Attach is chart of the crb index going back
many years
as you can see the red line kept you long for over
5 years and got stopped out only 5 times during this major run up
one contract is only 2500 margin with profits of
$250000,
last few month shorting 1 contract made you
200000,
we are now at 2002-2003 price level
how is this going to effect
sp500?
europe, asia, up ,trading today,
happy thankgiving
Ben
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