These can also be appropriate for longer-term traders if the trend (up or down) is relatively consistent. If you would have bought SKF in January 2009 and sold in March 2009, you would have done well.
Marc, What is the counter-party risk? Can you elaborate?
Too Many Headwinds for United Online [View article]
Can you comment on the quality of UNTD management/leadership? My understanding is that it is top-notch and that it lead to the purchase of FTD to boost revenue and earnings. It seems like this acquisition strategy will be something to look for going forward as growth catalyst.
Four Reasons We're Headed Even Higher [View article]
"Don’t be fooled by the Geithner bottom"
The rally has been driven off the March lows by several misleading factors: 1) the stress tests (not realistic), 2) cheerleading by the Fed ("green shoots" - where are they?), and 3) shallow, incomplete, and incorrect presentation of economic data by mainstream media.
When these factors are exposed for what they are we will be back to March 2009 levels and below.
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Latest | Highest ratedLong or Short the Financials? [View article]
Marc, What is the counter-party risk? Can you elaborate?
Smith Micro's M & A Strategy: Patience Paying Off [View article]
Too Many Headwinds for United Online [View article]
Four Reasons We're Headed Even Higher [View article]
The rally has been driven off the March lows by several misleading factors: 1) the stress tests (not realistic), 2) cheerleading by the Fed ("green shoots" - where are they?), and 3) shallow, incomplete, and incorrect presentation of economic data by mainstream media.
When these factors are exposed for what they are we will be back to March 2009 levels and below.
Horizon Lines: Full Steam Ahead? [View article]