Back on Jan. 14, Joy of the Trade’s Jeff Zananiri warned everyone that a big sell-off was coming… Days later, the market tanked and he collected 352% on DGX.
Then again on Jan. 28, he predicted a rebound rally for the week… And he collected 30% on TXN and 11% on XOM — both overnight!
And now, Jeff has his eye on something he says pales in comparison to what we’ve seen the past month…
If you’re one of my long-haulers, then you know large hedge funds are required to submit special quarterly reports with the SEC called a 13F filing. The main idea is to keep things nice and transparent...
And it allows the public to keep tabs on what they’re doing.
But what most people fail to realize is we can use this report to find out the kind of stocks hedge funds are buying.
So let me show you the kinds of tickers large institutions are holding onto… And then I’ll go into even more detail about the stocks they’re buying.
I have a lot of gripes about low-volume options markets like we’re in now...
It can be especially maddening when institutional buyers aren't participating while the rest of us are still trading.
Low trading volume can wreak havoc on liquidity, making the difference between buyers and sellers — known as the “bid-ask” spread — wider than a truck.
For the uninitiated, liquidity is the combination of daily volume and open interest. The higher each of those categories are, the faster a stock or option can be bought or sold without impacting the price.
There are a few more big reasons why options liquidity — sometimes called "order flow" — is important, especially for retail traders.
“Roger, as always, great information. I learned more about the stock market activity in the past month than I ever suspected. Keep the info coming.”
Dennis H.
Short Selling (also known as “shorting,” “selling short” or “going short”) refers to the sale of a security or financial instrument that the seller has borrowed to make the short sale. The short seller believes the borrowed security's price will decline, enabling it to be bought back at a lower price. The difference between the price at which the security was sold short and the price at which it was purchased represents the short seller’s profit (or loss, as the case may be).
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