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Strategies & Market Trends : Free Float Trading/ Portfolio Development/ Index Stategies

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From: dvdw©5/28/2007 12:49:09 PM
of 3821
 
Today is a good day to complete the updating of Free Floats across the SIP and certain prospective issues. I would also recommend printing 5 year charts on all issues, add these to your own fact books per issue.

Because of the persistent alternation algorithm, and the period we are in, the next sixty days should be stalked as Sideways trending, allowing us to seek the "primary goal" for sideways and negative trending markets.

It is the only rational thing to do. Because the window includes several back to back cycles, entering too early, full positions, invites rinse.

The best potential is fractional deconstruction in the time frame of projected lows. Sitting in between, while counting during the Obfuscation phases.

Alternation algorithm is working across all organic portfolios, an investors task is best served by stalking the lowest points closest to time windows, noting that the R2k S&P and Large Caps are on subtle different closures, and thus let the alternation points flip flop until your own sense of intuitive Valuation is reached.

Every 1st & 3rd month of any quarter has a Higher Rubiks potential, while its becoming apparent that the mid month is useful in rolling out the preferred macro tone targeting for the broader market complex. Often these drives to create "issue momentum" fail; as the gross market participation rejects the substance being served.

Its clear when they succeed, volume is the best metric for identifying contradictions. Knowing the average system contributions routines, are most helpful in debugging intent. Your awareness of your Free Floats is mandatory, in categorizing the nature of that intent.
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