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We will have 3 types of portfolio tables
1. Short term up to 30 days Portfolio
A. Entry
B. Target
C. Stop/loss
#1 Money management stop
#2 Technical violation stop
Added Option Table rules
(Each stock will have the highest probability option trade assigned to the stock as an added feature for those that like to trade options for the short term, money management stop/loss will always be very specific with no exceptions.)
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2. Medium term 45 to 90 day Portfolio
A. Entry
B. Target
C. Stop/loss
#1 Money management stop
#2 Technical violation stop
Added Option Table rules
(Each stock will have the highest probability option trade assigned to the stock as an added feature for those that like to trade options for the medium term, money management stop/loss will always be very specific with no exceptions.)
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3. Longer term 90 to 180+ Portfolio
A. Entry
B. Target
C. Stop/loss
#1 Money management stop
#2 Technical violation stop
Added Option Table rules
(Longer term swings in bullish and bearish market with longer term plays, options can be assigned to these types of patterns but will be less frequent than the above two.)
****Each option will have the highest probability option trade assigned to the stock as an added feature for those that like to trade options for the longer term, money management stop/loss will always be very specific with no exceptions.)
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4. With separating the stocks into their perspective categories we will implement exact stop/loss on all option trades prior to entry. This is to insure each trade is practicing "money management control whether you like it or not. In other words we are going to make you, make money or cut losses regardless what the "pattern, trend, or wave count says". When it comes to options they are a horse of a different color and need religious money management control and supervision.
5. Those trading the stock "pattern" by just owning the equity and not the options have two choices when it comes to stop/loss.
#1 Money management stop will be provided
#2 Technical violation stop will be provided
Once the pattern is identified you will get an educational alert update "prior" to the actual trigger. You will have time to do your own research and due diligence before you even think about execution.
We will be adding the following
**Option Calculators that you type in the index, future, currency, ETF or stock (world markets included) will display the beta, volatility and risk/reward but the actual calls of the trades will go hand in hand with the Trending123.com methodology of pattern, trend and wave identification by our options experts on staff. What we intend to do is raise the bar. We can't stop anyone from trading options if they so chose. So if you plan on doing it you might as stick with the highest probability setups with extra guidance, tools, information and the most relaible accurate date on the net.
Examples
North American Futures This category includes all futures and cash markets in the U.S. and Canada, plus many fundamental and econometric series such as interest rates, housing starts and COT data.
World Futures This category includes everything in the North American category as well as South American, European, Asian, Australian and other world exchanges.
Single-Stock Futures This includes all 600+ single-stock futures available from the database
U.S. Stocks & Indices This is an enormous database of all U.S. stocks and indices. This allows you to view any of the 25,000+ stocks and indices
Non-U.S. Stocks & Non-U.S. Indices This is a collection of mainly London and Toronto stocks and indices. This allows you to view any of the 5,000+ stocks and indices supplied, with a daily cumulative maximum of 7,500 stocks and indices
World Options This category provides futures options and stock index options from the U.S. and other world markets. This allows you to view any of the options series supplied, with a daily cumulative maximum of 49 markets Due to the large volume of data, historical series are limited to one year. (Although when trading options we will focus mainly on the historical data of the past 60 days for that stock, ETF, or Index.
Mutual Funds This category holds an amazing repository of over 16,800 mutual funds.

Cephalon Inc (CEPH on NASDAQ)
Industry: Pharmaceuticals, Biotech and Chemicals |