All posts tagged "stock market advantage"

  • Fear Index Hits All-Time High

    The Tactical Timing System Fear Index reached a peak of 10 today; the highest reading ever recorded. This reading is higher than the peak reading of 9 reached at the bottom of the last bear market on...

    • Posted October 17, 2008
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  • Buy Signal

    The Tactical Timing System generated a buy signal at the close today. To comply with the system the following positions will be purchased tomorrow at the market opening price. Aggressive Portfolio: Pepsico (PEP) 4% Allocation Eni S.p.A....

    • Posted October 16, 2008
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  • Morgan Stanley Emerging Markets Debt (MSD) Purchased

    On September 11, 2008, Morgan Stanley Emerging Markets Debt (MSD, 8.92) was purchased with a portion of the cash balance in the conservative portfolio. MSD now represents approximately 6.3% of the portfolio. The remaining cash balance should...

    • Posted September 13, 2008
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  • Cedar Fair L.P. Sold

    *** A unilateral decision was made today to sell Cedar Fair L.P. (FUN) from the conservative portfolio due to FUN’s deteriorating financial condition. ***

    • Posted August 6, 2008
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  • Buy Signal

    The Tactical Timing System generated a buy signal today. To comply with the system the following positions will be purchased: Aggressive Portfolio: Arctic Cat (ACAT) Harley Davidson (HOG) United Healthcare (UNH) Walgreen (WAG) Wyndham Worldwide (WYN) Conservative...

    • Posted July 15, 2008
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  • Macy’s and Sanofi Aventis Purchased

    As part of the buy signal generated on June 20th, Macy’s (M, 20.89) and Sanofi-Aventis (SNY, 32.59) were purchased on June 23rd for the aggressive portfolio. A limit order was entered for Heineken (HINKY) at 25.40, but...

    • Posted June 24, 2008
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  • Stock Market Advantage Logo

    • Posted August 7, 2007
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  • Current Holdings/Allocation

    Aggressive Portfolio: Conservative Portfolio:

    • Posted July 28, 2007
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  • Portfolio Performance Update

    The results in the table above indicate the Tactical Timing System has performed better over the longer term than the shorter term periods. This is due to the system moving to a more conservative posture as the...

    • Posted January 29, 2007
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  • Buyout of Symbol Technologies

    The aggressive portfolio recently received an injection of cash from Motorola’s buyout of Symbol Technologies at $15 per share. Likewise, Ace Cash Express was taken over a few months ago. The cash from the buyout of Ace...

    • Posted January 12, 2007
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