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goferit

goferit
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  • Bullish On Silver Prices? Why This Panther Could Be 'Great' For You [View article]
    Today CME announced $SLV, $GLD margin requirement will be DECREASED about 13% lower effective next week Feb12. Will this be a catalyst for a break-out to the upside?
    Feb 7 07:42 PM | Likes Like |Link to Comment
  • Will Disney Save Netflix? [View article]
    Seems the bears are scrambling to stop the short squeeze!
    Dec 10 11:24 PM | Likes Like |Link to Comment
  • Worry About Netflix [View article]
    Today's NFLX multi-year agreement with DIS could be a short covering catalyst game changer!
    Dec 4 02:36 PM | Likes Like |Link to Comment
  • Playing QE3 With SLV [View article]
    Why attack Iraq?.....The USA already did that!
    Aug 31 01:27 PM | Likes Like |Link to Comment
  • Green Mountain Warns, But Announces Buyback [View article]
    GMCR.....ACCOUNTING IRREGULARITIES....UNDER INVESTIGATION BY THE GOVT!.....NOT WISE TO BUY STOCKS UNDER THESE CONDITIONS.
    Aug 1 11:08 PM | Likes Like |Link to Comment
  • Why We Are Buying Apple And Expedia, Why We Are Shorting Joy Global And Fastenal [View article]
    Why is your AAPL "target" just 1% above your entry? This is nuts!
    Jul 4 04:40 PM | 1 Like Like |Link to Comment
  • Use Options To Go Long Apple Earnings And Earn 43% Return With Controlled Risk [View article]
    maybe it's better to buy straddles or strangles AFTER the day of earnings when IV has dropped and stabilized. Buying prior to earnings usually results with an instant loss of investment....generally the option that goes down (loss) is far greater than the option that goes up....eg: If stock goes up (say 10%) day after earnings.....the put option has bigger % loss than the call option....therefore, net investment is decreased.
    Jul 4 04:40 PM | 1 Like Like |Link to Comment
  • Market Update: S&P 500 Trading Range Breakdown And Key 'Risk Off' Indicators [View article]
    I think staying short until a capitulation sell-off or an unlikely FED or ECB action is a reasonable short term strategy. No telling if it happens as soon as next week or later. The TRANSPORTs and RUSSEL2000 indexes have broken down thru their 200 day moving averages....hence likely that the SPY and other indexes could follow. Question is.....will a near term bounce happen first or not?
    May 20 11:18 PM | Likes Like |Link to Comment
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