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This is an attempt to determine how much percent of our money should be committed to the Equity Markets based on Market Environment. The factors used to determine this Environment are listed below. 1) WHAT IS THE DOMINANTMARKET 2) THE DIRECTION OF THE HITECHS 3) ADVANCE/DECLINE DOMINANT SUMMATION 4) INTEREST RATE DIRECTION 5) DOMINANT MARKET RELATIVE STRENGTH INDEX 6) DOW TREND LINE DIRECTION 7) NYSE/OTC ADVANCE DECLINE DIRECTION 8) OTC NEW LOWS 9) NYSE NEW LOWS 10) "BEAR" FUNDS DIRECTION/STRENGTH 11) ON BALANCE VOLUME DIRECTION 12) DOMINANT MARKET MCCELLAN OSCILLATOR ENVIRONMENT RESULTS: RISK LOW....30-36 POINTS 100% COMMITMENT MEDIUM...... 26-29 POINTS 75-100 % COMMITMENT HIGH RISK.. 20-25 POINTS 25-50 % COMMITMENT OUT OF MKT.. BELOW 20 00 % COMMITMENT | ||||||||||||
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