Vol: 8.664
EXAR OFV: 8.26 (0.19) -35- Vol: .534
FITB OFV: 21.06 (0.87) -12- Vol: 6.819
FNM OFV: 26.54 (1.99) -38- Vol: 24.651
FRE OFV: 23.75 (2.02) -22- Vol: 19.731
GBL OFV: 46.32 (1.11) -6- Vol: .094
HANS OFV: 35.68 (1.10) -15- Vol: 2.179
HBAN OFV: 10.18 (0.40) -13- Vol: 7.612
HTCH OFV: 15.69 (0.32) -19- Vol: .664
IAI OFV: 38.46 (0.93) -42- Vol: 2.623
ININ OFV: 11.52 (0.42) -6- Vol: .301
IYG OFV: 88.09 (1.98) -38- Vol: .344
KND OFV: 22.54 (0.80) -45- Vol: .471
LCAV OFV: 12.54 (0.37) -13- Vol: .568
LIFC OFV: 50.42 (0.33) +79- Vol: 1.081
LNCR OFV: 26.73 (0.59) -3- Vol: 1.063
MIDD OFV: 63.93 (1.96) +51- Vol: .292
MOT OFV: 9.09 (0.27) -8- Vol: 33.195
MS OFV: 44.24 (1.70) -39- Vol: 19.039
NVDA OFV: 19.02 (0.71) -28- Vol: 18.994
NYX OFV: 65.47 (1.68) -42- Vol: 4.342
PCAR OFV: 45.05 (1.51) -36- Vol: 3.678
REXI OFV: 9.40 (0.52) -7- Vol: .101
RNOW OFV: 10.89 (0.21) -25- Vol: .304
RSCR OFV: 16.39 (0.67) -2- Vol: .175
SBUX OFV: 17.34 (0.50) -18- Vol: 14.676
SCHW OFV: 18.63 (0.60) -18- Vol: 15.204
SCS OFV: 10.80 (0.39) -7- Vol: .894
SJM OFV: 48.79 (0.59) -28- Vol: .298
SOLF OFV: 14.56 (1.75) -46- Vol: 4.868
SSW OFV: 26.88 (0.57) -22- Vol: .352
TIN OFV: 12.87 (0.95) -21- Vol: 2.325
TSM OFV: 10.34 (0.23) -39- Vol: 17.537
TSO OFV: 27.39 (1.52) -7- Vol: 5.277
USNA OFV: 21.28 (0.59) -13- Vol: .478
USU OFV: 5.15 (0.65) -40+ Vol: 4.733
WFMI OFV: 32.50 (0.81) -30- Vol: 3.545
WM OFV: 11.06 (1.92) -27- Vol: 53.781
WSFS OFV: 46.90 (1.54) -22- Vol: .053
ZRAN OFV: 12.97 (0.38) -30- Vol: 1.584
*OFV: Opening Fair Value

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MktMetrics Weekly Stock Market Analysis

Stock Market Analysis for Week Ending April 11, 2008 (Historic: Highs /Lows)

Stock Market Outlook: Bearish Falling 41.4% vs Last week: 53.9% (Historic: High 100.0% / Low 7.1%)

DJIA Outlook: Bullish Rising 65% vs Last week: 61% (Historic: High 89% / Low 12%)

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 Closed: 12,325.42 vs Last week: 12,609.42 -284.00 / Prior week: +393.02
DJIA 21-day Moving Average: 12,396.71 vs Last week: 12,269.27 +127.44 / Prior week: +56.45
DJIA 50-Day Net Change: Falling -117 vs Last week 339 (High 1450 5-23-07 / Low -1812 3-10-08)
DJIA Trend: Falling 74% vs Last week: 90% (High 97% 9-19-07&10-1-07 / Low: 0% 6-13-06)
DJIA Momentum: Falling 39% vs Last week: 45% (High 97% / Low 10%)
DJIA Volatility: Rising 1.35% vs Last week: 0.56% (High 6.98% / Low -1.14%)
DJIA Resistance: Rising Near Term 12,614 vs Last week 12,484 +130 / Prior week: +47
DJIA Breakout: Rising Intermediate Term 12,831 vs Last week 12,699
DJIA Support: Rising Near Term 12,175 vs Last week: 12,046 +129 / Prior week: +47
DJIA Breakdown: Rising Intermediate Term 11,963 vs Last week: 11,840
DJIA Directional Indicator: Falling 10.25 vs Last week: 16.88 (High +49.4 / Low -63.91)
DJIA Price Advance/Decline Line: Rising 64 vs Last week: -18 (High +647 / Low -660)
DJIA Volume Advance/Decline Line: Rising -104 vs Last week: -155 (High +349 / Low -484)
DJIA Price vs 21-Day Moving Average: Falling -.58% vs Last week: 2.77% (High 4.36% / Low -6.99%)
DJIA Moving Average Convergence/Divergence(MACD): New Sell / Last week: Buy
DJIA Overbought/Oversold (CCI): Falling -56 vs Last week: 90 (High +255 / Low -285)
DJIA Stochastic 20-Day Indicator: Falling 73 vs Last week: 85 (High 100 / Low 00)
DJIA Stochastic 5-Day Indicator: Falling 26 vs Last week: 75 (High 100 / Low 00)
DJIA 14-Day Relative Strength Indicator: Falling 41 vs Last week: 66 (High 97 / Low 12)
DJIA Volume vs 50-Day Moving Average: Rising .8 vs Last week: .7 (High 3.3 / Low 0.3)

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Rising .05% vs Last week: .03% (High .29% (4-19-07) / Low -.24% (6-6-06)

Institutional Money Flow Index: Falling 48% vs Last week: 68% (High 97% / Low 6%)

Institutional Demand Factor: Falling 50.48% vs Last week: 62.42% (High 86.8% / Low 13.13%)

Institutional Inventory Index: Falling 52.32% vs Last week: 64.26% (High 81.1% / 19.77%)

Institutional Accumulation/Distribution: Unch .08 vs Last week: .08 (High .35 / -.41)

Institutional Sentiment Index: Rising 120 vs Last week: 115 (High 179 (5-30-07) / (Low 68 (6-13-06)

Speculation Indicator Index: Falling -.350 vs Last week: .074 (High .749 (7-19-07) / (Low -1.174 (1-4-08)

One Year High Yield National CD Rate: Rising 3.97% vs Last week: 3.92% (5.27% / Low 3.86%)****************************************************************************************************************
108 Exchange Traded Funds
Trends & Sector Analysis


Symbol: Trend +/- (Historic: High / Low) / Rating / Demand Factor
Diamonds-Dow 30
DIA: +.21 vs Last week: +.23 (High .95 / Low -.80) Rating: BUY Demand Factor: 94-
S&P 500 Large-Cap
SPY: +.12 vs Last week: +.15 (High .77 / Low -.89) Rating: BUY Demand Factor: 70-
S&P 400 Mid-Cap
MDY: +.28 vs Last week: +.20 (High .89 / Low -1.16) Rating: BUY Demand Factor: 60-
Russell 2000 Small-Cap
IWM: +.17 vs Last week: +.18 (High .71 / Low -.67) Rating: BUY Demand Factor: 86-
Nasdaq 100 Large Growth
QQQQ: +.08 vs Last week: +.15 (High .54 / Low -.41) Rating: BUY Demand Factor: 67-
1. Biotech
BBH: +.06 vs Last week: +.28 (High 1.58 / Low -1.02) Rating: BUY Demand Factor: 82-
2. Broadband
BDH: -.08 vs Last week: +.18 (High .57 / Low -.54) Rating: SELL- Demand Factor: 32-
3. Central Fund of Canada (Physical Precious Metals)
CEF: -.03 vs Last week: -.01 (High .41 / Low -.29) Rating: SELL Demand Factor: 73-
4. CHICAGO MERCANTILE EXCHANGE
CME: -.38 vs Last week: -.27 (High 4.84 / Low -6.35) Rating: SELL Demand Factor: 32-
5. Deutsche Bank Commodity Index Tracking
DBC: +.09 vs Last week: +.35 (High .68 / Low -.65) Rating: BUY Demand Factor: 95-
6. ULTRA DOW 30 POWER SHARES
DDM: +.14 vs Last week: +.13 (High 1.00 / Low -1.13) Rating: BUY Demand Factor: 68-
7. UltraShort Oil & Gas ProShares (2:1 Leveraged ETF)
DUG: -.26 vs Last week: -.15 (High 1.07/ Low -1.02) Rating: SELL Demand Factor: 16+
8. Dow Jones Select Dividend Index
DVY: -.09 vs Last week: +.01 (High .58 / Low -.74) Rating: SELL- Demand Factor: 68-
9. ULTRA SHORT DOW 30 POWER SHARES
DXD: -.29 vs Last week: -.27 (High .68 / Low -.70) Rating: SELL Demand Factor: 7+
10. CLAYMORE/BNY BRIC ETF (Brazil Russia India China)
EEB: +.23 vs Last week: +.11 (High .86 / Low -.50) Rating: BUY Demand Factor: 95-
11. Emerging Markets
EEM: +.26 vs Last week: +.12 (High 1.29 / Low -1.19) Rating: BUY Demand Factor: 93-
12. EAFE Global Equities (Europe, Australasia and Far East)
EFA: +.14 vs Last week: +.22 (High .62 / Low -.65) Rating: BUY Demand Factor: 88-
13. Pacific ex-Japan
EPP: +.25 vs Last week: +.29 (High 1.36 / Low -1.18) Rating: BUY Demand Factor: 86-
14. Australia
EWA: +.02 vs Last week: -.00 (High .81 / Low -.45) Rating: BUY+ Demand Factor: 87-
15. Canada
EWC: +.03 vs Last week: +.01 (High .52 / Low -.37) Rating: BUY Demand Factor: 82-
16. Sweden
EWD: -.00 vs Last week: +.05 (High .79 / Low -.44) Rating: BUY Demand Factor: 75+
17. Germany
EWG: +.35 vs Last week: +.29 (High .61 / Low -.41) Rating: BUY Demand Factor: 97-
18. Hong Kong
EWH: -.19 vs Last week: -.12 (High .48 / Low -.44) Rating: SELL Demand Factor: 0-
19. Italy
EWI: -.00 vs Last week: -.14 (High .51 / Low -.63) Rating: BUY Demand Factor: 30+
20. Japan
EWJ: -.09 vs Last week: -.06 (High .63 / Low -.43) Rating: SELL Demand Factor: 42-
21. Belgium
EWK: +.13 vs Last week: +.16 (High .60 / Low -.40) Rating: BUY Demand Factor: 42-
22. Switzerland
EWL: -.18 vs Last week: +.12 (High .64 / Low -.49) Rating: SELL- Demand Factor: 25-
23. Malaysia
EWM: +.04 vs Last week: +.07 (High .39 / Low -.21) Rating: BUY Demand Factor: 91/
24. Netherlands
EWN: +.36 vs Last week: +.36 (High .61 / Low -.30) Rating: BUY Demand Factor: 93-
25. Austria
EWO: +.32 vs Last week: +.29 (High .49 / Low -.30) Rating: BUY Demand Factor: 82-
26. Spain
EWP: +.27 vs Last week: +.31 (High .75 / Low -.63) Rating: BUY Demand Factor: 84-
27. France
EWQ: +.05 vs Last week: -.03 (High .56 / Low -.44) Rating: BUY+ Demand Factor: 85-
28. Singapore
EWS: +.15 vs Last week: +.09 (High .45 / Low -.50) Rating: BUY Demand Factor: 40+
29. Taiwan
EWT: +.03 vs Last week: +.02 (High .40 / Low -.23) Rating: BUY Demand Factor: 71-
30. United Kingdom
EWU: +.15 vs Last week: +.23 (High .69 / Low -.28) Rating: BUY Demand Factor: 91-
31. Mexico
EWW: +.36 vs Last week: +.26 (High .72 / Low -.59) Rating: BUY Demand Factor: 97+
32. South Korea
EWY: +.37 vs Last week: +.27 (High .68 / Low -.53) Rating: BUY Demand Factor: 97-
33. Brazil
EWZ: +.15 vs Last week: -.12 (High 1.00 / Low -.81) Rating: BUY+ Demand Factor: 94-
34. FTSE/Xinhua China 25 Index
FXI: +.09 vs Last week: +.12 (High 2.91 / Low -2.03) Rating: BUY Demand Factor: 60-
31. PROSHARES US FTSE/XI
FXP: -.52 vs Last week: -.69 (High 1.30 / Low -1.16) Rating: SELL Demand Factor: 28+
35. Street TRACKS Gold Trust
GLD: -.41 vs Last week: -.51 (High .77 / Low -.61) Rating: SELL Demand Factor: 45+
36. Internet
HHH: +.28 vs Last week: +.52 (High .63 / Low -.75) Rating: BUY Demand Factor: 54-
37. Internet Architecture
IAH: +.17 vs Last week: +.29 (High .65 / Low -.86) Rating: SELL- Demand Factor: 9-
38. U.S. Broker-Dealers
IAI: -.23 vs Last week: -.11 (High .55 / Low -.69) Rating: SELL- Demand Factor: 0-
39. Comex Gold
IAU: -.23 vs Last week: -.30 (High .81 / Low -.65) Rating: SELL Demand Factor: 100+
40. Biotechnology
IBB: +.30 vs Last week: +.14 (High .70 / Low -.62) Rating: BUY Demand Factor: 71-
41. InterContinental Exchange, Inc.
ICE: +.88 vs Last week: +.61 (High 1.81/Low -2.72) Rating: BUY Demand Factor: 50-
42. Cohen & Steers Realty Majors
ICF: +.17 vs Last week: +.43 (High .98 / Low -1.02) Rating: BUY Demand Factor: 47-
43. Utilities
IDU: +.05 vs Last week: -.06 (High .78 / Low -.76) Rating: BUY Demand Factor: 33+
44. S&P Europe 350 Index
IEV: +.23 vs Last week: +.31 (High .84 / Low -.88) Rating: BUY Demand Factor: 98-
45. Natural Resources
IGE: +.34 vs Last week: -.03 (High 1.25 / Low -.75) Rating: BUY+ Demand Factor: 96-
46. Networking
IGN: +.06 vs Last week: +.23 (High .48 / Low -.50) Rating: BUY Demand Factor: 34-
47. Software
IGV: +.37 vs Last week: +.17 (High .66 / Low -.60) Rating: BUY Demand Factor: 96+
48. Semiconductor
IGW: +.33 vs Last week: +.37 (High .62 / Low -.75) Rating: BUY Demand Factor: 96-
49. MS India Investment Fund
IIF: +.01 vs Last week: +.04 (High .88 / Low -.81) Rating: SELL- Demand Factor: 74-
50. Internet Infrastructure
IIH: +.41 vs Last week: +.31 (High .64 / Low -.52) Rating: BUY Demand Factor: 42+
51. Mid-Cap 400 Blend
IJH: +.33 vs Last week: +.20 (High .78 / Low -.68) Rating: BUY Demand Factor: 95-
52. Mid-Cap 400 Growth
IJK: +.38 vs Last week: +.20 (High .66 / Low -.86) Rating: BUY Demand Factor: 91-
53. Small-Cap 600
IJR: +.19 vs Last week: +.14 (High .83 / Low -.54) Rating: BUY Demand Factor: 65-
54. S&P Latin America 40 Index
ILF: +.64 vs Last week: +.37 (High 2.68 / Low -2.31) Rating: BUY Demand Factor: 97-
55. S&P 1500 Index
ISI: -.09 vs Last week: -.09 (High .81 / Low -.95) Rating: SELL Demand Factor: 17-
56. U.S. Aerospace & Defense
ITA: +.35 vs Last week: +.14 (High .46 / Low -.69) Rating: BUY Demand Factor: 42-
57. S&P Latin America 40 Index
ITF: +.11 vs Last week: +.15 (High .92 / Low -.90) Rating: SELL- Demand Factor: 39-
58. Global Financial
IXG: +.23 vs Last week: +.50 (High .79 / Low -.94) Rating: BUY Demand Factor: 70-
59. Consumer Cyclical
IYC: +.22 vs Last week: +.14 (High .78 / Low -.70) Rating: BUY Demand Factor: 94-
60. Energy
IYE: +.27 vs Last week: +.07 (High .97 / Low -.85) Rating: BUY Demand Factor: 84-
61. Financial Services
IYG: -.19 vs Last week: +.09 (High .79 / Low -1.18) Rating: SELL- Demand Factor: 0-
62. Healthcare
IYH: +.26 vs Last week: +.05 (High .54 / Low -.63) Rating: BUY Demand Factor: 94-
63. Industrial
IYJ: +.12 vs Last week: +.21 (High .52 / Low -.80) Rating: BUY Demand Factor: 40-
64. Consumer Non-Cyclical
IYK: +.22 vs Last week: +.06 (High .58 / Low -.72) Rating: BUY Demand Factor: 75+
65. Basic Materials
IYM: +.37 vs Last week: +.17 (High .69 / Low -.61) Rating: BUY Demand Factor: 89-
66. Real Estate
IYR: +.20 vs Last week: +.38 (High .64 / Low -.85) Rating: BUY Demand Factor: 71-
67. Transportation
IYT: +.39 vs Last week: +.35 (High .80 / Low -.95) Rating: BUY Demand Factor: 62-
68. U.S. Technology
IYW: +.09 vs Last week: +.17 (High .54 / Low -.59) Rating: BUY Demand Factor: 79-
69. U.S. Total Market Index
IYY: +.23 vs Last week: +.17 (High .84 / Low -.72) Rating: BUY Demand Factor: 76-
70. U.S. Telecommunications
IYZ: +.05 vs Last week: -.01 (High .43 / Low -.37 Rating: BUY+ Demand Factor: 87-
71. ULTRA SHORT MID-CAP 400 POWER SHARES
MZZ: -.37 vs Last week: -.27 (High .85 / Low -.82) Rating: SELL Demand Factor: 16+
72. NYSE Euronext Group, Inc.
NYX: +.19 vs Last week: +.14 (High 1.77 / Low -1.30 Rating: SELL- Demand Factor: 0-
73. NASDAQ Stock Market, Inc.
NDAQ: -.09 vs Last week: -.10 (High 1.07/ Low -1.02) Rating: SELL Demand Factor: 9-
74. Oil Services
OIH: +.77 vs Last week: +.46 (High 1.70/Low -1.58) Rating: BUY Demand Factor: 91-
75. PowerShares WilderHill Clean Energy
PBW: +.16 vs Last week: +.12 (High .72 / Low -.52) Rating: SELL- Demand Factor: 37-
76. Pharmaceuticals
PPH: +.16 vs Last week: +.06 (High .80 / Low -.61) Rating: BUY Demand Factor: 95-
77. PowerShares Dynamic OTC
PWO: +.46 vs Last week: +.36 (High .51 / Low -.54) Rating: BUY Demand Factor: 97-
78. ULTRA SHORT QQQ POWER SHARES
QID: -.33 vs Last week: -.42 (High .74 / Low -.73) Rating: SELL Demand Factor: 9+
79. ULTRA QQQ PROSHARES
QLD: +.24 vs Last week: +.36 (High 1.14 / Low -1.51) Rating: BUY Demand Factor: 52-
80. Regional Banks
RKH: -.16 vs Last week: +.15 (High .95 / Low -1.50) Rating: SELL- Demand Factor: 21-
81. MS Eastern Europe Fund
RNE: -.08 vs Last week: -.12 (High .55 / Low -.73) Rating: SELL Demand Factor: 2-
82. Retail
RTH: +.15 vs Last week: +.19 (High .60 / Low -.68) Rating: BUY Demand Factor: 61-
83. DJ Wilshire REIT
RWR: +.21 vs Last week: +.37 (High .78 / Low -.81) Rating: BUY Demand Factor: 78-
84. ULTRA SHORT S&P 500 Power Shares
SDS: -.21 vs Last week: -.21 (High .78 / Low: -.69) Rating: SELL Demand Factor: 20+
85. ULTRA SHORT Russell 2000 Value ProShares
SJH: -.47 vs Last week: -.69 (High .99 / Low -.78) Rating: SELL Demand Factor: 25+
86. Silver Trust
SLV: -1.15 vs Last week: -1.45 (High 2.31 / Low -1.53) Rating: SELL Demand Factor: 95+
87. Semiconductor
SMH: +.04 vs Last week: +.08 (High .48 / Low -.52) Rating: BUY Demand Factor: 22-
88. UltraShort Real Estate ProShares (2:1 Leveraged ETF)
SRS: -.93 vs Last week: -1.30 (High 2.19 / Low -1.62) Rating: SELL Demand Factor: 29+
89. Software
SWH: +.05 vs Last week: +.10 (High .61 / Low -.43) Rating: SELL- Demand Factor: 6-
90. Lehman 20+ Treasury Bond Fund
TLT: -.20 vs Last week: -.00 (High .53 / Low -.49) Rating: SELL Demand Factor: 9+
91. Telecommunications Holders Trust
TTH: +.17 vs Last week: +.06 (High .54 / Low -.40) Rating: BUY Demand Factor: 84+
92. Utilities
UTH: +.23 vs Last week: +.15 (High .95 / Low -1.13) Rating: BUY Demand Factor: 87/
93. Wireless
WMH: +.19 vs Last week: +.28 (High .87 / Low -.82) Rating: BUY Demand Factor: 69+
94. Homebuilders Select Sector
XHB: +.05 vs Last week: +.12 (High .69 / Low -.56) Rating: SELL- Demand Factor: 5-
95. Materials Select Sector
XLB: +.18 vs Last week: +.15 (High .40 / Low -.41) Rating: BUY Demand Factor: 94-
96. Energy Select Sector
XLE: +.16 vs Last week: -.00 (High .76 / Low -.60) Rating: BUY+ Demand Factor: 91+
97. Financial Select Sector
XLF: -.05 vs Last week: +.01 (High .46 / Low -.43) Rating: SELL- Demand Factor: 35-
98. Industrial Select Sector
XLI: +.25 vs Last week: +.29 (High .46 / Low -.49) Rating: BUY Demand Factor: 90-
99. Technology Select Sector
XLK: -.07 vs Last week: -.03 (High .51 / Low -.32) Rating: SELL- Demand Factor: 40-
100. Consumer Staples Select Sector
XLP: +.09 vs Last week: +.06 (High .59 / Low -.43) Rating: BUY Demand Factor: 48/
101. Healthcare Select Sector
XLV: +.10 vs Last week: +.02 (High .57 / Low -.33) Rating: BUY Demand Factor: 93-
102. Industrial Select Sector
XLY: +.03 vs Last week: +.04 (High .44 / Low -.57) Rating: BUY Demand Factor: 81-
103. Mining & Metals Select Sector
XME: +.30 vs Last week: -.03 (High .98 / Low -.78) Rating: BUY+ Demand Factor: 86+

108 Total Exchange Traded Funds Tracked: (Historic: High= 90% / Low= 13%)
Buy 74/Sell 34(68%) vs. Last week: Buy 82/Sell 26(80%) vs. Prior week: Buy 23/Sell 85(21%)

DJIA 6 weeks: -284.00(4-11) +393.02(4-4) -144.92(3-28) +410.23(3-20) +51.40 (3-14) -366.70(3-7)

Information provided by: http://www.mktmetrics.com/
A Strategic Collaboration with Tiger Investment Software
http://www.tigersoft.com/DG/welcome.htm

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:
TraderDaily.com, Institutional Investor Magazine and TigerSoft.com

News:
In production, a Power Point Slide presentation on how MktMetrics works.

www.galefinancialmarketeconometrics.blogspot.com/
Next Day's Advance Market Decisions blog (First current information available)
The three daily blogs provide:
11:00pmET Trading Ideas for next day's trading
7:45amET Stock Market Forecast and Institutional Investor Statistics
8:15amET Diamonds (DIA) Forecast for the day illustrating a portion of our program

Subscribe today to MktMetrics.com to see what the Exchange Insiders (Specialists & Market Makers) are currently doing with their inventory for any stock or ETF that you trade.

Total number of Blogs archived: 1,635 since April 2005

Friday, April 11, 2008

Dow 30 ETF (DIA) Thursday April 10 Forecast

Information provided by: http://www.mktmetrics.com/
(Below is a sample of our program using DIA ETF current information)

Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 04/11/08
Last Updated: 04/10/08
04/10/08 Final Numbers
(Open) 125.51
(High) 126.47
(Low) 124.99
(Close) 125.95
(Range) 1.48

DIA Friday Forecast
Opening Fair Value: 125.73
Today's Predicted High: 126.70
Today's Predicted Low: 125.20
Today's Proposed Range: 1.50
Buy/Sell Rating: Buy

Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 76 Up from 74
Volume Internal Strength: Negative 0.90/0.80 Up
Current Trend: Positive 31 Down from 53
Demand Factor: 100 Unch
Stock Volatility: 1.44 Down from 1.60

Predict DIA Upside and Downside Potential
04/10/08 12:45 Close: 126.03
Upside Potential: 127.50
Downside Potential: 124.50

Information for Extreme Trading Days
Predicted Block Trading Resistance Levels (100,000+ shares)
1. 127.49
2. 128.02
3. 128.47
4. 129.00

Predicted Block Trading Support Levels (100,000+ shares)
1. 123.94
2. 123.43
3. 123.00
4. 122.49

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 126.06
21 DAY MOVING AVERAGE = 123.92
30 DAY MOVING AVERAGE = 123.29
42 DAY MOVING AVERAGE = 123.61
50 DAY MOVING AVERAGE = 123.69
65 DAY MOVING AVERAGE = 123.79
30 WEEK MOVING AVERAGE = 130.15
200 DAY MOVING AVERAGE = 131.20

Dow Jones Industrial Average and Diamonds (DIA)
DJIA Probability of Being Up Friday: 49%
DIA Probability of Being Up Friday: 39%
(DJIA & DIA are weighted differently)

Dow Outlook: Bullish 68%, Rising
Stock Market Outlook: Neutral 50.4, yet Rising

Subscribe today 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 at time of writing by author?
Short AXP
Short CEG
Short DIA
Short GAS

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

Stock Market Forecast Friday April 11 2008

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 4-10-08 DJIA closed: 12,581.98 +54.72 vs. Prior day: 12,527.26 -49.18
DJIA 21-Day Moving Average: 12,386.46 +20.25 vs. Prior day: 12,366.21 +37.48
(DJIA closed 1.58% above its rising 21-day moving average vs. 1.30% prior day)

Before the New York Stock Exchange Open
Friday April 11 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Friday: 49%
DIA probability of closing "Up" Friday: 39%
DIA Past 4 Fridays: Past 51 Falling 54.9% / 58.4% / 58.4% / 59.6%
(Higher Open, Lower Close 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 25 vs. Down 6 (-2 vs -1 prior day)
DJIA Trend: Falling Today 81% vs Yesterday 87% (High 97% / Low 0%)
Change in Trend: To "Down" from "Up" as of day 4-9-08 (Distribute Stocks)
DJIA MACD: Falling Today, Buy as of Tuesday 3-18-08 (12,26 computation)
DJIA Momentum: Rising Today 45% vs Yesterday 42% (High 97% / Low 10%)
DJIA Volatility: Rising Today 1.12 vs Yesterday 1.09 (High 6.98 / Low -1.14)
DJIA 50-Day Net Change: Falling Today 101 vs Yesterday 143 (High 1450 / Low -1812)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -1812 3-10-08 (today 101 .07% of High)

DJIA Resistance Levels: Mean= 12,386 / Intermediate Term 12,603 / Breakout 12,820
DJIA Support Levels: Mean= 12,366 / Intermediate Term 12,159 / Breakdown 11,953

Market Comment:
The DJIA closed Thursday 1.58% above its rising 21-day moving average vs. 1.30% previously. The daily Dow Trend is declining, but the the daily Dow Outlook is positive as it moved up to 68 from 66. The DJIA 50-Day Net Change is slightly positive, yet declining. The Stock Market looks vulnerable at this time. Investors should refrain from buying until statistics improve.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Falling Today .05% vs Yesterday .09% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, positive yet decreasing.

Institutional Money Flow: Rising Today 68% vs Yesterday 64% (High 97% / Low 6%) Mean= 52% Closed above its Mean, Positive and increasing.

Institutional Demand: Rising Today 59.32% vs Yesterday 59.06% (High 86.84% / Low 13.13%) Mean= 50.0% Closed above its Mean, Positive and increasing.

Institutional Inventory: Rising Today 59.96% vs Yesterday 59.52% (High 81.06%/Low 19.77%) Mean= 50.4% Closed above its Mean, Positive and increasing.

Institutional Accumulation/Distribution Trend: Falling Today .13% vs Yesterday .24% (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 Rising Today 68% vs. Yesterday 66% (High 89% / Low 16%) Mean= 53.5% Closed above its Mean, Positive and increasing.

Stock Market Outlook: Bearish Rising Today 50.4% vs Yesterday 45.8% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

12 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Falling Trend Today 31% vs. Yesterday 53% (High 95% / Low -80%)
SPY: Falling Trend Today 18% vs. Yesterday 43% (High 77% / Low -89%)
MDY: Falling Trend Today 39% vs. Yesterday 52% (High 91% / Low -1.16%)
IWM: Falling Trend Today 21% vs. Yesterday 35% (High 71% / Low -67%)
QQQQ: Falling Trend Today 13% vs. Yesterday 22% (High 54% / Low -43%)
SMH: Falling Trend Today 10% vs. Yesterday 11% (High 48% / Low -53%)
IYT: Falling Trend Today 29% vs. Yesterday 42% (High 80% / Low -95%)
XLE: Falling Trend Today 10% vs. Yesterday 37% (High 69% / Low -60%)
XLF: Falling Trend Today -6% vs. Yesterday 7% (High 45% / Low -58%)
IAI: Falling Trend Today -24% vs. Yesterday 7% (High 55% / Low -65%)
IYR: Falling Trend Today 12% vs. Yesterday 38% (High 64% / Low -85%)
XHB: Falling Trend Today 3% vs. Yesterday 10% (High .69% / Low -.56%)
(MktMetrics.com tracks 108 Exchange Traded Funds for our subscribers)

Stock Market Plurality: (a short-term overbought/oversold indicator)
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Falling Trend Today 80 vs. Yesterday 30 (High 367 / Low 3)
Demand Factor "0": Rising Trend Today 32 vs. Yesterday 45 (High 360 / Low 6)

Information provided by http://www.mktmetrics.com/
A Strategic Collaboration with TigerSoft.com
http://www.tigersoft.com/DG/TigerSoft-Blog.htm

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

Thursday, April 10, 2008

Stock Trading Ideas Friday April 11 2008

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

Nightly Analysis UpdateDIA

DIA Probability of being "Up" Friday: 39%
DJIA Probability of being "Up" Friday: 49%
(DIA & DJIA are weighted differently)
DJIA Trend: Falling Today 81% vs. 87% prior day (distribute stocks)
DJIA Trend Change: To "Down" from "Up" Wednesday 4-9-08
DJIA Momentum: Rising Today 45% vs. 42% prior day
DJIA Outlook: Bullish Rising Today 68% vs. 66% prior day
Stock Market Outlook: Bearish, yet Rising 50.4% vs. 45.8% prior day

80 Selected Stocks expected to move "HIGHER" Friday
Buy-Long Day Trading Ideas suggested for April 11 2008
Symbol OFV (Proposed Range) (Price Internal Strength)

Too many to list. Subscribe and get the full details nightly.

*OFV: Opening Fair Value

32 Selected Stocks expected to move "LOWER" Thursday
Sell-Short Day Trading Ideas suggested for April 10 2008
Symbol OFV (Proposed Range) (Price Internal Strength)
ASFI
ATAC
AXP
BC
CERN
CNB
CROX
CSGS
CYN
DELL
DUG
EEFT
FITB
HBAN
ININ
KND
LIFC
MS
NDAQ
NYX
RSCR
SBUX
SCHW
SCS
SJM
TIN
USU
WGO
WM
WSFS
*OFV: Opening Fair Value

Good luck and good trading!

*FRIDAY'S RESULTS*
Next Day's Advance Market Decisions- Trading Ideas
$1,000,000.00 Portfolio Performance, Funded: 12-17-2007
Account Value $1,366,827.95 4-11-08 Change +$46,422.46
Account Value $1,320,405.49 4-10-08 Change -$3,430.16
Account Value $1,323,835.65 4-9-08 Change +$24,007.45
Account Value $1,299,828.20 4-8-08 Change +$6,265.00
Account Value $1,293,563.20 4-7-08 Change -$5,051.92
Account Value $1,300,985.12 4-4-08 Change +$14,657.93
Account Value $1,286,335.60 4-3-08 Change +$19,017.55
Account Value $1,267,318.05 4-2-08 Change +$4,101.18
Account Value $1,263,216.87 4-1-08 Change -$17,750.69
Account Value $1,280,967.56 3-31-08 Change +$208,083.04
Account Value $1,072,884.52 2-29-08 Change +$65,048.93
Account Value $1,007,835.59 1-31-08 Change +$17,581.30
Account Value $990,254.29 12-31-07 Change -$9,745.71

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

Full disclosure:
Long/Short individual stocks and ETFs owned at time of writing by its author?
Short AXP
Short DIA
Short CEG
Short GAS

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.

Stock Market Forecast Thursday April 10 2008

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.

Wednesday 4-9-08 DJIA closed: 12,527.26 -49.18 vs. Prior day: 12,576.44 -35.99
DJIA 21-Day Moving Average: 12,366.21 +37.48 vs. Prior day: 12,328.73 +32.22
(DJIA closed 1.30% above its rising 21-day moving average vs. 2.01% prior day)

Before the New York Stock Exchange Open
Thursday April 10 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Thursday: 46%
DIA probability of closing "Up" Thursday: 68%
DIA Past 4 Thursdays: Past 51 Falling 50.9% / 54.7% / 53.8% / 52.9%
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Falling Today Up 27 vs. Down 4 (-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 day 4-9-08 (Distribute Stocks)
DJIA MACD: Falling Today, Buy as of Tuesday 3-18-08 (12,26 computation)
DJIA Momentum: Falling Today 42% vs Yesterday 45% (High 97% / Low 10%)
DJIA Volatility: Rising Today 1.09 vs Yesterday 0.15 (High 6.98 / Low -1.14)
DJIA 50-Day Net Change: Falling Today 143 vs Yesterday 369 (High 1450 / Low -1812)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -1812 3-10-08 (today 143 .09% of High)

DJIA Resistance Levels: Mean= 12,366 / Intermediate Term 12,582 / Breakout 12,799
DJIA Support Levels: Mean= 12,329 / Intermediate Term 12,131 / Breakdown 11,933

Market Comment:
The DJIA closed Wednesday 1.30% above its rising 21-day moving average vs. 2.01% previously. The daily Dow Trend has now changed directions to down from up. The daily Dow Outlook is positive as it moved up one notch to 66 from 65. The DJIA 50-Day Net Change is positive, barely. The Dow Trend is in "nose bleed" territory and is now showing signs of weakness. Suggest Investors move to the sidelines as the worst may not be over.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Rising Today .09% vs Yesterday .07% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, Positive and increasing.

Institutional Money Flow: Falling Today 64% vs Yesterday 77% (High 97% / Low 6%) Mean= 52% Closed above its Mean, positive yet decreasing.

Institutional Demand: Falling Today 59.06% vs Yesterday 59.97% (High 86.84% / Low 13.13%) Mean= 50.0% Closed above its Mean, Positive yet decreasing.

Institutional Inventory: Falling Today 59.92% vs Yesterday 61.93% (High 81.06%/Low 19.77%) Mean= 50.4% Closed above its Mean, positive yet decreasing.

Institutional Accumulation/Distribution Trend: Rising Today .24% vs Yesterday .19% (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: Bullish Rising Today 66% vs. Yesterday 65% (High 89% / Low 16%) Mean= 53.5% Closed above its Mean, Positive and increasing.

Stock Market Outlook: Bearish Falling Today 45.8% vs Yesterday 50.0% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

12 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Rising Trend Today 53% vs. Yesterday 45% (High 95% / Low -80%)
SPY: Rising Trend Today 43% vs. Yesterday 37% (High 77% / Low -89%)
MDY: Rising Trend Today 52% vs. Yesterday 51% (High 91% / Low -1.16%)
IWM: Rising Trend Today 35% vs. Yesterday 34% (High 71% / Low -67%)
QQQQ: Rising Trend Today 22% vs. Yesterday 19% (High 54% / Low -43%)
SMH: Rising Trend Today 11% vs. Yesterday 4% (High 48% / Low -53%)
IYT: Falling Trend Today 42% vs. Yesterday 54% (High 80% / Low -95%)
XLE: Rising Trend Today 37% vs. Yesterday 24% (High 69% / Low -60%)
XLF: Rising Trend Today 7% vs. Yesterday 4% (High 45% / Low -58%)
IAI: Rising Trend Today 7% vs. Yesterday 1% (High 55% / Low -65%)
IYR: Falling Trend Today 38% vs. Yesterday 45% (High 64% / Low -85%)
XHB: Falling Trend Today 10% vs. Yesterday 14% (High .69% / Low -.56%)
(MktMetrics.com tracks 108 Exchange Traded Funds for our subscribers)

Stock Market Plurality: (a short-term overbought/oversold indicator)
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Falling Trend Today 30 vs. Yesterday 66 (High 367 / Low 3)
Demand Factor "0": Rising Trend Today 45 vs. Yesterday 24 (High 360 / Low 6)

Information provided by http://www.mktmetrics.com/
A Strategic Collaboration with TigerSoft.com
http://www.tigersoft.com/DG/TigerSoft-Blog.htm

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

Wednesday, April 09, 2008

Stock Trading Ideas Thursday April 10 2008

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

Nightly Analysis Update

DIA Probability of being "Up" Thursday: 68%
DJIA Probability of being "Up" Thursday: 46%
(DIA & DJIA are weighted differently)
DJIA Trend: Falling Today 87% vs. 90% prior day (distribute stocks)
DJIA Trend Change: To "Down" from "Up" Wednesday 4-9-08
DJIA Momentum: Falling Today 42% vs. 45% prior day
DJIA Outlook: Bullish Rising Today 66% vs. 65% prior day
Stock Market Outlook: Bearish Falling 45.8% vs. 50.0% prior day

Selected Stocks expected to move "HIGHER" Thursday
Buy-Long Day Trading Ideas suggested for April 10 2008
Symbol OFV (Proposed Range) (Price Internal Strength)
ACL
APA
ASML
ATK
CAG
CCU
CENX
DIA
DPTR
FCX
GRP
HAL
IAU
IEV
JOSB
MEE
MKC
MTL
NBR
NOV
NYT
PAAS
PCP
PLL
PRKR
RSTI
SKF
TKR
USO
VRTX
*OFV: Opening Fair Value

Selected Stocks expected to move "LOWER" Thursday
Sell-Short Day Trading Ideas suggested for April 10 2008
Symbol OFV (Proposed Range) (Price Internal Strength)
AEO
ASFI
ATAC
AXP
BMY
BRKS
C
CATY
CNB
CRYP
CSGS
DELL
EEFT
ELX
EWH
EXAR
EXM
FFIV
GRMN
HANS
HBAN
HOV
INFY
ININ
JNPR
MICC
MO
NCC
NDAQ
NVLS
NYX
PGR
RBC
RSCR
SCS
SHW
TIN
TNH
TRA
TSM
TSO
USU
VLO
WB
WGO
*OFV: Opening Fair Value

Good luck and good trading!

*WEDNESDAY'S RESULTS*
Next Day's Advance Market Decisions- Trading Ideas
$1,000,000.00 Portfolio Performance, Funded: 12-17-2007
Account Value $1,323,835.65 4-9-08 Change +$24,007.45
Account Value $1,299,828.20 4-8-08 Change +$6,265.00
Account Value $1,293,563.20 4-7-08 Change -$5,051.92
Account Value $1,300,985.12 4-4-08 Change +$14,657.93
Account Value $1,286,335.60 4-3-08 Change +$19,017.55
Account Value $1,267,318.05 4-2-08 Change +$4,101.18
Account Value $1,263,216.87 4-1-08 Change -$17,750.69
Account Value $1,280,967.56 3-31-08 Change +$208,083.04
Account Value $1,072,884.52 2-29-08 Change +$65,048.93
Account Value $1,007,835.59 1-31-08 Change +$17,581.30
Account Value $990,254.29 12-31-07 Change -$9,745.71

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

Full disclosure:
Long/Short individual stocks and ETFs owned at time of writing by its author?
Short AXP
Short DIA
Short CEG
Short GAS

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 April 9 Forecast

Information provided by: http://www.mktmetrics.com/
(Below is a sample of our program using DIA ETF current information)

Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 04/09/08
Last Updated: 04/08/08
04/08/08 Final Numbers
(Open) 125.47
(High) 126.03
(Low) 125.25
(Close) 125.90
(Range) 0.78

DIA Wednesday Forecast
Opening Fair Value: 125.65
Today's Predicted High: 126.81
Today's Predicted Low: 124.99
Today's Proposed Range: 1.82
Buy/Sell Rating: Buy

Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 75 Down from 76
Volume Internal Strength: Negative 0.80/0.82 Down
Current Trend: Positive 45 Up from 32
Demand Factor: 99 Up from 93
Stock Volatility: -1.30 Down from 0.73

Predict DIA Upside and Downside Potential
04/08/08 12:45 Close: 125.74
Upside Potential: 127.86
Downside Potential: 124.22

Information for Extreme Trading Days
Predicted Block Trading Resistance Levels (100,000+ shares)
1. 127.76
2. 127.98
3. 128.42
4. 128.55

Predicted Block Trading Support Levels (100,000+ shares)
1. 123.51
2. 123.38
3. 122.96
4. 122.75

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 125.16
21 DAY MOVING AVERAGE = 123.36
30 DAY MOVING AVERAGE = 123.35
42 DAY MOVING AVERAGE = 123.43
50 DAY MOVING AVERAGE = 123.61
65 DAY MOVING AVERAGE = 123.86
30 WEEK MOVING AVERAGE = 130.25
200 DAY MOVING AVERAGE = 131.28

Dow Jones Industrial Average and Diamonds (DIA)
DJIA Probability of Being Up Wednesday: 68%
DIA Probability of Being Up Wednesday: 65%
(DJIA & DIA are weighted differently)

Dow Outlook: Bullish 65%, Rising
Stock Market Outlook: Neutral 50.0, yet Falling

Subscribe today 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 at time of writing by author?
Short AXP
Short CEG
Short DIA
Short GAS

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

Stock Market Forecast Wednesday April 9 2008

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 4-8-08 DJIA closed: 12,576.44 -35.99 vs. Prior day: 12,612.43 +3.01
DJIA 21-Day Moving Average: 12,328.73 +32.22 vs. Prior day: 12,296.51 +27.24
(DJIA closed 2.01% above its rising 21-day moving average vs. 2.57% prior day)

Before the New York Stock Exchange Open
Wednesday April 9 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Wednesday: 68%
DIA probability of closing "Up" Wednesday: 65%
DIA Past 4 Wednesdays: Past 51 Falling 60.7% / 62.2% / 63.4% / 64.7%
(Lower Open is greatest for Wednesday)
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Unch#3 Today Up 28 vs. Down 3 (+0 vs +0 prior day)
DJIA Trend: Unch#3 Today 90% vs Yesterday 90% (High 97% / Low 0%)
Change in Trend: To "Up" from "Down" as of day 4-1-08 (Hold, stop buying)
DJIA MACD: Unch#3 Today, Buy as of Tuesday 3-18-08 (12,26 computation)
DJIA Momentum: Unch#3 Today 45% vs Yesterday 45% (High 97% / Low 10%)
DJIA Volatility: Falling Today 0.15 vs Yesterday 0.40 (High 6.98 / Low -1.14)
DJIA 50-Day Net Change: Falling Today 369 vs Yesterday 234 (High 1450 / Low -1812)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -1812 3-10-08 (today 369 25.4% of High)

DJIA Resistance Levels: Mean= 12,328 / Intermediate Term 12,544 / Breakout 12,760
DJIA Support Levels: Mean= 12,269 / Intermediate Term 12,083 / Breakdown 11,897

Market Comment:
The DJIA closed Tuesday 2.01% above its rising 21-day moving average vs. 2.57% previously. The daily Dow Trend was unchanged at a reading of 90 for the third day in a row. The daily Dow Outlook is positive as it rose to 65 from 63. The DJIA 50-Day Net Change is positive and rising. The Dow Trend is in "nose bleed" territory for the third day in a row, which means it is in a range area that the Stock Market can become explosive to the upside or explosive to the downside. Even though the stats are good, the downside is most likely from here.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Rising Today .07% vs Yesterday .04% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, Positive and increasing.

Institutional Money Flow: Unch Today 77% vs Yesterday 77% (High 97% / Low 6%) Mean= 52% Closed above its Mean, positive yet flat.

Institutional Demand: Rising Today 59.97% vs Yesterday 58.93% (High 86.84% / Low 13.13%) Mean= 50.0% Closed above its Mean, Positive and increasing.

Institutional Inventory: Falling Today 61.93% vs Yesterday 63.48% (High 81.06%/Low 19.77%) Mean= 50.4% Closed above its Mean, positive yet decreasing.

Institutional Accumulation/Distribution Trend: Rising Today .19% vs Yesterday .14% (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: Bullish Rising Today 65% vs. Yesterday 63% (High 89% / Low 16%) Mean= 53.5% Closed above its Mean, Positive and increasing.

Stock Market Outlook: Bullish, yet Falling Today 50.0% vs Yesterday 51.1% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

12 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Rising Trend Today 45% vs. Yesterday 32% (High 95% / Low -80%)
SPY: Rising Trend Today 37% vs. Yesterday 30% (High 77% / Low -89%)
MDY: Rising Trend Today 51% vs. Yesterday 39% (High 91% / Low -1.16%)
IWM: Rising Trend Today 34% vs. Yesterday 33% (High 71% / Low -67%)
QQQQ: Falling Trend Today 19% vs. Yesterday 21% (High 54% / Low -43%)
SMH: Falling Trend Today 4% vs. Yesterday 10% (High 48% / Low -53%)
IYT: Rising Trend Today 54% vs. Yesterday 50% (High 80% / Low -95%)
XLE: Rising Trend Today 24% vs. Yesterday 7% (High 69% / Low -60%)
XLF: Falling Trend Today 4% vs. Yesterday 6% (High 45% / Low -58%)
IAI: Rising Trend Today 1% vs. Yesterday -0% (High 55% / Low -65%)
IYR: Falling Trend Today 45% vs. Yesterday 57% (High 64% / Low -85%)
XHB: Falling Trend Today 14% vs. Yesterday 19% (High .69% / Low -.56%)
(MktMetrics.com tracks 108 Exchange Traded Funds for our subscribers)

Stock Market Plurality: (a short-term overbought/oversold indicator)
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Rising Trend Today 66 vs. Yesterday 35 (High 367 / Low 3)
Demand Factor "0": Falling Trend Today 24 vs. Yesterday 27 (High 360 / Low 6)

Information provided by http://www.mktmetrics.com/
A Strategic Collaboration with TigerSoft.com
http://www.tigersoft.com/DG/TigerSoft-Blog.htm

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

Tuesday, April 08, 2008

Stock Trading Ideas Wednesday April 9 2008

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

Nightly Analysis Update

DIA Probability of being "Up" Wednesday: 65%
DJIA Probability of being "Up" Wednesday: 68%
(DIA & DJIA are weighted differently)

DJIA Trend: Unch#3 Today 90% vs. 90% prior day (distribute stocks)
DJIA Trend Change: To "Up" from "Down" Tuesday 4-1-08
DJIA Momentum: Unch#3 Today 45% vs. 45% prior day
DJIA Outlook: Bullish Rising Today 65% vs. 63% prior day
Stock Market Outlook: Neutral, yet Falling 50.0% vs. 51.1% prior day

Selected Stocks expected to move "HIGHER" Wednesday
Buy-Long Day Trading Ideas suggested for April 9 2008
Symbol OFV (Proposed Range) (Price Internal Strength)
ACI
ALV
AOC
APH
ASML
AXA
BNI
CBST
CCU
CENX
CHD
CR
CRXL
CVC
DEO
EPD
EWG
EWU
EWW
EWY
F
FDX
FMC
GLW
GME
HW
HXM
IEV
IEX
IJH
IJK
IYH
JOSB
KBR
KOP
LUV
MDT
MKC
MON
MSM
MVL
OSG
PCP
PCU
PLCM
PLL
PRKR
PWO
RDK
RSG
RSTI
SCHN
SMTL
SNIC
SSS
T
TKR
TNB
TYC
UAUA
UNP
USO
VIA
X
XEC
YUM
*OFV: Opening Fair Value

Selected Stocks expected to move "LOWER" Wednesday
Sell-Short Day Trading Ideas suggested for April 9 2008
Symbol OFV (Proposed Range) (Price Internal Strength)
AEO
ASFI
ATHR
BMY
BRKS
CATY
CNB
CSGS
DELL
EXM
HANS
HBAN
ININ
MICC
NCC
NVDA
PGR
RBC
RSCR
SHW
TIN
TNH
TRA
VLO
*Opening Fair Value

Good luck and good trading!

*TUESDAY'S RESULTS*
Next Day's Advance Market Decisions- Trading Ideas
$1,000,000.00 Portfolio Performance, Funded: 12-17-2007

Account Value $1,299,828.20 4-8-08 Change +$6,265.00
Account Value $1,293,563.20 4-7-08 Change -$5,051.92
Account Value $1,300,985.12 4-4-08 Change +$14,657.93
Account Value $1,286,335.60 4-3-08 Change +$19,017.55
Account Value $1,267,318.05 4-2-08 Change +$4,101.18
Account Value $1,263,216.87 4-1-08 Change -$17,750.69
Account Value $1,280,967.56 3-31-08 Change +$208,083.04
Account Value $1,072,884.52 2-29-08 Change +$65,048.93
Account Value $1,007,835.59 1-31-08 Change +$17,581.30
Account Value $990,254.29 12-31-07 Change -$9,745.71

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

Full disclosure:
Long/Short individual stocks and ETFs owned at time of writing by its author?
Short AXP
Short DIA
Short CEG
Short GAS


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 April 8 Forecast

Information provided by: http://www.mktmetrics.com/
(Below is a sample of our program using DIA ETF current information)

Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 04/08/08
Last Updated: 04/07/08
04/07/08 Final Numbers
(Open) 126.76
(High) 127.22
(Low) 125.75
(Close) 126.05
(Range) 1.47

DIA Tuesday Forecast
Opening Fair Value: 126.47
Today's Predicted High: 126.97
Today's Predicted Low: 125.13
Today's Proposed Range: 1.84
Buy/Sell Rating: Buy

Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 76 Down from 78
Volume Internal Strength: Negative 0.80/0.78 Up
Current Trend: Positive 32 Up from 23
Demand Factor: 93 Down from 98
Stock Volatility: 0.73 Down from 0.81

Predict DIA Upside and Downside Potential
04/07/08 12:45 Close: 127.12
Upside Potential: 127.39
Downside Potential: 123.71

Information for Extreme Trading Days
Predicted Block Trading Resistance Levels (100,000+ shares)
1. 128.27
2. 128.57
3. 129.30
4. 129.76

Predicted Block Trading Support Levels (100,000+ shares)
1. 124.68
2. 124.22
3. 123.53
4. 123.24

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 124.81
21 DAY MOVING AVERAGE = 123.03
30 DAY MOVING AVERAGE = 123.34
42 DAY MOVING AVERAGE = 123.35
50 DAY MOVING AVERAGE = 123.54
65 DAY MOVING AVERAGE = 123.94
30 WEEK MOVING AVERAGE = 130.30
200 DAY MOVING AVERAGE = 131.33

Dow Jones Industrial Average and Diamonds (DIA)
DJIA Probability of Being Up Tuesday: 51%
DIA Probability of Being Up Tuesday: 55%
(DJIA & DIA are weighted differently)

Dow Outlook: Bullish 63%, Rising
Stock Market Outlook: Bullish 51.1, yet Falling

Subscribe today 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 at time of writing by author?
Short DIA
Short AXP
Short MICC

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

Stock Market Forecast Tuesday April 8 2008

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 4-7-08 DJIA closed: 12,612.43 +3.01 vs. Prior day: 12,609.42 -16.61
DJIA 21-Day Moving Average: 12,296.51 +27.24 vs. Prior day: 12,269.27 +16.88
(DJIA closed 2.57% above its rising 21-day moving average vs. 2.77% prior day)

Before the New York Stock Exchange Open
Tuesday April 8 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Tuesday: 51%
DIA probability of closing "Up" Tuesday: 55%
DIA Past 4 Tuesdays: Rising 56.0% /55.7% / 54.9% / 54.0%
(Higher Close from Opening is greatest for Tuesday)
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Unch Today Up 28 vs. Down 3 (+0 vs +1 prior day)
DJIA Trend: Unch Today 90% vs Yesterday 90% (High 97% / Low 0%)
Change in Trend: To "Up" from "Down" as of day 4-1-08 (Hold, stop buying)
DJIA MACD: Unch Today, Buy as of Tuesday 3-18-08 (12,26 computation)
DJIA Momentum: Unch Today 45% vs Yesterday 45% (High 97% / Low 10%)
DJIA Volatility: Falling Today 0.40 vs Yesterday 0.56 (High 6.98 / Low -1.14)
DJIA 50-Day Net Change: Falling Today 234 vs Yesterday 339 (High 1450 / Low -1812)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -1812 3-10-08 (today 234 16.1% of High)

DJIA Resistance Levels: Mean= 12,296 / Intermediate Term 12,511 / Breakout 12,726
DJIA Support Levels: Mean= 12,269 / Intermediate Term 12,068 / Breakdown 11,866

Market Comment:
The DJIA closed Monday 2.57% above its rising 21-day moving average vs. 2.77% previously. The daily Dow Trend was unchanged at a reading of 90. The daily Dow Outlook is positive as it rose to 63 from 61. The DJIA 50-Day Net Change is positive, yet falling again today. The Dow Trend is in "nose bleed" territory, which means it is in a range area that the Stock Market can become explosive to the upside or explosive to the downside. The downside is most likely.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Rising Today .04% vs Yesterday .02% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, Positive and increasing.

Institutional Money Flow: Rising Today 77% vs Yesterday 68% (High 97% / Low 6%) Mean= 52% Closed above its Mean, Positive and increasing.

Institutional Demand: Falling Today 58.93% vs Yesterday 62.42% (High 86.84% / Low 13.13%) Mean= 50.0% Closed above its Mean, positive yet decreasing.

Institutional Inventory: Falling Today 63.48% vs Yesterday 64.26% (High 81.06%/Low 19.77%) Mean= 50.4% Closed above its Mean, positive yet decreasing.

Institutional Accumulation/Distribution Trend: Rising Today .14% vs Yesterday .08% (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: Bullish Rising Today 63% vs. Yesterday 61% (High 89% / Low 16%) Mean= 53.5% Closed above its Mean, Positive and increasing.

Stock Market Outlook: Bullish, yet Falling Today 51.1% vs Yesterday 53.9% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

12 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Rising Trend Today 32% vs. Yesterday 23% (High 95% / Low -80%)
SPY: Rising Trend Today 30% vs. Yesterday 16% (High 77% / Low -89%)
MDY: Rising Trend Today 39% vs. Yesterday 20% (High 91% / Low -1.16%)
IWM: Rising Trend Today 33% vs. Yesterday 18% (High 71% / Low -67%)
QQQQ: Rising Trend Today 21% vs. Yesterday 15% (High 54% / Low -43%)
SMH: Rising Trend Today 10% vs. Yesterday 8% (High 48% / Low -53%)
IYT: Rising Trend Today 50% vs. Yesterday 35% (High 80% / Low -95%)
XLE: Rising Trend Today 7% vs. Yesterday 0% (High 69% / Low -60%)
XLF: Rising Trend Today 6% vs. Yesterday 1% (High 45% / Low -58%)
IAI: Rising Trend Today -0% vs. Yesterday -11% (High 55% / Low -65%)
IYR: Rising Trend Today 57% vs. Yesterday 38% (High 64% / Low -85%)
XHB: Rising Trend Today 19% vs. Yesterday 12% (High .69% / Low -.56%)
(MktMetrics.com tracks 108 Exchange Traded Funds for our subscribers)

Stock Market Plurality: (a short-term overbought/oversold indicator)
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Falling Trend Today 35 vs. Yesterday 108 (High 367 / Low 3)
Demand Factor "0": Rising Trend Today 27 vs. Yesterday 23 (High 360 / Low 6)

Information provided by http://www.mktmetrics.com/
A Strategic Collaboration with TigerSoft.com
http://www.tigersoft.com/DG/TigerSoft-Blog.htm

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

Monday, April 07, 2008

Stock Trading Ideas Tuesday April 8 2008

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


Nightly Analysis Update


DIA Probability of being "Up" Tuesday: 55%
DJIA Probability of being "Up" Tuesday: 51%
(DIA & DJIA are weighted differently)


DJIA Trend: Unch 90% vs. 90% prior day (distribute stocks)
DJIA Trend Change: To "Up" from "Down" Tuesday 4-1-08
DJIA Momentum: Unch 45% vs. 45% prior day
DJIA Outlook: Bullish Rising Today 63% vs. 61% prior day
Stock Market Outlook: Bullish, yet Falling 51.1% vs. 54.3% prior day


Selected Stocks expected to move "HIGHER" Tuesday
Buy-Long Day Trading Ideas suggested for April 8 2008
Symbol OFV (Proposed Range) (Price Internal Strength)
AOC
APH
ARE
AXA
CAG
CBST
CHA
CNH
CR
CVC
EWU
EWY
FAF
FMC
INFA
LLY
LOJN
LUV
MDT
MKC
MVL
PAAS
PLL
PPH
PRKR
PXD
RSG
RWT
SMTL
TKR
TUP
USO
VIA
WYE
YUM
*OFV: Opening Fair Value


Selected Stocks expected to move "LOWER" Tuesday
Sell-Short Day Trading Ideas suggested for April 8 2008
Symbol OFV (Proposed Range) (Price Internal Strength)
ATHR OFV: 23.83 (1.09) +57+
BJ OFV: 35.39 (1.17) +61-
BMY OFV: 22.18 (0.59) -48+
CATY OFV: 19.81 (0.84) -4-
CNB OFV: 10.07 (0.55) -6+
CSGS OFV: 11.52 (0.35) -38-
DELL OFV: 19.48 (0.51) -21-
ESLR OFV: 11.33 (0.37) +60-
EXAR OFV: 8.46 (0.19) -47-
FFIV OFV: 18.17 (0.97) -9-
HTCH OFV: 16.03 (0.53) -20-
IDXX OFV: 50.21 (1.72) -22-
IIJI OFV: 8.62 (0.21) +53-
JNPR OFV: 23.82 (1.14) -8-
LCAV OFV: 12.88 (0.67) -16+
LNCR OFV: 27.24 (0.67) -1-
MICC OFV: 95.77 (3.03) -11-
NCC OFV: 9.27 (0.87) -31+
NVDA OFV: 19.28 (0.84) -29-
QSII OFV: 29.86 (0.79) -23-
RSCR OFV: 17.39 (0.65) -2-
SY OFV: 26.18 (0.99) -30-
TNH OFV: 123.44 (7.32) -38+
TRA OFV: 40.04 (2.32) -35+
USU OFV: 5.24 (0.23) -42+
VLO OFV: 50.33 (2.03) -33-
WB OFV: 27.81 (1.57) -24-
*Opening Fair Value


Good luck and good trading!


*MONDAY'S RESULTS*
Next Day's Advance Market Decisions- Trading Ideas
$1,000,000.00 Portfolio Performance, Funded: 12-17-2007
Account Value $1,293,563.20 4-7-08 Change -$5,051.92
Account Value $1,300,985.12 4-4-08 Change +$14,657.93
Account Value $1,286,335.60 4-3-08 Change +$19,017.55
Account Value $1,267,318.05 4-2-08 Change +$4,101.18
Account Value $1,263,216.87 4-1-08 Change -$17,750.69
Account Value $1,280,967.56 3-31-08 Change +$208,083.04
Account Value $1,072,884.52 2-29-08 Change +$65,048.93
Account Value $1,007,835.59 1-31-08 Change +$17,581.30
Account Value $990,254.29 12-31-07 Change -$9,745.71


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


Full disclosure:
Long/Short individual stocks and ETFs owned at time of writing by its author?
Short AXP
Short DIA
Short MICC


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 April 7 Forecast

Information provided by: http://www.mktmetrics.com/
(Below is a sample of our program using DIA ETF current information)

Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 04/07/08
Last Updated: 04/04/08
04/04/08 Final Numbers
(Open) 126.22
(High) 126.81
(Low) 125.21
(Close) 126.03
(Range) 1.60

DIA Monday Forecast
Opening Fair Value: 126.03
Today's Predicted High: 127.02
Today's Predicted Low: 125.04
Today's Proposed Range: 1.98
Buy/Sell Rating: Buy

Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 78 Down from 80
Volume Internal Strength: Negative 0.70/0.75 Down
Current Trend: Positive 23 Down from 26
Demand Factor: 98 Up from 96
Stock Volatility: 0.81 Up from 0.80

Predict DIA Upside and Downside Potential
04/04/08 12:45 Close: 126.56
Upside Potential: 127.84
Downside Potential: 123.88

Information for Extreme Trading Days
Predicted Block Trading Resistance Levels (100,000+ shares)
1. 127.71
2. 128.55
3. 128.74
4. 129.34

Predicted Block Trading Support Levels (100,000+ shares)
1. 124.26
2. 123.70
3. 123.51
4. 122.71

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 124.54
21 DAY MOVING AVERAGE = 122.78
30 DAY MOVING AVERAGE = 123.27
42 DAY MOVING AVERAGE = 123.27
50 DAY MOVING AVERAGE = 123.49
65 DAY MOVING AVERAGE = 124.01
30 WEEK MOVING AVERAGE = 130.35
200 DAY MOVING AVERAGE = 131.37

Dow Jones Industrial Average and Diamonds (DIA)
DJIA Probability of Being Up Monday: 67%
DIA Probability of Being Up Monday: 58%
(DJIA & DIA are weighted differently)

Dow Outlook: Bullish 61%, Rising
Stock Market Outlook: Bullish 53.9, Rising

Subscribe today 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 at time of writing by author?
Short DIA
Short AXP
Short MICC

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

Stock Market Forecast Monday April 7 2008

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 4-3-08 DJIA closed: 12,626.03 +20.20 vs. Prior day: 12,626.03 +20.20
DJIA 21-Day Moving Average: 12,269.27 +16.88 vs. Prior day: 12,252.39 +19.63
(DJIA closed 2.77% above its rising 21-day moving average vs. 3.05% prior day)

Before the New York Stock Exchange Open
Monday April 7 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Monday: 67%
DIA probability of closing "Up" Monday: 58%
DIA Past 4 Mondays: Unch 52.0% / 52.0% / 51.0% / 52.0%
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Rising Today Up 28 vs. Down 3 (+1 vs +3 prior day)
DJIA Trend: Rising Today 90% vs Yesterday 87% (High 97% / Low 0%)
Change in Trend: To "Up" from "Down" as of day 4-1-08 (buy, with caution)
DJIA MACD: Rising Today, Buy as of Tuesday 3-18-08 (12,26 computation)
DJIA Momentum: Falling Today 45% vs Yesterday 48% (High 97% / Low 10%)
DJIA Volatility: Falling Today 0.56 vs Yesterday 1.13 (High 6.98 / Low -1.14)
DJIA 50-Day Net Change: Falling Today 339 vs Yesterday 654 (High 1450 / Low -1812)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -1812 3-10-08 (today 339 23.4% of High)

DJIA Resistance Levels: Mean= 12,269 / Intermediate Term 12,484 / Breakout 12,699
DJIA Support Levels: Mean= 12,252 / Intermediate Term 12,046 / Breakdown 11,840

Market Comment:
The DJIA closed Friday 2.77% above its rising 21-day moving average vs. 3.05% previously. The daily Dow Trend advanced to a reading of 90. The daily Dow Outlook is positive as it rose to 61 from 58. The DJIA 50-Day Net Change is positive, yet falling today. The Dow Trend is in "nose bleed" territory, which means it is in a range area that the Stock Market can become explosive to the upside or explosive to the downside. The downside is most likely now.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Falling Today .02% vs Yesterday .03% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, positive yet decreasing.

Institutional Money Flow: Falling Today 68% vs Yesterday 74% (High 97% / Low 6%) Mean= 52% Closed above its Mean, positive yet decreasing.

Institutional Demand: Falling Today 62.42% vs Yesterday 62.93% (High 86.84% / Low 13.13%) Mean= 50.0% Closed above its Mean, positive yet decreasing.

Institutional Inventory: Falling Today 64.26% vs Yesterday 65.51% (High 81.06%/Low 19.77%) Mean= 50.4% Closed above its Mean, positive yet decreasing.

Institutional Accumulation/Distribution Trend: Falling Today .08% vs Yesterday .10% (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 Rising Today 61% vs. Yesterday 58% (High 89% / Low 16%) Mean= 53.5% Closed above its Mean, Positive and increasing.

Stock Market Outlook: Bullish, yet Falling Today 53.9% vs Yesterday 54.3% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

12 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Falling Trend Today 23% vs. Yesterday 26% (High 95% / Low -80%)
SPY: Falling Trend Today 16% vs. Yesterday 19% (High 77% / Low -89%)
MDY: Falling Trend Today 20% vs. Yesterday 24% (High 91% / Low -1.16%)
IWM: Falling Trend Today 18% vs. Yesterday 23% (High 71% / Low -67%)
QQQQ: Unch Trend Today 15% vs. Yesterday 15% (High 54% / Low -43%)
SMH: Falling Trend Today 8% vs. Yesterday 10% (High 48% / Low -53%)
IYT: Falling Trend Today 35% vs. Yesterday 42% (High 80% / Low -95%)
XLE: Falling Trend Today 0% vs. Yesterday 7% (High 69% / Low -60%)
XLF: Unch#2 Trend Today 1% vs. Yesterday 1% (High 45% / Low -58%)
IAI: Falling Trend Today -11% vs. Yesterday -8% (High 55% / Low -65%)
IYR: Falling Trend Today 38% vs. Yesterday 47% (High 64% / Low -85%)
XHB: Falling Trend Today 12% vs. Yesterday 13% (High .69% / Low -.56%)
(MktMetrics.com tracks 108 Exchange Traded Funds for our subscribers)

Stock Market Plurality: (a short-term overbought/oversold indicator)
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Falling Trend Today 108 vs. Yesterday 129 (High 367 / Low 3)
Demand Factor "0": Rising Trend Today 23 vs. Yesterday 6 (High 360 / Low 6)

Information provided by http://www.mktmetrics.com/
A Strategic Collaboration with TigerSoft.com
http://www.tigersoft.com/DG/TigerSoft-Blog.htm

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

Sunday, April 06, 2008

Dow 30 + DIA Buy/Sell Monday 4-7-08

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

DIA Probability to be "Up" Monday: 58%
DJIA Probability to be "Up" Monday: 67%
(DIA & DJIA are weighted differently)

DIA Probability Percent of "Up" at the Close
This Week's Five Day Forecast (4-7 through 4-11)
Information provided by:http://www.tigersoft.com/DG/welcome.htm

Mondays: Past 48 Unch 52.0% / 52.0% / 51.0% / 52.0%

Tuesdays: Past 50 Rising 56.0% /55.7% / 54.9% / 54.0%
(Higher Close from Opening is greatest for Tuesday)

Wednesdays: Past 51 Falling 60.7% / 62.2% / 63.4% / 64.7%
(Lower Open is greatest for Wednesday)

Thursdays: Past 51 Falling 50.9% / 54.7% / 53.8% / 52.9%

Fridays: Past 51 Falling 54.9% / 58.4% / 58.4% / 59.6%
(Higher Open, Lower Close from Opening is greatest for Friday)

All days: Past 251 Days Falling 55.0% / 56.7% / 56.4% / 56.7%

Dow 30 + DIA Buy/Sell Signals & Trends
Sym/Sig/Demand/Range/IRS*/Trend
AA BUY 100/ 1.12 86U 0.15+
AIG BUY+ 18+ 2.02 56U 0.04+
AXP BUY 24- 2.06 50D 0.17+
BA S/SELL 40- 1.27 38U -0.36+
BAC SELL- 60- 1.69 48D 0.05+
C BUY 11+ 1.25 54D 0.03+
CAT BUY 84+ 1.44 85D 0.44+
CVX SELL- 97- 1.85 86U -0.02+
DD BUY 69+ 1.00 90U 0.14+
DIA BUY 98+ 1.98 78D 0.23+
DIS SELL 73- 0.58 58D -0.03+
GE BUY 98- 0.79 83D 0.33+
GM S/SELL 46+ 0.96 47U -0.14+
HD BUY 53- 1.00 63D 0.10/
HPQ S/SELL 26- 1.32 40D -0.24+
IBM BUY 99+ 2.82 69D 0.19+
INTC BUY 46- 0.65 63D 0.09+
JNJ BUY 57+ 1.20 69U 0.17+
JPM BUY 50- 1.72 69D 0.29+
KO SELL- 43- 0.63 64D 0.00+
MCD BUY 94- 0.72 75D 0.11+
MMM BUY 63+ 1.52 64U 0.05+
MRK SELL 68+ 1.61 26U -0.17+
MSFT SELL 9+ 0.76 46D 0.06/
PFE S/SELL 38+ 0.43 44U -0.05+
PG BUY 54+ 1.09 70D 0.35+
T BUY 94- 0.93 72D 0.24+
UTX BUY 65+ 1.73 63U 0.04/
VZ BUY 91- 0.81 69D 0.08+
WMT BUY 94- 1.20 94D 0.29+
XOM BUY 73- 2.19 73U 0.03+
*Internal Relative Strength

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MktMetrics Weekly Stocks In Review

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This Week's BEST & WORST Opportunities

108 Top Selected BEST Positive Stocks (Buy-Long Ideas)
Steady Accumulation confirmed by an Up Trend
Statistics for 4-7-08 Monday's NYSE Open
Symbol OFV (Proposed Range) Price Internal Strength +/-
AA
ACI
ACV
ADP
ALU
ALV
AOC
APA
APH
ATK
ATLS
AVY
AXA
BCE
BMS
CAG
CELG
CHA
CHD
CLB
CNH
CS
DEO
DGII
DRQ
EEB
EFA
ENZN
EPD
EPP
ETN
EWG
EWU
EWY
FAF
FCX
FMC
FSLR
GFIG
GLW
GME
GRP
GYMB
HAL
HNZ
HW
HXM
IEV
IEX
IGE
IGW
IIF
IJH
IJK
ILF
INFA
IR
IYH
IYM
JASO
JEC
JOSB
KOP
LEN
LLY
LOJN
LUV
MDT
MEE
MON
MTW
NBR
NOV
NX
OIH
OXY
PCP
PCU
PLCM
PNRA
PPH
PRKR
PTEN
PX
RDC
ROH
RRC
RSG
RSTI
SCHN
SIAL
SLGN
SMTL
SSP
TEVA
TIE
TKR
TNB
TUP
TYC
UNP
VARI
VAW
VRTX
X
XLB
XLI
YUM
OFV: Opening Fair Value

23 Top Selected Negative Stocks (Short-Sale Ideas)
Steady Distribution confirmed by a Down Trend
Statistics for 4-7-08 Monday's NYSE Open
Symbol OFV (Proposed Range) Price Internal Strength +/-
ATHR OFV: 23.70 (1.04) +53+ V: 1.989
CEG OFV: 87.75 (2.61) -33- V: 1.815
CNB OFV: 9.75 (0.52) -5- V: 4.217
CSGS OFV: 11.49 (0.32) -40- V: .530
DUG OFV: 35.34 (1.78) -15+ V: 3.688
DXD OFV: 53.61 (1.82) -25+ V: 6.151
EXM OFV: 29.15 (2.08) -33- V: 1.055
FFIV OFV: 18.62 (0.94) -10- V: 2.813
HBAN OFV: 11.22 (0.54) -30- V: 7.693
HTCH OFV: 16.07 (0.34) -22- V: .700
LCAV OFV: 12.80 (0.67) -14- V: .586
LNCR OFV: 27.62 (0.66) -3- V: 1.099
MICC OFV: 95.21 (2.75) -13- V: .966
NCC OFV: 9.40 (1.11) -29- V: 16.247
NVDA OFV: 19.20 (0.78) -31- V: 18.957
QSII OFV: 30.17 (1.11) -24- V: .306
RSCR OFV: 17.36 (0.59) -3- V: .177
SY OFV: 26.67 (1.18) -43- V: 1.630
TLT OFV: 95.25 (0.84) -49+ V: 3.414
TNH OFV: 119.93 (7.17) -30+ V: .431
USU OFV: 5.62 (0.26) -40/ V: 4.704
WB OFV: 27.84 (1.54) -25- V: 33.530
WM OFV: 10.83 (0.82) -28- V: 49.339
OFV: Opening Fair Value

Subscribe today to www.MktMetrics.com for detailed analysis on a daily basis.
Next Day’s Advance Market Decisions:
"Not always right, just very seldom wrong."

Saturday, April 05, 2008

MktMetrics Weekly Stock Market Analysis

Stock Market Analysis for Week Ending April 4, 2008 (Historic: Highs /Lows)

Stock Market Outlook: Bullish Rising 53.9% vs Last week: 32.3% (Historic: High 100.0% / Low 7.1%)

DJIA Outlook: Bullish Rising 61% vs Last week: 52% (Historic: High 89% / Low 12%)

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 Closed: 12,609.42 vs Last week: 12,216.40 +393.02 / Prior week: -144.92
DJIA 21-day Moving Average: 12,269.27 vs Last week: 12,212.82 +56.45 / Prior week: -28.18
DJIA 50-Day Net Change: Rising 339 vs Last week -285 (High 1450 5-23-07 / Low -1812 3-10-08)
DJIA Trend: Rising 90% vs Last week: 55% (High 97% 9-19-07&10-1-07 / Low: 0% 6-13-06)
DJIA Momentum: Rising 45% vs Last week: 29% (High 97% / Low 10%)
DJIA Volatility: Falling 0.56% vs Last week: 0.60% (High 6.98% / Low -1.14%)
DJIA Resistance: Rising Near Term 12,484 vs Last week 12,437 +47 / Prior week: -20
DJIA Breakout: Rising Intermediate Term 12,699 vs Last week 12,640
DJIA Support: Rising Near Term 12,046 vs Last week: 11,999 +47 / Prior week: -28
DJIA Breakdown: Rising Intermediate Term 11,840 vs Last week: 11,785
DJIA Directional Indicator: Rising -16.88 vs Last week: -22.76 (High +49.4 / Low -63.91)
DJIA Price Advance/Decline Line: Rising -18 vs Last week: -424 (High +647 / Low -660)
DJIA Volume Advance/Decline Line: Rising -155 vs Last week: -376 (High +349 / Low -484)
DJIA Price vs 21-Day Moving Average: Rising 2.77% vs Last week: 0.03% (High 4.36% / Low -6.99%)
DJIA Moving Average Convergence/Divergence(MACD): Buy / Last week: Buy
DJIA Overbought/Oversold (CCI): Rising 90 vs Last week: 16 (High +255 / Low -285)
DJIA Stochastic 20-Day Indicator: Rising 85 vs Last week: 61 (High 100 / Low 00)
DJIA Stochastic 5-Day Indicator: Rising 75 vs Last week: 39 (High 100 / Low 00)
DJIA 14-Day Relative Strength Indicator: Rising 66 vs Last week: 57 (High 97 / Low 12)
DJIA Volume vs 50-Day Moving Average: Falling .7 vs Last week: .8 (High 3.3 / Low 0.3)

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Rising .03% vs Last week: -.01% (High .29% (4-19-07) / Low -.24% (6-6-06)

Institutional Money Flow Index: Rising 68% vs Last week: 29% (High 97% / Low 6%)

Institutional Demand Factor: Rising 62.42% vs Last week: 50.90% (High 86.8% / Low 13.13%)

Institutional Inventory Index: Rising 64.26% vs Last week: 48.77% (High 81.1% / 19.77%)

Institutional Accumulation/Distribution: Rising .08 vs Last week: -.12 (High .35 / -.41)

Institutional Sentiment Index: Rising 115 vs Last week: 112 (High 179 (5-30-07) / (Low 68 (6-13-06)

Speculation Indicator Index: Rising .074 vs Last week: -.313 (High .749 (7-19-07) / (Low -1.174 (1-4-08)

One Year High Yield National CD Rate: Rising 2.92% vs Last week: 2.86% (5.27% / Low 2.86%)****************************************************************************************************************
108 Exchange Traded Funds
Trends & Sector Analysis


Symbol: Trend +/- (Historic: High / Low) / Rating / Demand Factor
Diamonds-Dow 30
DIA: +.23 vs Last week: -.14 (High .95 / Low -.80) Rating: BUY+ Demand Factor: 98+
S&P 500 Large-Cap
SPY: +.15 vs Last week: -.33 (High .77 / Low -.89) Rating: BUY+ Demand Factor: 80+
S&P 400 Mid-Cap
MDY: +.20 vs Last week: -.50 (High .89 / Low -1.16) Rating: BUY+ Demand Factor: 63+
Russell 2000 Small-Cap
IWM: +.18 vs Last week: -.12 (High .71 / Low -.67) Rating: BUY+ Demand Factor: 98+
Nasdaq 100 Large Growth
QQQQ: +.15 vs Last week: -.07 (High .54 / Low -.41) Rating: BUY+ Demand Factor: 87+
1. Biotech
BBH: +.28 vs Last week: +.47 (High 1.58 / Low -1.02) Rating: BUY Demand Factor: 95+
2. Broadband
BDH: +.18 vs Last week: -.01 (High .57 / Low -.54) Rating: BUY+ Demand Factor: 40+
3. Central Fund of Canada (Physical Precious Metals)
CEF: -.01 vs Last week: +.03 (High .41 / Low -.29) Rating: SELL- Demand Factor: 79+
4. CHICAGO MERCANTILE EXCHANGE
CME: -.27 vs Last week: -2.17 (High 4.84 / Low -6.35) Rating: SELL Demand Factor: 50+
5. Deutsche Bank Commodity Index Tracking
DBC: +.35 vs Last week: +.37 (High .68 / Low -.65) Rating: BUY Demand Factor: 100+
6. ULTRA DOW 30 POWER SHARES
DDM: +.13 vs Last week: -.35 (High 1.00 / Low -1.13) Rating: BUY+ Demand Factor: 73+
7. UltraShort Oil & Gas ProShares (2:1 Leveraged ETF)
DUG: -.15 vs Last week: +.09 (High 1.07/ Low -1.02) Rating: SELL- Demand Factor: 0-
8. Dow Jones Select Dividend Index
DVY: +.01 vs Last week: -.29 (High .58 / Low -.74) Rating: BUY+ Demand Factor: 78-
9. ULTRA SHORT DOW 30 POWER SHARES
DXD: -.27 vs Last week: +.09 (High .68 / Low -.70) Rating: SELL Demand Factor: 2-
10. CLAYMORE/BNY BRIC ETF (Brazil Russia India China)
EEB: +.11 vs Last week: -.22 (High .86 / Low -.50) Rating: BUY+ Demand Factor: 100+
11. Emerging Markets
EEM: +.12 vs Last week: -.63 (High 1.29 / Low -1.19) Rating: BUY+ Demand Factor: 98+
12. EAFE Global Equities (Europe, Australasia and Far East)
EFA: +.22 vs Last week: -.12 (High .62 / Low -.65) Rating: BUY+ Demand Factor: 100+
13. Pacific ex-Japan
EPP: +.29 vs Last week: -.53 (High 1.36 / Low -1.18) Rating: BUY+ Demand Factor: 100+
14. Australia
EWA: -.00 vs Last week: -.21 (High .81 / Low -.45) Rating: SELL Demand Factor: 90+
15. Canada
EWC: +.01 vs Last week: -.11 (High .52 / Low -.37) Rating: BUY+ Demand Factor: 83+
16. Sweden
EWD: +.05 vs Last week: +.20 (High .79 / Low -.44) Rating: BUY Demand Factor: 74-
17. Germany
EWG: +.29 vs Last week: -.05 (High .61 / Low -.41) Rating: BUY+ Demand Factor: 100+
18. Hong Kong
EWH: -.12 vs Last week: -.20 (High .48 / Low -.44) Rating: SELL Demand Factor: 11-
19. Italy
EWI: -.14 vs Last week: -.51 (High .51 / Low -.63) Rating: BUY+ Demand Factor: 27+
20. Japan
EWJ: -.06 vs Last week: -.11 (High .63 / Low -.43) Rating: SELL Demand Factor: 65+
21. Belgium
EWK: +.16 vs Last week: -.10 (High .60 / Low -.40) Rating: BUY Demand Factor: 54+
22. Switzerland
EWL: +.12 vs Last week: +.02 (High .64 / Low -.49) Rating: BUY Demand Factor: 73+
23. Malaysia
EWM: +.07 vs Last week: +.18 (High .39 / Low -.21) Rating: BUY+ Demand Factor: 91+
24. Netherlands
EWN: +.36 vs Last week: -.00 (High .61 / Low -.30) Rating: BUY+ Demand Factor: 97
25. Austria
EWO: +.29 vs Last week: -.05 (High .49 / Low -.30) Rating: BUY+ Demand Factor: 85+
26. Spain
EWP: +.31 vs Last week: -.13 (High .75 / Low -.63) Rating: BUY Demand Factor: 87+
27. France
EWQ: -.03 vs Last week: -.14 (High .56 / Low -.44) Rating: SELL Demand Factor: 86+
28. Singapore
EWS: +.09 vs Last week: -.01 (High .45 / Low -.50) Rating: BUY Demand Factor: 39+
29. Taiwan
EWT: +.02 vs Last week: +.02 (High .40 / Low -.23) Rating: BUY Demand Factor: 81+
30. United Kingdom
EWU: +.23 vs Last week: -.15 (High .69 / Low -.28) Rating: BUY+ Demand Factor: 100+
31. Mexico
EWW: +.26 vs Last week: -.08 (High .72 / Low -.59) Rating: BUY+ Demand Factor: 89-
32. South Korea
EWY: +.27 vs Last week: -.01 (High .68 / Low -.53) Rating: BUY+ Demand Factor: 100+
33. Brazil
EWZ: -.12 vs Last week: -.59 (High 1.00 / Low -.81) Rating: SELL Demand Factor: 98+
34. FTSE/Xinhua China 25 Index
FXI: +.12 vs Last week: -.96 (High 2.91 / Low -2.03) Rating: BUY+ Demand Factor: 81+
31. PROSHARES US FTSE/XI
FXP: -.69 vs Last week: +.60 (High 1.30 / Low -1.16) Rating: SELL Demand Factor: 10-
35. Street TRACKS Gold Trust
GLD: -.51 vs Last week: -.25 (High .77 / Low -.61) Rating: SELL Demand Factor: 28+
36. Internet
HHH: +.52 vs Last week: +.02 (High .63 / Low -.75) Rating: BUY Demand Factor: 69+
37. Internet Architecture
IAH: +.29 vs Last week: -.06 (High .65 / Low -.86) Rating: BUY+ Demand Factor: 12+
38. U.S. Broker-Dealers
IAI: -.11 vs Last week: -.55 (High .55 / Low -.69) Rating: BUY+ Demand Factor: 30+
39. Comex Gold
IAU: -.30 vs Last week: -.09 (High .81 / Low -.65) Rating: SELL Demand Factor: 89+
40. Biotechnology
IBB: +.14 vs Last week: -.17 (High .70 / Low -.62) Rating: BUY+ Demand Factor: 85+
41. InterContinental Exchange, Inc.
ICE: +.61 vs Last week: -.29 (High 1.81/Low -2.72) Rating: BUY+ Demand Factor: 55+
42. Cohen & Steers Realty Majors
ICF: +.43 vs Last week: +.05 (High .98 / Low -1.02) Rating: BUY Demand Factor: 76+
43. Utilities
IDU: -.06 vs Last week: -.24 (High .78 / Low -.76) Rating: BUY+ Demand Factor: 31+
44. S&P Europe 350 Index
IEV: +.31 vs Last week: -.12 (High .84 / Low -.88) Rating: BUY+ Demand Factor: 100+
45. Natural Resources
IGE: -.03 vs Last week: -.34 (High 1.25 / Low -.75) Rating: SELL Demand Factor: 100+
46. Networking
IGN: +.23 vs Last week: -.10 (High .48 / Low -.50) Rating: BUY+ Demand Factor: 38+
47. Software
IGV: +.17 vs Last week: +.02 (High .66 / Low -.60) Rating: BUY Demand Factor: 79+
48. Semiconductor
IGW: +.37 vs Last week: +.08 (High .62 / Low -.75) Rating: BUY Demand Factor: 100+
49. MS India Investment Fund
IIF: +.04 vs Last week: -.33 (High .88 / Low -.81) Rating: BUY+ Demand Factor: 100+
50. Internet Infrastructure
IIH: +.31 vs Last week: +.10 (High .64 / Low -.52) Rating: BUY+ Demand Factor: 39+
51. Mid-Cap 400 Blend
IJH: +.20 vs Last week: -.28 (High .78 / Low -.68) Rating: BUY+ Demand Factor: 100+
52. Mid-Cap 400 Growth
IJK: +.22 vs Last week: -.21 (High .66 / Low -.86) Rating: BUY+ Demand Factor: 100+
53. Small-Cap 600
IJR: +.14 vs Last week: -.13 (High .83 / Low -.54) Rating: BUY+ Demand Factor: 75+
54. S&P Latin America 40 Index
ILF: +.37 vs Last week: -.98 (High 2.68 / Low -2.31) Rating: BUY Demand Factor: 100+
55. S&P 1500 Index
ISI: -.09 vs Last week: -.43 (High .81 / Low -.95) Rating: SELL Demand Factor: 24+
56. U.S. Aerospace & Defense
ITA: +.14 vs Last week: -.11 (High .23 / Low -.69) Rating: BUY+ Demand Factor: 46+
57. S&P Latin America 40 Index
ITF: +.15 vs Last week: -.38 (High .92 / Low -.90) Rating: BUY+ Demand Factor: 58+
58. Global Financial
IXG: +.50 vs Last week: -.08 (High .79 / Low -.94) Rating: BUY+ Demand Factor: 93+
59. Consumer Cyclical
IYC: +.14 vs Last week: -.20 (High .78 / Low -.70) Rating: BUY+ Demand Factor: 99+
60. Energy
IYE: +.07 vs Last week: -.24 (High .97 / Low -.85) Rating: BUY+ Demand Factor: 97+
61. Financial Services
IYG: +.09 vs Last week: -.72 (High .79 / Low -1.18) Rating: BUY+ Demand Factor: 35/
62. Healthcare
IYH: +.05 vs Last week: -.23 (High .54 / Low -.63) Rating: BUY+ Demand Factor: 100+
63. Industrial
IYJ: +.21 vs Last week: -.04 (High .52 / Low -.80) Rating: BUY+ Demand Factor: 48+
64. Consumer Non-Cyclical
IYK: +.06 vs Last week: +.26 (High .58 / Low -.72) Rating: BUY Demand Factor: 68+
65. Basic Materials
IYM: +.17 vs Last week: -.22 (High .69 / Low -.61) Rating: BUY Demand Factor: 100+
66. Real Estate
IYR: +.38 vs Last week: +.04 (High .64 / Low -.85) Rating: BUY Demand Factor: 94+
67. Transportation
IYT: +.35 vs Last week: +.04 (High .80 / Low -.95) Rating: BUY Demand Factor: 87+
68. U.S. Technology
IYW: +.17 vs Last week: -.11 (High .54 / Low -.59) Rating: BUY+ Demand Factor: 93+
69. U.S. Total Market Index
IYY: +.17 vs Last week: -.16 (High .84 / Low -.72) Rating: BUY+ Demand Factor: 84+
70. U.S. Telecommunications
IYZ: -.01 vs Last week: -.06 (High .43 / Low -.37 Rating: SELL Demand Factor: 95+
71. ULTRA SHORT MID-CAP 400 POWER SHARES
MZZ: -.27 vs Last week: +.30 (High .85 / Low -.82) Rating: SELL Demand Factor: 12-
72. NYSE Euronext Group, Inc.
NYX: +.14 vs Last week: -.56 (High 1.77 / Low -1.30 Rating: BUY+ Demand Factor: 11+
73. NASDAQ Stock Market, Inc.
NDAQ: -.10 vs Last week: -.27 (High 1.07/ Low -1.02) Rating: SELL Demand Factor: 18+
74. Oil Services
OIH: +.46 vs Last week: -.23 (High 1.70/Low -1.58) Rating: BUY+ Demand Factor: 100+
75. PowerShares WilderHill Clean Energy
PBW: +.12 vs Last week: -.18 (High .72 / Low -.52) Rating: BUY+ Demand Factor: 53+
76. Pharmaceuticals
PPH: +.06 vs Last week: -.08 (High .80 / Low -.61) Rating: BUY+ Demand Factor: 100+
77. PowerShares Dynamic OTC
PWO: +.36 vs Last week: -.00 (High .51 / Low -.54) Rating: BUY+ Demand Factor: 98+
78. ULTRA SHORT QQQ POWER SHARES
QID: -.42 vs Last week: +.02 (High .74 / Low -.73) Rating: SELL Demand Factor: 0-
79. ULTRA QQQ PROSHARES
QLD: +.36 vs Last week: -.16 (High 1.14 / Low -1.51) Rating: BUY+ Demand Factor: 83+
80. Regional Banks
RKH: +.15 vs Last week: -.70 (High .95 / Low -1.50) Rating: BUY+ Demand Factor: 51-
81. MS Eastern Europe Fund
RNE: -.12 vs Last week: -.27 (High .55 / Low -.73) Rating: SELL Demand Factor: 22-
82. Retail
RTH: +.19 vs Last week: -.22 (High .60 / Low -.68) Rating: BUY+ Demand Factor: 78+
83. DJ Wilshire REIT
RWR: +.37 vs Last week: -.13 (High .78 / Low -.81) Rating: BUY+ Demand Factor: 90+
84. ULTRA SHORT S&P 500 Power Shares
SDS: -.21 vs Last week: +.22 (High .78 / Low: -.69) Rating: SELL Demand Factor: 15-
85. ULTRA SHORT Russell 2000 Value ProShares
SJH: -.69 vs Last week: +.17 (High .99 / Low -.78) Rating: SELL Demand Factor: 11-
86. Silver Trust
SLV: -1.45 vs Last week: -.59 (High 2.31 / Low -1.53) Rating: SELL Demand Factor: 91+
87. Semiconductor
SMH: +.08 vs Last week: -.12 (High .48 / Low -.52) Rating: BUY+ Demand Factor: 32+
88. UltraShort Real Estate ProShares (2:1 Leveraged ETF)
SRS: -1.30 vs Last week: -.24 (High 2.19 / Low -1.62) Rating: SELL Demand Factor: 12-
89. Software
SWH: +.10 vs Last week: -.16 (High .61 / Low -.43) Rating: BUY+ Demand Factor: 7+
90. Lehman 20+ Treasury Bond Fund
TLT: -.00 vs Last week: +.17 (High .53 / Low -.49) Rating: SELL- Demand Factor: 0-
91. Telecommunications Holders Trust
TTH: +.06 vs Last week: +.06 (High .54 / Low -.40) Rating: BUY Demand Factor: 74+
92. Utilities
UTH: +.15 vs Last week: +.01 (High .95 / Low -1.13) Rating: BUY+ Demand Factor: 87+
93. Wireless
WMH: +.28 vs Last week: -.31 (High .87 / Low -.82) Rating: BUY+ Demand Factor: 53+
94. Homebuilders Select Sector
XHB: +.12 vs Last week: -.22 (High .69 / Low -.56) Rating: BUY+ Demand Factor: 26+
95. Materials Select Sector
XLB: +.15 vs Last week: -.04 (High .40 / Low -.41) Rating: BUY+ Demand Factor: 100+
96. Energy Select Sector
XLE: -.00 vs Last week: -.24 (High .76 / Low -.60) Rating: SELL Demand Factor: 97+
97. Financial Select Sector
XLF: +.01 vs Last week: -.23 (High .46 / Low -.43) Rating: BUY+ Demand Factor: 61+
98. Industrial Select Sector
XLI: +.29 vs Last week: +.04 (High .46 / Low -.49) Rating: BUY Demand Factor: 100+
99. Technology Select Sector
XLK: -.03 vs Last week: -.13 (High .51 / Low -.32) Rating: BUY+ Demand Factor: 54+
100. Consumer Staples Select Sector
XLP: +.06 vs Last week: +.09 (High .59 / Low -.43) Rating: BUY Demand Factor: 48-
101. Healthcare Select Sector
XLV: +.02 vs Last week: -.11 (High .57 / Low -.33) Rating: BUY+ Demand Factor: 99+
102. Industrial Select Sector
XLY: +.04 vs Last week: -.17 (High .44 / Low -.57) Rating: BUY+ Demand Factor: 88+
103. Mining & Metals Select Sector
XME: -.03 vs Last week: -.37 (High .98 / Low -.78) Rating: SELL Demand Factor: 84+

108 Total Exchange Traded Funds Tracked: (Historic: High= 90% / Low= 13%)
Buy 82/Sell 26(80%) vs. Last week: Buy 23/Sell 85(21%) vs. Prior week: Buy 36/Sell 72(33%)

DJIA 6 weeks: +393.02(4-4) -144.92(3-28) +410.23(3-20) +51.40 (3-14) -366.70(3-7) -114.63(2-29)

Information provided by: http://www.mktmetrics.com/
A Strategic Collaboration with Tiger Investment Software
http://www.tigersoft.com/DG/welcome.htm

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:
TraderDaily.com, Institutional Investor Magazine and TigerSoft.com

An Internet video webcast called MktMetrics Weekly appears late weekends on YouTube and Yahoo Video, that can be searched under: "MktMetrics"

www.galefinancialmarketeconometrics.blogspot.com/
Next Day's Advance Market Decisions blog (First information always available)

The three daily blogs provide:
11:00pmET Trading Ideas for next day's trading
7:45amET Stock Market Forecast and Institutional Investor Statistics
8:15amET Diamonds (DIA) Forecast for the day illustrating a portion of our program

Subscribe today to MktMetrics.com to see what the Exchange Insiders (Specialists & Market Makers) are currently doing with their inventory for any stock or ETF that you trade.

Total number of Blogs archived: 1,626 since April 2005

Friday, April 04, 2008

Stock Market Forecast Friday April 4 2008

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 4-3-08 DJIA closed: 12,626.03 +20.20 vs. Prior day: 12,605.83 -48.53
DJIA 21-Day Moving Average: 12,252.39 +19.63 vs. Prior day: 12,232.76 +16.67
(DJIA closed 3.05% above its rising 21-day moving average vs. 3.08% prior day)

Before the New York Stock Exchange Open
Friday April 4 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Friday: 51%
DIA probability of closing "Up" Friday: 45%
DIA Past 4 Fridays: Falling 58.1% / 58.4% / 59.6% / 56.3%
(Higher Open, Lower Close from Opening is greatest for Friday)
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Rising Today Up 27 vs. Down 4 (+3 vs +1 prior day)
DJIA Trend: Rising Today 87% vs Yesterday 77% (High 97% / Low 0%)
Change in Trend: To "Up" from "Down" as of day 4-1-08 (buy, with caution)
DJIA MACD: Rising Today, Buy as of Tuesday 3-18-08 (12,26 computation)
DJIA Momentum: Rising Today 48% vs Yesterday 45% (High 97% / Low 10%)
DJIA Volatility: Falling Today 1.13 vs Yesterday 1.55 (High 6.98 / Low -1.14)
DJIA 50-Day Net Change: Rising Today 654 vs Yesterday 506 (High 1450 / Low -1812)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -1812 3-10-08 (today 654 45.1% of High)

DJIA Resistance Levels: Mean= 12,252 / Intermediate Term 12,466 / Breakout 12,681
DJIA Support Levels: Mean= 12,232 / Intermediate Term 12,028 / Breakdown 11,824

Market Comment:
The DJIA closed Thursday 3.05% above its rising 21-day moving average vs. 3.08% previously. The daily Dow Trend advanced to a reading of 87. The daily Dow Outlook is positive as it rose to 58 from 53. The DJIA 50-Day Net Change is positive for the third day in a row. This is all good news for Investors. Caveat: The DJIA Trend is within 3-4 days of reaching its apex. It is in this current range area that the Stock Market can become explosive to the upside or downside.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Falling Today .03% vs Yesterday .04% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, positive yet decreasing.

Institutional Money Flow: Rising Today 74% vs Yesterday 61% (High 97% / Low 6%) Mean= 52% Closed above its Mean, Positive and increasing.

Institutional Demand: Rising Today 62.93% vs Yesterday 59.77% (High 86.84% / Low 13.13%) Mean= 50.0% Closed above its Mean, Positive and increasing.

Institutional Inventory: Rising Today 65.51% vs Yesterday 61.45% (High 81.06%/Low 19.77%) Mean= 50.4% Closed above its Mean, Positive and increasing.

Institutional Accumulation/Distribution Trend: Unch Today .10% vs Yesterday .10% (High .35% / -.41%) Mean= -.03% Closed above its Mean, positive yet flat.

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

DJIA Outlook: Bullish Rising Today 58% vs. Yesterday 53% (High 89% / Low 16%) Mean= 53.5% Closed above its Mean, Positive and increasing.

Stock Market Outlook: Bullish Rising Today 54.3% vs Yesterday 48.4% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

12 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Rising Trend Today 26% vs. Yesterday 25% (High 95% / Low -80%)
SPY: Rising Trend Today 19% vs. Yesterday 18% (High 77% / Low -89%)
MDY: Rising Trend Today 24% vs. Yesterday 13% (High 91% / Low -1.16%)
IWM: Rising Trend Today 23% vs. Yesterday 20% (High 71% / Low -67%)
QQQQ: Falling Trend Today 15% vs. Yesterday 19% (High 54% / Low -43%)
SMH: Unch Trend Today 10% vs. Yesterday 10% (High 48% / Low -53%)
IYT: Falling Trend Today 42% vs. Yesterday 48% (High 80% / Low -95%)
XLE: Rising Trend Today 7% vs. Yesterday -0% (High 69% / Low -60%)
XLF: Unch Trend Today 1% vs. Yesterday 1% (High 45% / Low -58%)
IAI: Rising Trend Today -8% vs. Yesterday -9% (High 55% / Low -65%)
IYR: Rising Trend Today 47% vs. Yesterday 35% (High 64% / Low -85%)
XHB: Falling Trend Today 13% vs. Yesterday 15% (High .69% / Low -.56%)
(MktMetrics.com tracks 108 Exchange Traded Funds for our subscribers)

Stock Market Plurality: (a short-term overbought/oversold indicator)
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Rising Trend Today 129 vs. Yesterday 84 (High 367 / Low 3)
Demand Factor "0": Falling Trend Today 6 vs. Yesterday 13 (High 360 / Low 6)

Information provided by http://www.mktmetrics.com/
A Strategic Collaboration with TigerSoft.com
http://www.tigersoft.com/DG/TigerSoft-Blog.htm

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

Thursday, April 03, 2008

Stock Trading Ideas Friday April 4 2008

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

Nightly Analysis Update

DIA Probability of being "Up" Friday: 45%
DJIA Probability of being "Up" Friday: 51%
(DIA & DJIA are weighted differently)

DJIA Trend: Rising 84% vs. 77% prior day (distribute stocks)
DJIA Trend Change: To "Up" from "Down" Tuesday 4-1-08
DJIA Momentum: Rising 48% vs. 45% prior day
DJIA Outlook: Bullish Rising Today 58% vs. 53% prior day
Stock Market Outlook: Bullish Rising 54.3% vs. 48.4% prior day

Selected Stocks expected to move "HIGHER" Friday
Buy-Long Day Trading Ideas suggested for April 4 2008
Symbol OFV (Proposed Range) (Price Internal Strength)

Total: 129 - Too many to comment on tonight. Subscribe to get the data directly.

*OFV: Opening Fair Value

6 Selected Stocks expected to move "LOWER" Friday
Sell-Short Day Trading Ideas suggested for April 4 2008
Symbol OFV (Proposed Range) (Price Internal Strength)
CNB OFV: 9.95 (0.60) -7/
CSGS OFV: 11.54 (0.28) -43-
HLTH OFV: 9.66 (0.28) -4-
ININ OFV: 11.82 (0.81) -9/
LCAV OFV: 12.89 (0.51) -17+
PGR OFV: 16.55 (0.36) -35-
*Opening Fair Value

Good luck and good trading!

*THURSDAY'S RESULTS*
Next Day's Advance Market Decisions- Trading Ideas
$1,000,000.00 Portfolio Performance, Funded: 12-17-2007
Account Value $1,300,985.12 4-4-08 Change +$14,657.93
Account Value $1,286,335.60 4-3-08 Change +$19,017.55
Account Value $1,267,318.05 4-2-08 Change +$4,101.18
Account Value $1,263,216.87 4-1-08 Change -$17,750.69
Account Value $1,280,967.56 3-31-08 Change +$682.72
Account Value $1,280,284.84 3-28-08 Change -$8,739.99
Account Value $1,289,824.83 3-27-08 Change +$4,972.10
Account Value $1,284,857.58 3-26-08 Change +$16,925.37
Account Value $1,267,932.21 3-25-08 Change +$3,147.74
Account Value $1,264,784.47 3-24-08 Change +$2,020.74
Account Value $1,262,763.73 3-20-08 Change +$31,109.29
Account Value $1,231,654.44 3-19-08 Change +$13,022.21
Account Value $1,218,632.23 3-18-08 Change +$14,841.06
Account Value $1,204,377.75 3-17-08 Change +$28,121.64
Account Value $1,176,256.11 3-14-08 Change +$33,940.14
Account Value $1,142,315.97 3-13-08 Change +$21,354.85
Account Value $1,120,961.12 3-12-08 Change +$1,451.79
Account Value $1,119,509.33 3-11-08 Change +$27,481.41
Account Value $1,092,027.92 3-10-08 Change -$5,134.00
Account Value $1,097,161.92 3-7-08 Change +$9,260.18
Account Value $1,087,907.11 3-6-08 Change +$4,549.14
Account Value $1,083,363.34 3-5-08 Change +$3,621.89
Account Value $1,079,741.45 3-4-08 Change +$3,973.20
Account Value $1,075,768.25 3-3-08 Change +$2,883.73
Account Value $1,072,884.52 2-29-08 Change +$65,048.93
Account Value $1,007,835.59 1-31-08 Change +$17,581.30
Account Value $990,254.29 12-31-07 Change -$9,745.71

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

Full disclosure:
Long/Short individual stocks and ETFs owned at time of writing by its author-
Short AXP
Short DIA
Short MICC

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 April 3 Forecast

Information provided by: http://www.mktmetrics.com/
(Below is a sample of our program using DIA ETF current information)

Details for DIA Diamonds (Dow 30 Exchange Traded Fund)

Today's Date: 04/03/08
Last Updated: 04/02/08
04/02/08 Final Numbers
(Open) 126.35
(High) 126.87
(Low) 125.45
(Close) 125.98
(Range) 1.42

DIA Thursday Forecast
Opening Fair Value: 126.16
Today's Predicted High: 126.78
Today's Predicted Low: 125.18
Today's Proposed Range: 1.60
Buy/Sell Rating: Buy

Five Considerations (Today vs. Yesterday)
Price Internal Strength: Positive 69 Up from 65
Volume Internal Strength: Negative 0.70/0.80 Down
Current Trend: Positive 25 Down from 29
Demand Factor: 90 Down from 96
Stock Volatility: 1.06 Down from 5.03

Predict DIA Upside and Downside Potential
04/02/08 12:45 Close: 126.41
Upside Potential: 127.38
Downside Potential: 124.18

Information for Extreme Trading Days
Predicted Block Trading Resistance Levels (100,000+ shares)
1. 127.96
2. 128.50
3. 128.88
4. 129.41

Predicted Block Trading Support Levels (100,000+ shares)
1. 124.33
2. 123.82
3. 123.46
4. 122.94

DIA 8-KEY MOVING AVERAGES
8 DAY MOVING AVERAGE = 124.28
21 DAY MOVING AVERAGE = 122.43
30 DAY MOVING AVERAGE = 123.09
42 DAY MOVING AVERAGE = 123.29
50 DAY MOVING AVERAGE = 123.27
65 DAY MOVING AVERAGE = 124.21
30 WEEK MOVING AVERAGE = 130.42
200 DAY MOVING AVERAGE = 131.47

Dow Jones Industrial Average and Diamonds (DIA)
DJIA Probability of Being Up Thursday: 66%
DIA Probability of Being Up Thursday: 77%
(DJIA & DIA are weighted differently)

Dow Outlook: Bullish 53%, Rising
Stock Market Outlook: Bearish 48.4, Rising

Subscribe today 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 at time of writing by author?-
Short DIA
Short AXP
Short MICC

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

Stock Market Forecast Thursday April 3 2008

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.

Wednesday 4-2-08 DJIA closed: 12,605.83 -48.53 vs. Prior day: 12,654.36 +391.47
DJIA 21-Day Moving Average: 12,232.76 +16.67 vs. Prior day: 12,216.09 +18.47
(DJIA closed 3.08% above its rising 21-day moving average vs. 3.59% prior day)

Before the New York Stock Exchange Open
Thursday April 3 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Thursday: 66%
DIA probability of closing "Up" Thursday: 77%
DIA Past 4 Thursdays: Rising 54.7% / 53.8% / 52.9% / 52.7%
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Rising Today Up 24 vs. Down 7 (+1 vs +8 prior day)
DJIA Trend: Rising Today 77% vs Yesterday 74% (High 97% / Low 0%)
Change in Trend: To "Up" from "Down" as of day 4-1-08 (await 2nd day confirmation)
DJIA MACD: Rising Today, Buy as of Tuesday 3-18-08 (12,26 computation)
DJIA Momentum: Falling Today 45% vs Yesterday 48% (High 97% / Low 10%)
DJIA Volatility: Falling Today 1.55 vs Yesterday 2.34 (High 6.98 / Low -1.14)
DJIA 50-Day Net Change: Rising Today 506 vs Yesterday 495 (High 1450 / Low -1812)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -1812 3-10-08 (today 506 34.9% of High)

DJIA Resistance Levels: Mean= 12,232 / Intermediate Term 12,446 / Breakout 12,660
DJIA Support Levels: Mean= 12,216 / Intermediate Term 12,010 / Breakdown 11,804

Market Comment:
The DJIA closed Wednesday 3.08% above its rising 21-day moving average vs. 3.59% previously. The daily Dow Trend moved up to a reading of 77. The daily Dow Outlook is positive as it rose to 53 from 50. The DJIA 50-Day Net Change is positive for the second day in a row. This is all good news for Investors. Caveat: The DJIA Trend is back to where it turned lower last time on 3-26-08, which warrants caution and confirmation of a true Trend change.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Falling Today .04% vs Yesterday .06% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, positive yet decreasing.

Institutional Money Flow: Unch Today 61% vs Yesterday 61% (High 97% / Low 6%) Mean= 52% Closed above its Mean, Positive yet flat.

Institutional Demand: Falling Today 59.77% vs Yesterday 62.61% (High 86.84% / Low 13.13%) Mean= 50.0% Closed above its Mean, positive yet decreasing.

Institutional Inventory: Rising Today 61.45% vs Yesterday 58.35% (High 81.06%/Low 19.77%) Mean= 50.4% Closed above its Mean, Positive and increasing.

Institutional Accumulation/Distribution Trend: Falling Today .10% vs Yesterday .13% (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 Rising Today 53% vs. Yesterday 50% (High 89% / Low 16%) Mean= 53.5% Closed at its Mean, Neutral yet increasing.

Stock Market Outlook: Bearish, yet Rising Today 48.4% vs Yesterday 46.3% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

12 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Rising Trend Today 25% vs. Yesterday 29% (High 95% / Low -80%)
SPY: Rising Trend Today 18% vs. Yesterday 20% (High 77% / Low -89%)
MDY: Rising Trend Today 13% vs. Yesterday 10% (High 91% / Low -1.16%)
IWM: Rising Trend Today 20% vs. Yesterday 19% (High 71% / Low -67%)
QQQQ: Rising Trend Today 19% vs. Yesterday 18% (High 54% / Low -43%)
SMH: Rising Trend Today 10% vs. Yesterday 8% (High 48% / Low -53%)
IYT: Rising Trend Today 48% vs. Yesterday 49% (High 80% / Low -95%)
XLE: Rising Trend Today -0% vs. Yesterday -4% (High 69% / Low -60%)
XLF: Rising Trend Today 1% vs. Yesterday 3% (High 45% / Low -58%)
IAI: Rising Trend Today -9% vs. Yesterday -11% (High 55% / Low -65%)
IYR: Rising Trend Today 35% vs. Yesterday 40% (High 64% / Low -85%)
XHB: Rising Trend Today 15% vs. Yesterday 10% (High .69% / Low -.56%)
(MktMetrics.com tracks 108 Exchange Traded Funds for our subscribers)

Stock Market Plurality: (a short-term overbought/oversold indicator)
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Falling Trend Today 84 vs. Yesterday 109 (High 367 / Low 3)
Demand Factor "0": Falling Trend Today 13 vs. Yesterday 18 (High 360 / Low 7)

Information provided by http://www.mktmetrics.com/
A Strategic Collaboration with TigerSoft.com
http://www.tigersoft.com/DG/TigerSoft-Blog.htm

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

Wednesday, April 02, 2008

Stock Trading Ideas Thursday April 3 2008

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

Nightly Analysis Update

DIA Probability of being "Up" Thursday: 77%
DJIA Probability of being "Up" Thursday: 66%
(DIA & DJIA are weighted differently)
DJIA Trend: Rising 77% vs. 74% prior day (distribute stocks)
DJIA Trend Change: To "Up" from "Down" Tuesday 4-1-08
DJIA Momentum: Falling 45% vs. 48% prior day
DJIA Outlook: Bullish Rising Today 53% vs. 50% prior day
Stock Market Outlook: Bearish, yet Rising 48.4% vs. 46.3% prior day

Selected Stocks expected to move "HIGHER" Thursday
Buy-Long Day Trading Ideas suggested for April 3 2008
Symbol OFV (Proposed Range) (Price Internal Strength)

Total: 84 - Too many to comment on tonight. Subscribe today to get the data direct.

*OFV: Opening Fair Value

13 Selected Stocks expected to move "LOWER" Thursday
Sell-Short Day Trading Ideas suggested for April 3 2008
Symbol OFV (Proposed Range) (Price Internal Strength)
CHTT
CNB
CROX
CSGS
DBD
EXM
LCAV
NCC
PBY
QID
QSII
SGP
TLT
*Opening Fair Value

Good luck and good trading!

*WEDNESDAY'S RESULTS*
Next Day's Advance Market Decisions- Trading Ideas
$1,000,000.00 Portfolio Performance, Funded: 12-17-2007
Account Value $1,267,318.05 4-2-08 Change +$4,101.18
Account Value $1,263,216.87 4-1-08 Change -$17,750.69
Account Value $1,280,967.56 3-31-08 Change +$682.72
Account Value $1,280,284.84 3-28-08 Change -$8,739.99
Account Value $1,289,824.83 3-27-08 Change +$4,972.10
Account Value $1,284,857.58 3-26-08 Change +$16,925.37
Account Value $1,267,932.21 3-25-08 Change +$3,147.74
Account Value $1,264,784.47 3-24-08 Change +$2,020.74
Account Value $1,262,763.73 3-20-08 Change +$31,109.29
Account Value $1,231,654.44 3-19-08 Change +$13,022.21
Account Value $1,218,632.23 3-18-08 Change +$14,841.06
Account Value $1,204,377.75 3-17-08 Change +$28,121.64
Account Value $1,176,256.11 3-14-08 Change +$33,940.14
Account Value $1,142,315.97 3-13-08 Change +$21,354.85
Account Value $1,120,961.12 3-12-08 Change +$1,451.79
Account Value $1,119,509.33 3-11-08 Change +$27,481.41
Account Value $1,092,027.92 3-10-08 Change -$5,134.00
Account Value $1,097,161.92 3-7-08 Change +$9,260.18
Account Value $1,087,907.11 3-6-08 Change +$4,549.14
Account Value $1,083,363.34 3-5-08 Change +$3,621.89
Account Value $1,079,741.45 3-4-08 Change +$3,973.20
Account Value $1,075,768.25 3-3-08 Change +$2,883.73
Account Value $1,072,884.52 2-29-08 Change +$65,048.93
Account Value $1,007,835.59 1-31-08 Change +$17,581.30
Account Value $990,254.29 12-31-07 Change -$9,745.71

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

Full disclosure:
Long/Short individual stocks and ETFs owned at time of writing by its author-
Short AXP
Short DIA
Short MICC

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.

Stock Market Forecast Wednesday April 2 2008

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 4-1-08 DJIA closed: 12,654.36 +391.47 vs. Prior day: 12,262.89 +46.49
DJIA 21-Day Moving Average: 12,216.09 +18.47 vs. Prior day: 12,197.62 -15.20
(DJIA closed 3.59% above its rising 21-day moving average vs. .54% prior day)

Before the New York Stock Exchange Open
Wednesday April 2 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Wednesday: 43%
DIA probability of closing "Up" Wednesday: 03%
DIA Past 4 Wednesdays: Falling 62.2% / 63.4% / 64.7% / 62.9%
(Lower Open, Higher Close 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 23 vs. Down 8 (+8 vs -2 prior day)
DJIA Trend: Rising Today 74% vs Yesterday 48% (High 97% / Low 0%)
Change in Trend: To "Up" from "Down" as of day 4-1-08 (await confirmation)
DJIA MACD: Rising Today, Buy as of Tuesday 3-18-08 (12,26 computation)
DJIA Momentum: Rising Today 48% vs Yesterday 32% (High 97% / Low 10%)
DJIA Volatility: Rising Today 2.34 vs Yesterday 1.34 (High 6.98 / Low -1.14)
DJIA 50-Day Net Change: Rising Today 495 vs Yesterday -203 (High 1450 / Low -1812)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -1812 3-10-08 (today 495 34.1% of High)

DJIA Resistance Levels: Mean= 12,216 / Intermediate Term 12,430 / Breakout 12,644
DJIA Support Levels: Mean= 12,197 / Intermediate Term 11,993 / Breakdown 11,789

Market Comment:
DJIA closed Tuesday 3.59% above its rising 21-day moving average vs. .54% previously. The daily Dow Trend jumped Monday to a reading of 74. The daily Dow Outlook went positive as it rose to 50 from 48. The DJIA 50-Day Net Change turned up and went positive. Investors should now wait today for confirmation that the Stock Market has truly turned for the better.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Rising Today .06% vs Yesterday -.0% (High .29% / Low -.24%) Mean= -.02% Closed above its Mean, Positive and increasing.

Institutional Money Flow: Rising Today 61% vs Yesterday 29% (High 97% / Low 6%) Mean= 52% Closed above its Mean, Positive and increasing.

Institutional Demand: Rising Today 62.61% vs Yesterday 52.09% (High 86.84% / Low 13.13%) Mean= 50.0% Closed above its Mean, Positive and increasing.

Institutional Inventory: Rising Today 58.35% vs Yesterday 49.00% (High 81.06%/Low 19.77%) Mean= 50.4% Closed above its Mean, Positive and increasing.

Institutional Accumulation/Distribution Trend: Rising Today .13% vs Yesterday -.08% (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: Neutral, yet Rising Today 50% vs. Yesterday 49% (High 89% / Low 16%) Mean= 53.5% Closed near its Mean, negative yet increasing.

Stock Market Outlook: Bearish, yet Rising Today 46.3% vs Yesterday 34.2% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

12 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Rising Trend Today 29% vs. Yesterday -8% (High 95% / Low -80%)
SPY: Rising Trend Today 20% vs. Yesterday -25% (High 77% / Low -89%)
MDY: Rising Trend Today 10% vs. Yesterday -34% (High 91% / Low -1.16%)
IWM: Rising Trend Today 19% vs. Yesterday -4% (High 71% / Low -67%)
QQQQ: Rising Trend Today 18% vs. Yesterday -4% (High 54% / Low -43%)
SMH: Rising Trend Today 8% vs. Yesterday -7% (High 48% / Low -53%)
IYT: Rising Trend Today 49% vs. Yesterday 18% (High 80% / Low -95%)
XLE: Rising Trend Today -4% vs. Yesterday -31% (High 69% / Low -60%)
XLF: Rising Trend Today 3% vs. Yesterday -16% (High 45% / Low -58%)
IAI: Rising Trend Today -11% vs. Yesterday -45% (High 55% / Low -65%)
IYR: Rising Trend Today 40% vs. Yesterday 12% (High 64% / Low -85%)
XHB: Rising Trend Today 10% vs. Yesterday -11% (High .69% / Low -.56%)
(MktMetrics.com tracks 108 Exchange Traded Funds for our subscribers)

Stock Market Plurality: (a short-term overbought/oversold indicator)
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Rising Trend Today 109 vs. Yesterday 30 (High 367 / Low 3)
Demand Factor "0": Falling Trend Today 18 vs. Yesterday 36 (High 360 / Low 7)

Information provided by http://www.mktmetrics.com/
A Strategic Collaboration with TigerSoft.com
http://www.tigersoft.com/DG/TigerSoft-Blog.htm

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

Tuesday, April 01, 2008

Stock Trading Ideas Wednesday April 2 2008

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

Nightly Analysis Update

DIA Probability of being "Up" Wednesday: 03%
DJIA Probability of being "Up" Wednesday: 43%
(DIA & DJIA are weighted differently)
DJIA Trend: Rising 74% vs. 48% prior day (distribute stocks)
DJIA Trend Change: To "Up" from "Down" Tuesday 4-1-08
DJIA Momentum: Rising 48% vs. 32% prior day
DJIA Outlook: Neutral, yet Rising 50% vs. 48% prior day
Stock Market Outlook: Bearish, yet Rising 46.3% vs. 34.2% prior day

Selected Stocks expected to move "HIGHER" Tuesday
Buy-Long Day Trading Ideas suggested for April 1 2008
Symbol OFV (Proposed Range) (Price Internal Strength)

Total: 109 - Too many to comment on tonight.
Now would be a good time to subscribe to get the data direct.


*OFV: Opening Fair Value

Selected Stocks expected to move "LOWER" Tuesday
Sell-Short Day Trading Ideas suggested for April 1 2008
Symbol OFV (Proposed Range) (Price Internal Strength)
CERN
CHTT
CROX
DBD
EEFT
FXP
GLD
IDXX
MDCI
NCC
POSS
QSII
RNOW
SOLF
TLT
TNH
WGO
*Opening Fair Value

Good luck and good trading!

*TUESDAY'S RESULTS*
Next Day's Advance Market Decisions- Trading Ideas
$1,000,000.00 Portfolio Performance, Funded: 12-17-2007
Account Value $1,263,216.87 4-1-08 Change -$17,750.69
Account Value $1,280,967.56 3-31-08 Change +$682.72
Account Value $1,280,284.84 3-28-08 Change -$8,739.99
Account Value $1,289,824.83 3-27-08 Change +$4,972.10
Account Value $1,284,857.58 3-26-08 Change +$16,925.37
Account Value $1,267,932.21 3-25-08 Change +$3,147.74
Account Value $1,264,784.47 3-24-08 Change +$2,020.74
Account Value $1,262,763.73 3-20-08 Change +$31,109.29
Account Value $1,231,654.44 3-19-08 Change +$13,022.21
Account Value $1,218,632.23 3-18-08 Change +$14,841.06
Account Value $1,204,377.75 3-17-08 Change +$28,121.64
Account Value $1,176,256.11 3-14-08 Change +$33,940.14
Account Value $1,142,315.97 3-13-08 Change +$21,354.85
Account Value $1,120,961.12 3-12-08 Change +$1,451.79
Account Value $1,119,509.33 3-11-08 Change +$27,481.41
Account Value $1,092,027.92 3-10-08 Change -$5,134.00
Account Value $1,097,161.92 3-7-08 Change +$9,260.18
Account Value $1,087,907.11 3-6-08 Change +$4,549.14
Account Value $1,083,363.34 3-5-08 Change +$3,621.89
Account Value $1,079,741.45 3-4-08 Change +$3,973.20
Account Value $1,075,768.25 3-3-08 Change +$2,883.73
Account Value $1,072,884.52 2-29-08 Change +$65,048.93
Account Value $1,007,835.59 1-31-08 Change +$17,581.30
Account Value $990,254.29 12-31-07 Change -$9,745.71

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

Full disclosure:
Long/Short individual stocks and ETFs owned at time of writing by its author-
Short AXP
Short DIA
Short MICC

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.

Stock Market Forecast Tuesday April 1 2008

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 3-31-08 DJIA closed: 12,262.89 +46.49 vs. Prior day: 12,216.40 -86.06
DJIA 21-Day Moving Average: 12,197.62 -15.20 vs. Prior day: 12,212.82 -22.76
(DJIA closed .54% above its falling 21-day moving average vs. .03% prior day)

Before the New York Stock Exchange Open
Tuesday April 1 Stock Market Forecast

Probability Percent of "Up" at the Close
DJIA probability of closing "Up" Tuesday: 51%
DIA probability of closing "Up" Tuesday: 19%
DIA Past 4 Tuesdays: Rising 55.7% / 54.9% / 54.0% / 56.6%
(DIA & DJIA are weighted differently)

Dow Jones Industrial Average Statistics (Historic High / Low)
Dow 30 + DIA: Falling Today Up 15 vs. Down 15 (-2 vs -6 prior day)
DJIA Trend: Falling Today 48% vs Yesterday 55% (High 97% / Low 0%)
Change in Trend: To "Down" from "Up" as of day 3-27-08 (hold stocks)
DJIA MACD: Falling Today, Buy as of Tuesday 3-18-08 (12,26 computation)
DJIA Momentum: Rising Today 32% vs Yesterday 29% (High 97% / Low 10%)
DJIA Volatility: Rising Today 1.34 vs Yesterday 0.60 (High 6.98 / Low -1.14)
DJIA 50-Day Net Change: Rising Today -203 vs Yesterday -285 (High 1450 / Low -1812)
DJIA 50-Day Net Change: High 1450 5-23-07 / Low -1812 3-10-08 (today -203 -14.0% of High)

DJIA Resistance Levels: Mean= 12,212 / Intermediate Term 12,418 / Breakout 12,624
DJIA Support Levels: Mean= 12,197 / Intermediate Term 11,984 / Breakdown 11,771

Market Comment:
DJIA closed Monday .54% above its falling 21-day moving average vs. .03% previously. The daily Dow Trend fell Monday to a reading of 48. The daily Dow Outlook went negative as it decline to to 48 from 51. The DJIA 50-Day Net Change turned up, but remains negative. Investors should not buy stocks until these numbers turn positive.

Institutional Investor Statistical Trends (Historic High / Low)

Exchange Insiders' Inventory: Unch Today -.0% vs Yesterday -.01% (High .29% / Low -.24%) Mean= -.02% Closed near its Mean, neutral yet flat.

Institutional Money Flow: Unch Today 29% vs Yesterday 29% (High 97% / Low 6%) Mean= 52% Closed below its Mean, Negative yet flat.

Institutional Demand: Rising Today 52.09% vs Yesterday 50.90% (High 86.84% / Low 13.13%) Mean= 50.0% Closed above its Mean, Positive and increasing.

Institutional Inventory: Rising Today 49.00% vs Yesterday 48.77% (High 81.06%/Low 19.77%) Mean= 50.4% Closed below its Mean, negative yet increasing.

Institutional Accumulation/Distribution Trend: Rising Today -.08% vs Yesterday -.12% (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: Bearish Falling Today 49% vs. Yesterday 51% (High 89% / Low 16%) Mean= 53.5% Closed below its Mean, Negative and decreasing.

Stock Market Outlook: Bearish, yet Rising Today 34.2% vs Yesterday 32.3% (High 100.0% / Low 4.8%) Mean= 52.4% (DJIA, S&P 500, Russell 2000 & NASDAQ 100, aggregate)

12 Key ETFs: Above 0% Bullish/Below 0% Bearish (Historic High/Low)
DIA: Falling Trend Today -8% vs. Yesterday -12% (High 95% / Low -80%)
SPY: Falling Trend Today -25% vs. Yesterday -28% (High 77% / Low -89%)
MDY: Falling Trend Today -34% vs. Yesterday -46% (High 91% / Low -1.16%)
IWM: Falling Trend Today -4% vs. Yesterday -8% (High 71% / Low -67%)
QQQQ: Falling Trend Today -4% vs. Yesterday -0% (High 54% / Low -43%)
SMH: Falling Trend Today -7% vs. Yesterday -4% (High 48% / Low -53%)
IYT: Rising Trend Today 18% vs. Yesterday -0% (High 80% / Low -95%)
XLE: Rising Trend Today -31% vs. Yesterday -26% (High 69% / Low -60%)
XLF: Falling Trend Today -16% vs. Yesterday -18% (High 45% / Low -58%)
IAI: Falling Trend Today -45% vs. Yesterday -42% (High 55% / Low -65%)
IYR: Falling Trend Today 12% vs. Yesterday 9% (High 64% / Low -85%)
XHB: Falling Trend Today -11% vs. Yesterday -18% (High .69% / Low -.56%)
(MktMetrics.com tracks 108 Exchange Traded Funds for our subscribers)

Stock Market Plurality: (a short-term overbought/oversold indicator)
100 “High” vs 0 "Low" Demand Factor of 1,000 Stock Universe (Historic High/Low)
Demand Factor "100": Rising Trend Today 30 vs. Yesterday 10 (High 367 / Low 3)
Demand Factor "0": Falling Trend Today 36 vs. Yesterday 73 (High 360 / Low 7)

Information provided by http://www.mktmetrics.com/
A Strategic Collaboration with TigerSoft.com
http://www.tigersoft.com/DG/TigerSoft-Blog.htm

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