September 2016 – JenkinsRM

Archive for September 2016

S&P Update

I resold some S&Ps here short as we are high within the 4 hour cycle and back to 200 ma on the hourly. My Risk or stop area I’m still using is the 2160/2170 area and on the downside I’ll look to cover back toward the 30 hour mov avg on the 4 hour around…

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S&P Update

I resold some S&Ps here short as we are high within the 4 hour cycle and back to 200 ma on the hourly. My Risk or stop area I’m still using is the 2160/2170 area and on the downside I’ll look to cover back toward the 30 hour mov avg on the 4 hour around…

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Dollar Update

The dollar index remains in a bullish posture and the key pivot for me will be the resistance above at 96.25/96.50 zone. This is also where Pi is on the Daily. If we can get a daily closing and then a weekly closing above this area, we should see a move back to the top…

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New Position on Natural Gas

We are going to build a new core long position in Natural Gas. We will play this position as a hedge against our Core long-term short on both Crude and Brent. Its not a perfect correlation as nothing is but we will trade around the edges on the charts and cycles to play Nat Gas…

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