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GLD: The trade that shows Arold’s edge

Speed and flexibility. They are two big advantages the Technical Swing model has over mutual funds, says manager Mike Arold.

Archive

GLD: The trade that shows Arold’s edge

by Michael Tarsala
Published June 19, 2012

Apple's stretch of 31 closes below its 50-day was its longest since it ended a 69 trading day streak on December 5th, 2008 (during the depths of the financial crisis).

Outlook

Apple closes back above its 50-day moving average

by Bespoke Investment Group
Published June 19, 2012
May was weak, but holding high yielders helps

Several stocks in the model lost more than 10% for the month, which is highly unusual.

Strategies

May was weak, but holding high yielders helps

by Mark Holder
Published June 18, 2012
Four reasons the stock market may be in trouble

We see four icebergs for the market: Europe's debt crisis, Iran and nukes, automatic US spending cuts, and the end of the Bush tax cuts.

Strategies

Four reasons the stock market may be in trouble

by Paul Franke
Published June 18, 2012

The S&P 500 will see 1,450 by year's end, an 8% gain from here, says Miller Tabak strategist Andrew Wilkinson. He sees more Fed intervention as very likely.

Outlook

Strategist makes the case for stock gains

by Michael Tarsala
Published June 18, 2012

Look at Apple's trading characteristics and its ongoing consolidation before you buy it, says Michael Arold, manager of the Technical Swing model.

Strategies

Wanna buy Apple? Keep this in mind

by A2M Capital LLC
Published June 18, 2012
AIG trades at a discount and is executing on its plan

The large ownership stake of the U.S. Treasury is overhang, but as the business continues to reduce non-core assets it can buy back shares from the U.S. Treasury at below book value.

Strategies

AIG trades at a discount and is executing on its …

by Andrew Schornack
Published June 18, 2012
Best scenario for stocks: Romney win and sound tax and spending plans

The US economy is teetering on the edge of a cliff with mainstream analysts predicting lower than 2 percent growth.

Strategies

Best scenario for stocks: Romney win and sound tax and …

by Patrick McFadden
Published June 17, 2012
How our model scored big with the Ariba takeover

The all-cash offer by German software maker SAP resulted in an instantaneous 25% jump in Ariba’s share price.

Strategies

How our model scored big with the Ariba takeover

by Barry Randall
Published June 17, 2012
Help me understand this Wells Fargo fund

Was there really 'pent up demand' for this?

Outlook

Help me understand this Wells Fargo fund

by Mick Weinstein
Published June 17, 2012

As the Greek elections loom, here's a look at a few stock sectors that may be able to weather Europe-bases weakness better than others.

Outlook

Stocks that may help weather a Greek storm

by Michael Tarsala
Published June 15, 2012
Europe Schmurpe: Look who’s buying stocks

Be greedy when others are fearful: It's something that manager Bob Gay put into action this week in his Earnings Surpise model.

Strategies

Europe Schmurpe: Look who’s buying stocks

by Michael Tarsala
Published June 15, 2012

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