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RE: [RT] mail results!



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Thanks 
Ben,
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As 
always I heed your posts because they almost always contain PROFIT nuggets. 
Thanks for your contributions to the list, and keep on 
posting!
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  <FONT face=Tahoma 
  size=2>-----Original Message-----From: profitok 
  [mailto:profitok@xxxxxxxxxxxxx]Sent: Thursday, October 31, 2002 
  7:42 PMTo: realtraders@xxxxxxxxxxxxxxxSubject: Re: [RT] 
  mail results!
  Congratulations Ernie on a Perfect Job
  Now if only  One of the paid services for trading the 
  spoos can duplicate your result,, then we all be rich
  Ben
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    ----- Original Message ----- 
    <DIV 
    style="BACKGROUND: #e4e4e4; FONT: 10pt arial; font-color: black">From: 
    Hill, 
    Ernie 
    To: <A 
    href="mailto:'realtraders@xxxxxxxxxxxxxxx'" 
    title=realtraders@xxxxxxxxxxxxxxx>'realtraders@xxxxxxxxxxxxxxx' 
    Sent: Thursday, October 31, 2002 7:58 
    PM
    Subject: RE: [RT] mail results!
    
    
    If it were possible to trade the 
    cash market, and you had perfect fills the strategy below would have netted 
    you 16.5 S&P points in 
    today's market. Not bad for a day that closed 
    down five points.
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    <FONT 
    color=#0000ff><SPAN 
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    <SPAN 
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    style="FONT-FAMILY: 'Times New Roman'; FONT-SIZE: 12pt; mso-fareast-font-family: 'Times New Roman'; mso-ansi-language: EN-US; mso-fareast-language: EN-US; mso-bidi-language: AR-SA"><A 
    href="http://groups.yahoo.com/group/snpforecasts/";>http://groups.yahoo.com/group/snpforecasts/
    
      <FONT face=Tahoma 
      size=2>-----Original Message-----From: Hill, Ernie 
      [mailto:ernie.hill@xxxxxxxxxx]Sent: Wednesday, October 30, 2002 
      10:08 PMTo: 'realtraders@xxxxxxxxxxxxxxx'Subject: 
      RE: [RT] mail
       Ok Bob, 
      I will take you up on your proposition. This is my plan 
      for trading the S&P tomorrow. Note, all prices are for the cash index. 
      I would not want to be accused of dispensing futures trading 
      recommendations. Standard disclaimers apply do your own research, and 
      consult with your own investment advisor before making any investment 
      decisions.
      If the market should first go up and surpass 894, and 
      then move back down through 894 I  
      would go short with an objective of covering the position upon 
      reaching the target of 885. My initial protective buy stop would be 897.5. 
      If the market moves down below 888.5, but does not reach 885 I would then 
      cover my short as the market moves back up through 888.5.
      If the market should first go down and break 888.5, and 
      then move back up through 888.5 I would then go long, with an initial 
      protective sell stop at 885. The target objective for covering this 
      position would be 897.5. Should the market exceed 894 but fail to reach 
      897.5, I would then cover my position if the market should move back down 
      below 894.
      I would take which ever one of these trades presents 
      itself first. If I am able to succeed with one of these trades, and get 
      the opportunity to take the other trade going back the other direction I 
      would do that too.
      E<SPAN 
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      <SPAN 
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      href="http://groups.yahoo.com/group/snpforecasts/";>http://groups.yahoo.com/group/snpforecasts/<FONT 
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