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[RT] S&P Observations



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Follow-up:

1.The Triple Indicater System is canned.It does not trade frequently enough 
to make decent money.

2.During the process have observred something interesting:

A.If market opens between 1.0033 times prev. close amd 0.9967 times prev. 
close [e.g. today 1525 amd 1535] and

B.If market touches higer end e.g. 1535 and MRCI premium is neg. by 100 or 
more then sell.

C. If market touches 1525 and premium is pos by 100 or more buy.

Use 4 point stop and 6 point profit target.

This falls more in line with my S/R work.

Sincerely,

John
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