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05-03-2011, 12:41 PM | #1036 | |
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This is why I never touch stocks like these REDF . http://www.google.com/finance?q=NASDAQ:REDF |
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05-03-2011, 12:42 PM | #1037 |
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05-03-2011, 01:56 PM | #1039 |
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05-03-2011, 01:58 PM | #1040 |
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Yeah exactly why I stopped doing it and too much market manipulation going on as well.
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05-03-2011, 02:34 PM | #1042 |
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Damnit I knew I should have bought it this AM. I wouldn't hold it for long but damn, those were some gains today.
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05-03-2011, 03:06 PM | #1043 |
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PAYDAY!! ...SLV...loving ever second of it! +700% yest...another +333% today...ill take it
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05-03-2011, 04:31 PM | #1045 |
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Sometimes I don't know what is more gratifying....making a nice profit on a good stock pick, or selling a stock right before it pulls back.
I sold SLV and CHK right before they both fell over 5% today.
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05-03-2011, 05:22 PM | #1046 |
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5 figure losses on the day.... not a happy camper!
I don't want to panic and sell, but I feel like I could possibly cut some losses. Any advice? Maybe I should selectively unload some heavy losers and wait for them to bottom out and then reload them to cash in on the "bounce back" that hopefully will occur?
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05-03-2011, 05:30 PM | #1047 | |
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05-03-2011, 05:32 PM | #1048 |
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Actaully I'm not even in silver... A couple related companies though. Major losses came from just stocks, I can hold on and just be patient pretty sure they will recover, but then again I'm considering selling and rebuying at a lower price to increase my profit margins.... although now that I think about it, this could be a risky play because there's not telling when the bounce back will be.
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05-03-2011, 05:39 PM | #1050 |
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SAAMEE SAAAMEE
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05-03-2011, 05:40 PM | #1051 |
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05-03-2011, 05:41 PM | #1052 | |
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05-03-2011, 05:47 PM | #1053 | |
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My holdings are not very likely to goto 0 since they are all major companies, I will just suck up todays losses and be happy for my gains. I'm no longer in panic mode, shit happens right? LOL.... maybe I'm just trying to feel better. I will now do some analysis and make some decisions for the rest of the week.
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05-03-2011, 07:21 PM | #1054 | |
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I usually set a trailing stop loss on all my positions to reduce the amount of bleeding. If something starts plummeting, I try to get out around 10-20% down, and it really depends on the stock. Plus, if you've held the stock for a while and it's made steady gains, the triggered stop loss might still put you in the positive, just not AS positive as if you sold higher. Sometimes it'll be a bad move, but I generally like to think that if I have to hold onto something for a very long time in order to break even, that my money could have been used elsewhere for gain. Hence I just cut out early even if it's at a small loss, and consider the opportunity cost of having my money elsewhere.
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05-03-2011, 07:35 PM | #1055 | |
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I'm still VERY VERY well in the positive in my holdings... I just lost a pretty big chunk in one day so it's quite bothersome. The chunk could have paid for every mod possibly for my e92... maybe I should have sold and just modded haha. But oh well.. I've decided to hold out for the rest of the week and see how things go and then make some moves near the end of the week.
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05-03-2011, 07:45 PM | #1056 |
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Quote i just read... "Like Jesse Livermore says, it's not the buying or the selling, but the holding that makes you all your money."
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