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Home > No. GM-FS(MC): Optimal Finance Trading™ Strategy (momentum) on Financials

No. GM-FS(MC): Optimal Finance Trading™ Strategy (momentum) on Financials

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Current No. GM-FS(MC) PDF Strategy Report
Available July 30, 2009 (Revised every Thursday)

  • Report No. GM-FS(MC) Strategy Goal: Strategies and securities (Stocks) within the databases below (in

    gold

    ) are analyzed for those exhibiting the greatest investing and/or trading probability by having the best relative statistics. Once identified by our analysts, the best probability securities are then highlighted for each strategy! Further report characteristics are the following:
  • Tradable securities (Stocks) identified for the following strategies:

    Bullish (momentum after consolidation), Bearish (momentum after consolidation).


    In all strategies, hold your position until your chosen exit stop has been triggered (then come back to us for another security :-)). If you’re interested, further study of strategies, including ones with capital protective exit stops, can be found at the following sites: At Strategies: From A To Z at Strategies: By Type and at Strategies: Full Systems.
  • Tradable securities (Stocks) identified from the following databases:

    Financial Institutional securities listed on the USA exchanges.

  • Because GM-FS(MC) is a large file, it may take a few moments to open (viewable sample from the gold “PDF Sample Report” link below) or to download (purchased report).

[View GM-FS(MC) PDF Sample Report Available July 30, 2009]

Sample Report: Available July 30, 2009






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