Thursday, October 10, 2013

What do you think of the new look?  
Perhaps more helpful?


Commentary:

My commentary would go here...








Portfolio
Ticker
Description
Position
Size
Potential Action
CLX
LO
FCX
GE
T
VZ
CLMT
COP
KMI
JNJ
MRK
AAPL
INTC
QCOM
IWM
JTP
JPS
PFF
MHN
BKLN
VTA
VVR


S&P Future
Clorox
Lorillard
Freeport McMoRan
General Electric
ATT
Verizon
Calumet
Conoco Phillips
Kinder Morgan
Johnson  &Johnson
Merck
Apple
Intel
Qualcomm
small stock ETF
Preferred stock (leveraged)
Preferred stock
NY Muni fund (leveraged)
Bank Loans
Bank Loans (leveraged)
Bank Loans (leveraged)


Big cap
+C
+C
+C
+C
+C
+C
+S
+C
+C
+C
+C
+C
+C
+S
+C
+C
+C
+C
+C
+C
+C
+C


-S



S


S


S


B



B
S
S
B


B
B
B


B
S


B


Buy on Dip
Buy
Buy on Dip
Buy on Dip



Buy on Dip
Buy on Dip
Buy on Dip
Buy on Dip
Buy on Dip


Buy on Dip
Buy on Dip
Buy on Dip





Buy on Dip
Sell on Rally


Dip and Rally

Position Codes: +/- Long or short
C Core are key ideas that tend to be stable
S Are speculative and generally small (to keep risk low)
Size Codes: Big, Small and blank for average
Potential Action codes: B Buy -means buy right now
Dip Buy on dip means I am waiting for a pullback
S Sell over the short term
Rally Sell on a rally
Blank no action contemplated


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