2008 Archives | 2007 Archives | 2006 Archives | 2005 Archives | 2004 Archives 12/28/2007 - Investment Strategy: The Exit Strategy That Nets Big Winners And Reduces Risk In Issue #484, Marc Lichtenfeld describes a simple investment strategy that resulted in a recent 99% win - explaining how to eliminate fear and greed from sell decisions and reduces your risk - while still enjoying upside. 12/21/2007 - LEAP Options: The Pro Strategy That Provides Protection And 177% Profits In Issue #483, Karim Rahemtulla urges investors to shrug off the current stock market malaise, making a bullish argument for investing in LEAP options over stocks. 12/19/2007 - Investment Research: How To Avoid Getting Burned By The Analyst & Banker Tag-Team In Issue #482, Marc Lichtenfeld warns investors about biased investment research that can result from the murky relationship between research firms and bankers. 12/14/2007 - The Weak U.S. Dollar: How To Combat The U.S. Dollar's Demise Through Global ETFs In Issue #481, Karim Rahemtulla discusses the threat to U.S. sovereignty and influence as the Fed continues to cut interest rates and erode the dollar's purchasing power. With foreign firms buying U.S. counterparts at a rapid pace, he advises investors to "go global" and suggests three ways to do so. 12/12/2007 - Investing In The Fear Effect: How To Buy Bargain Stocks When There's Blood In The Streets In Issue #480, Marc Lichtenfeld illustrates how taking advantage of fearful investors gives you a chance to grab quality companies at bargain prices - and positions you for bigger profits when the masses are running for cover. 12/07/2007 - The Bull Calendar Spread: How To Use This Trading Strategy To Bag 133% Now Or 4,900% Later In Issue #479, Karim Rahemtulla introduces readers to the Bull Calendar Spread - a profit-packed variation of the conventional bull spread - and gives a real-life example of how you could use it to rack up gains as high as 4,900%. 12/05/2007 - Ethanol Fuel: How To Combat Rising Food Prices Due To Ethanol's Costly Production In Issue #478, Martin Denholm discusses ethanol fuel's fall from grace, as ethanol production leads to rising food prices and lower crop yields worldwide. 11/30/2007 - Israel's Emerging Market: U.S. Markets Deflate As The Tel Aviv Stock Exchange Rises 254% Since 2002 In Issue #477, Karim Rahemtulla shows investors how to grab great bargains and still make money - turning to Marc Lichtenfeld, who shows how to profit from Israel's emerging market. 11/28/2007 - Fed Interest Rates: Depressed Economy, Inflation Fears & A Weak Dollar Present Problems For Fed In Issue #476, Martin Denholm discusses whether the Fed should cut rates on December 11 amid weakening economic growth and credit concerns and gives investors a portfolio tip to mitigate the risks. 11/21/2007 - Black Friday 2007: Here's A Retailer That Could Profit From The Madness Of The Holiday Season In Issue #475, Martin Denholm reveals which companies, like TJX, may see a little less red than others on Black Friday 2007. 11/16/2007 - The Advance-Decline Line: This Technical Analysis Indicator Will Show You Where The Market Is Headed Next In Issue #474, Jim Stanton draws your attention to a powerful and reliable technical analysis indicator, the Advance-Decline Line, which can tip investors off to a potential market reversal. 11/14/2007 - Retail Services: Here's What To Expect In The Retail Sector's Most Critical Two Months In Issue #473, Marc Lichtenfeld discusses the retail sector during its most critical two months of the year - and provides some insight into what to expect this holiday season, as well as which companies could fare best and those set to struggle. 11/12/2007 - Crude Oil Prices: Here's What An Industry Insider Says Is Next For The Runaway Oil Market In Issue #472, Marc Lichtenfeld discusses the oil market in a week that saw crude oil prices shoot to a record high, turning to an industry insider for some answers. 11/08/2007 - iPhone Release Date: Apple & O2 Launch The iPhone In The U.K. In Issue #471, Martin Denholm previews the iPhone launch in the U.K. this Friday, focusing on O2 - the mobile operator that won an expensive battle to exclusively carry the device. He warns that both Apple and O2 could face problems and highlights two alternatives that could challenge the iPhone. 11/02/2007 - Contrarian Investing Approach: How To Avoid Market Landmines When High Expectations Crush Stocks In Issue #470, Marc Lichtenfeld warns investors about the perils of analyst's high earnings expectations and provides key tips on a contrarian investing approach. 10/31/2007 - The Federal Reserve: Will The Fed's Latest Trick Bring A Treat For Investors? In Issue #469, Martin Denholm breaks down the Federal Reserve's latest monetary policy decision, discussing the various factors that led to another interest rate cut - and gives tips on how to dodge the freefalling dollar and diversify. 10/29/2007 - Better Investing: Steer Clear Of Embellished Earnings With A Position Sizing Strategy In Issue #468, Marc Lichtenfeld focuses on how to become a better investor, with some crucial advice for dodging corporate bullets and maintaining a profitable investment strategy. 10/24/2007 - Spread Trading: Lower Your Cost And Hedge Your Risk In One Profitable Bull Spread Trade In Issue #467, Karim Rahemtulla explains the benefits of spread trading - an options strategy that allows you to lower your purchase cost and hedge risk at the same time - and shows how to execute the perfect bull spread. 10/19/2007 - The Stock Markets: Using ESP To Chart The Next Move As The Indexes Race To All-Time Highs In Issue #466, Jim Stanton uses his ESP system to reveal the latest state of the stock markets, saying that with the indexes cruising through their "worst months," stocks now have to pitch their overbought condition against a historically bullish period - and that could create opportunities for investors. 10/17/2007 - The Indian Rupee: The One Trend That Could Derail The Tech Titans In Issue #465, Karim Rahemtulla visits two of India's thriving tech companies warning that the Indian Rupee's strength versus the U.S. dollar is causing some pain - and a potential buying opportunity. 10/12/2007 - The Economy of India: GDP Growth Is Exploding And Stocks Are Surging... Is It Time To Bet On India? In Issue #464, Karim Rahemtulla offers some impressions from his research trip to India, arguing that despite a flourishing economy and stock market, its dated infrastructure, wealth gap, and volatile emerging market mean there are pitfalls for would-be investors. 10/10/2007 - Contrarian Investing: The Best Investment Strategy You Should Use Today In Issue #463, Marc Lichtenfeld spells out the benefits of employing a contrarian investing approach and says that while you need guts, conviction, and discipline to go against the grain and succeed, time has proven that this is the best way of accelerating your profits. 10/05/2007 - Options Strangle: Your Stock Is Poised For A Big Move... So Strangle Some Profits From It In Issue #462, Lee Lowell explains how strangle options work, using Google as an example, to show investors how to profit from big moving stocks. 10/03/2007 - Stock Market News: Gold & Oil Reach Upside Targets As The Dollar Falls In Issue #461, Martin Denholm looks at the stock market's record-setting start to the fourth quarter and sizes up the prospects for three of the market's biggest drivers - the dollar, gold and oil - to show you where they're headed next. 09/28/2007 - The Nasdaq 100: As The Nasdaq 100 Hits 6-Year Highs, Can The Other Indexes Follow? In Issue #460, Jim Stanton analyzes the current stock market rally, notes that the Nasdaq 100 has hit a new 6-year high, and explains where the indexes are headed. 09/26/2007 - The Airline Sector: Airlines Are Headed For The Bermuda Triangle... Time To Bail Out? In Issue #459, Marc Lichtenfeld discusses the problems facing the airline sector - with airline stocks set to tumble - investors may want to keep it on their radar. 09/21/2007 - Option Straddles: Don't Worry Which Way Stocks Are Headed… Here's How To Play The Upside And Downside In Issue #458, Lee Lowell discusses option straddles as a way to profit on the upside or downside of stocks, using Google as an example of this investing strategy. 09/19/2007 - Investing In The Stock Market: You Work Hard For Your Money, Now Make Sure It Works Hard For You In Issue #457, Marc Lichtenfeld discusses investing in the stock market, how to make your money work hard for you once you've earned it - and gives some tips on how you can manage your money more effectively. 09/14/2007 - iPhone Price: Steve Jobs Scrambles As Vodafone Launches MusicStation In Issue #456, Martin Denholm looks at the recent controversy over Apple's sudden iPhone price cut, wondering whether Apple has lost its customers' trust, and offers Vodafone's new product MusicStation as an alternative. 09/12/2007 - Emerging Markets: Four Ways To Cash In On The "Made In China" Debacle In Issue #455, Marc Lichtenfeld discusses yet another recall of toys "Made In China" and the growing damage this is doing to China's image. As businesses and consumers become more wary, he highlights three other emerging markets and four ways that investors can profit. 09/10/2007 - The Bank of England: How To Profit From The Credit Crunch And Subprime Woes In Issue #454, Martin Denholm comments on the Bank of England's first cash injection into the market to help ease the global credit crunch and mentions two profit opportunities for investors. 09/05/2007 - Smart Money: The Best Way To Blaze Your Own Money Trail In Issue #453, Marc Lichtenfeld reveals the best way to achieve smart money investment success, noting that sensible financial responsibility and measured spending correlate to a contrarian investment approach and can help boost your chances. 08/31/2007 - Recent Home Sales: We've Reached A Real Estate Tipping Point... Get Out Now In Issue #452, Marc Lichtenfeld looks at the latest housing data and says that with more houses on the market than ever and foreclosures soaring, the market is at a "tipping point," with sellers scrambling to dump houses at a lower price - and has advice for those looking to sell. 08/29/2007 - Alternative Energy Sources: How To Profit From The World's Carbon Dioxide Dilemma In Issue #451, Martin Denholm discusses the problem of greater carbon dioxide emissions as the global population grows and industry works to satisfy demand - and reveals how some innovative companies are carving out a potentially lucrative niche, using new technology to turn the gas into an energy resource. 08/23/2007 - Futures Commodities: How To Invest In The Volatile Commodities Market In Issue #450, Lee Lowell explains the benefits of investing in futures commodities and futures options, busting myths and misconceptions, and shows you how simple supply and demand and increased volatility can actually help predict profits in a way that you cannot do with stocks. 08/21/2007 - Bear Market Investing: Don't Get Burned By Bears... Here's Your Five-Point Plan In Issue #449, Marc Lichtenfeld discusses the Federal Reserve's response to the stock market's recent wild volatility and gives investors a five-point "bear market investing plan" to deal with - and actually profit from - the current climate. 08/20/2007 - Made In China: How To Profit From China's Tarnished Toys & Outdated Infrastructure In Issue #448, Martin Denholm takes a contrarian view on China and notes that Mattel's mass "Made In China" toy recalls, the slowdown in industrial production and the end of aviation industry expansion could lead to a stock market pullback - and gives investors a chance to profit. 08/15/2007 - The Real Estate Market: Four Ways To Protect Yourself As The Housing Bubble Bursts In Issue #447, Marc Lichtenfeld draws comparisons between the dotcom boom-bust cycle and the real estate market correction - but says this one is far worse. 08/10/2007 - The Global Economy: U.S. Sub-Prime Mortgage Meltdown Affecting World Markets In Issue #446, Martin Denholm reports on the European Central Bank's decision to pump 94.8 billion euros into the global economy, as major companies tumble in the wake of the U.S. sub-prime mortgage meltdown. 08/08/2007 - Stock Watch List: How To Track The Best Stocks And Win In Issue #445, Marc Lichtenfeld discusses the benefits of using a stock watch list - a simple, highly effective way to track stocks, improve your investment success, and put you ahead of the crowd when the time comes to invest. 08/03/2007 - Stock Market Prediction: Fibonacci Retracements Point Towards A Real Correction For This Market In Issue #444, D.R. Barton uses proven technical analysis make a stock market prediction and warns that with the market at a critical point, trading activity in the next few days could determine the story for the next few months. 08/01/2007 - Lee Lowell: How To Make Money In Any Market In Issue #443, Karim Rahemtulla shows that despite the stock market's current volatility, it's possible to make money in any market using the strategies of former NYMEX trader Lee Lowell. 07/30/2007 - The Gold Market: Supply-Demand Issues Set To Send Gold Prices Higher In Issue #442, Martin Denholm takes a look at another commodity in the midst of a supply shortage and demand spike - and says that despite the metal's recent pullback, there are two ways to profit as the trend remains bullish and prices head higher. 07/25/2007 - Successful Trading Systems: How To Find The Cornerstones Of Investment Success In Issue #441, D.R. Barton examines the pros and cons of different trading systems and says that while developing a system is important, it's also crucial to find one that successfully suits your personal investment style. 07/20/2007 - Investing In The Stock Market: Three Factors That Could Buckle The Bulls In Issue #440, Marc Lichtenfeld divulges the three key factors that could signify the end of the current bull market and offers ways to protect your investments. 07/18/2007 - The Uptick Rule: The Biggest Regulatory Change In A Decade & What It Means For You In Issue #439, D.R. Barton, Jr. discusses the end of the uptick rule and how this could have a significant impact on the ease of filling short sales for individual investors. 07/13/2007 - Renewable Energy Resources: How To Profit From Rising Oil Prices & A New Boom In Renewable Fuels In Issue #438, Martin Denholm discusses the supply-demand problems leading to another steep rise in oil prices, and says that not only can investors profit from oil, they can also cash in on the simultaneous boom in renewable energy resources. 07/11/2007 - Trailing Stop Strategies: How To Avoid A $190 Million Portfolio Mistake In Issue #437, D.R. Barton discusses Subway co-founder Fred DeLuca's failed attempt to recoup a $190 million loss from UBS - and says you can avoid this mistake and become a more successful investor by learning to execute two simple concepts: Using trailing stops to cut your losses and taking responsibility. 07/06/2007 - 10-Year Treasury Bonds: Bond Yields March Higher As Fed Shoots Itself In The Foot In Issue #436, Marc Lichtenfeld discusses the rising 10-year Treasury bond yield, telling investors to prepare for a run to 6% and some potential contrarian moneymaking plays, as the Fed stands still on interest rates. 07/03/2007 - July 3rd: A Great Day To Own Stocks & The Story Behind The Stats In Issue #435, D.R. Barton notes that stocks rose once again on July 3, extending the date's impressive recent track record. But he warns that while statistics can sometimes give an important edge, you need to be aware of the full story and base your full decisions on solid arguments. 06/29/2007 - Apple's iPhone: "iDay" Is Here... Can You Play This New Tech Boom? In Issue #434, Martin Denholm focuses on the release of Apple's iPhone and discusses how investors can profit from several other companies in this new tech boom. 06/27/2007 - Trading System Design: Two Critical "Pre-Trade" Functions That Breed Success In Issue #433, D.R. Barton advises against trying to find a perfect, all-encompassing trading system design (that doesn't exist) and says that focusing on your critical setup and entry points can help you drill down and gear your investment strategy towards specific market conditions. 06/22/2007 - The Housing Market: Looking For Bargains? Rent... And Wait Till Next Year In Issue #432, Karim Rahemtulla takes another look at the housing market and warns that, far from seeing the bottom, several major factors mean we’re only 6 months into what will be a rough correction. 06/20/2007 - Market Transitions: The Three Main Market Conditions, and a Plan for Each In Issue #431, D. R. Barton recognizes when the market transitions are on the horizon, traders and investors should periodically review their investing plans. 06/19/2007 - Current Interest Rates: The Inflation Numbers Are Out… Here’s The Bullish And Bearish Spin In Issue #430, Martin Denholm examines the current interest rate disagreement between Fed Chairman Ben Bernanke and bond manager Bill Gross and offers investors a future rate forecast. 06/13/2007 - Stock Market Trading: Two Ways To Eliminate Ill-Advised Stock Investments In Issue #429, D.R. Barton says that although the current market gives investors a heavy trading edge, ask these questions and employ these tips to ensure that you always make quality trades, not costly, time-consuming poor ones. 06/07/2007 - The Stock Market: A Tale Of Two Bulls... 2000 Vs. 2007 In Issue #427, D.R. Barton says the current stock market rally has produced three types of investor - but warns that this overbought bull market isn't the same as in 2000, and reminds investors about some key ways to protect themselves before the pullback or correction hits. 06/06/2007 - Merger & Acquisition Special Report: Global M&A Just Hit $2.2 Trillion In Issue #426, Martin Denholm reports on the blistering record pace of merger and acquisition activity in the U.S. and overseas in 2007 - and highlights some hot sectors and potential M&A targets for you to watch out for on the horizon. 05/30/2007 - Lessons From Warren Buffett: Two Ways To Avoid Getting Burned By "Competition-Style" Investing In Issue #425, D.R. Barton discusses the unusual thinking behind Warren Buffett's search for a successor at Berkshire Hathaway - and warns that "win at all costs, competition-style" investing can be a dangerous approach. 05/29/2007 - Cutting-Edge Technology: The Hottest Trend Of 2007 In Technology & Finance In Issue #424, Karim Rahemtulla demonstrates how to turn the rollercoaster of cutting edge technology investing into accelerated profits. 05/24/2007 - Financial Risk Management: Know Your Risk Tolerance Before You Trade In Issue #423, D.R. Barton exposes financial risk management, a crucial point that many investors ignore, and gives three key tips to help determine your financial risk tolerance. 05/18/2007 - The British Pound: A Dose of Inflation Makes The U.S. Dollar's Pain The British Pound's Gain In Issue #422, Martin Denholm examines the US dollar-British pound relationship and says that strong UK growth and rising inflation could see British interest rates rise further, offering attractive yields to investors. 05/16/2007 - Market Entry Strategy: Three Ways To Grab A Better Entry Price Than "At The Market" In Issue #421, D.R. Barton warns against the simplistic investment approach of buying "at the market" - and shows both long-term and short-term investors how to boost their profit potential from the outset with three professional trading tips. 05/10/2007 - Insider Activity: One of the Very Best Investing Signals You Can Get... Here's How To Use It: Issue #420 by Alexander Green, Chairman, Investment U, (reprinted with permission from Investment U) 05/09/2007 - The Stock Market: Fight The Froth And Battle The Blow-Off... Four Tips To Combat A Toppy Market In Issue #419, D.R. Barton says while the stock indexes are soaring, and investors are excited, rather than follow them blindly into an overbought market, take note of these important "froth indicators" and employ a more prudent course of action. 05/07/2007 - Uranium Prices: Global Fuel Shortage Triggers Blistering Bull Market in Nuclear Energy In Issue #418, Mark Whistler looks at the rampant bull market in uranium prices over the past few years, and says that the shift from fossil fuels to nuclear power, a huge uranium shortage, plus the start of uranium futures trading on the NYMEX, should keep prices rising for the foreseeable future. 05/02/2007 - Global Investing: Legendary Investor Predicts Triple Bubble... Here's Four Ways To Beat It In Issue #417, D.R. Barton notes that renowned money manager Jeremy Grantham is calling for a "triple bubble" in stocks, bonds and real estate - and warns you what to watch for and four ways to protect yourself from any fallout. 04/27/2007 - The Dow Industrials: The "Sell In May" Theory And Where The Markets Could Head From Here In Issue #416, Jim Stanton reflects on another record-breaking day for the Dow... but says the recent run could come to an end if this often reliable May trend occurs again, and gives his up-to-the-minute market forecast. 04/25/2007 - The DJIA Index: As The Dow Goes 14 For 16, Beware The Momentum Indicator Warning Signs In Issue #415, D.R. Barton points out that while the stock market is enjoying a remarkable upward run, he warns investors not to get carried away, as there is a trio of warning signs that could trigger a correction. 04/20/2007 - The Water Industry: Water Wars Begin On The World's Most Precious Resource In Issue #414, Karim Rahemtulla explains how massive population growth and surging water demand has led to severe water shortages in the U.S. and around the world... and reveals how battles over water rights have unearthed some explosive investment opportunities. 04/18/2007 - Successful Trading Rules: Top Trader Michael Guido Reveals 3 Timeless Trading Rules In Issue #413, D.R. Barton passes on three simple, yet highly effective profit-boosting trading rules from one of the best in the business - Societe Generale's head of commodity trading, Michael Guido. 04/13/2007 - Point & Figure Charting: An Accurate Way To Spot Key Stock Trends In Issue #412, Mark Whistler shows you how to use Point & Figure charts to screen out daily market fluctuations, identify trends easier, quicker and more accurately... and know the best places to buy low and sell high. 04/11/2007 - Global Markets Investing: Get 300% More Bang For Your Investment Dollar And Diversify Your Portfolio In Issue #411, D.R. Barton looks at the recent performance of the U.S. market, compared with three world regions - with the results proving that you can boost your returns by diversifying outside the U.S. and employing a global investment strategy. 04/06/2007 - Investing in Commodities: Four Reasons Why Commodity Investing is Better Than Trading Stocks In Issue #410, Lee Lowell argues that the stock market might not be the best place to invest your money - and reveals four key reasons why you should invest in the commodity markets for more predictable profits. 04/04/2007 - Euro vs Dollar: The Three Technical Factors That Point To A Dollar Rebound In Issue #409, D.R. Barton argues that although the U.S. dollar is struggling against other major currencies, there are three important trends that could trigger a rebound... and warns investors against a premature move away from the greenback. 03/30/2007 - Investing Strategies: Enjoy The Pleasure Of Option Investing Without The Pain Of Speculating In Issue #408, Karim Rahemtulla looks at the major differences between investors and speculators, and shows you a simple way to lift your leverage and enjoy steady gains - even by investing less money up front. 03/28/2007 - Housing Starts: The 16-Year Real Estate Party Is Over... More Woe In Store For Real Estate In Issue #407, D.R. Barton analyzes the recent housing data, warning investors to beware of biased reporting, because the worst might be yet to come. With housing starts up, but home sales down, he offers a crucial piece of advice for prudent investors. 03/26/2007 - Greed & Fear: Gauge The Fear And Greed Factor To Boost Your Investment Success In Issue #406, Mark Whistler looks at the two major forces that move the market - and shows you how you can use human emotions to your advantage when investing. 03/21/2007 - Stock Market Direction: This Volatile Market Can Eat You Alive... Here's What To Do In Issue #405, D.R. Barton states that with market volatility returning, it's crucial that investors form a plan to combat it, rather than trying to time the ups and downs. Using three key numbers, he pinpoints the market's short-term and longer-term targets. 03/19/2007 - Stock Market Milestone: Here's Its Spring Synopsis... A 30-Point Range Holds Key To Next Move In Issue #404, Jim Stanton examines the fallout from the 7-month market rally and, while projecting higher intermediate to long-term targets, cautions that with volatility high, a 30-point range will determine the market's next move. 03/14/2007 - Corn Commodity: Cashing In With Sales Up 170% On The Government's Best-Laid Ethanol Plan In Issue #403, D.R. Barton analyzes the corn market, noting that while you can still profit from the industry's upside, ethanol incentives could create excess supply, increase volatility, and pressure on other commodities. 03/09/2007 - The VIX and VXO: How You Could Have Predicted The Market's Recent Meltdown In Issue #402, Lee Lowell shows you how reading the market's two volatility indexes reveals investor fear or complacency - and how you can use this proven indicator to project market moves. 03/07/2007 - Leonardo Fibonacci: Predicting The Stock Market's Next Move With The Fibonacci Sequence In Issue #401, D. R. Barton, Jr. discusses Leonardo Fibonacci's famous number sequence and explains how to use Fibonacci ratios to project market turnaround points, so you can pinpoint when to buy and sell. 03/05/2007 - Penny Stock Options: The New Pricing System Push Towards Pennies Means The Odds Even Out... And Puts More Cash In Your Pocket In Issue #400, Karim Rahemtulla reviews the SEC's new options pricing system... and shares a strategy by which investors can claim greater profits through penny stock options. 02/28/2007 - The China Stock Market: Shanghai Selloff Triggers Global Fallout... But The Warning Signs Were Already There In Issue #399, D.R. Barton, Jr. reacts to the worst day for U.S. stocks in 5 years following a mass Chinese selloff - and gives a key tip for handling what could be the start of a long-awaited correction. 02/23/2007 - Copper Prices: The Bullish And Bearish Case For The Industry In 2007 - And The Smart Profits Investment Approach In Issue #398, Mark Whistler looks at the rise and fall of copper prices, noting how Chinese demand and a U.S. real estate slump could impact prices, and gives investors some key protective investment strategies to combat the developments. 02/21/2007 - Stock Market Trend: 4 Significant Warning Signs Sending Stock Market Into The Danger Zone In Issue #397, D.R. Barton, Jr. examines the stock market's relentless upward run, identifying some major warning signs that could signal an imminent pullback, and giving investors strategies for combating a downturn. 02/16/2007 - Investing In Tactile Feedback: Haptics And Other Groundbreaking Touch Technologies Rumble With Investor Profits In Issue #396, Karim Rahemtulla reviews today's tactile feedback technologies... and how investors can profit from companies in the emerging haptics industry. 02/15/2007 - The Perfect Trading System: 3 Ways To Break The Perfectionism Trap And Find the Blue Rose of Investing In Issue #395, D. R. Barton, Jr. overcomes perfectionism in investing by adding purposeful action to your list of trading and investing tools. 02/09/2007 - Electronic Stock Trading: Electronic Era Poised To Tilt The Odds In Your Favor In Issue #394, Lee Lowell reveals how electronic stock trading is leading to the demise of floor traders... and finally tilting the investing odds in regular investors' favor. 02/07/2006 - Exchange Traded Fund Investments: Four Key Advantages Of Exchange-Traded Funds In Issue #393, D.R. Barton, Jr. exposes Exchange Traded Funds as the fastest-growing market investment vehicle and explains their many powerful and added benefits. 02/02/2007 - Limit Orders: Dodging The Market Maker's Bullet & Side Stepping The Liquidity Trap In Issue #392, Karim Rahemtulla explains the need to look closely at liquidity before investing and how a simple tool like limit orders can help you beat the market makers. 01/31/2007 - Federal Reserve Interest Rates: How To Prepare For A Potential Price Shock In Issue #391, D.R. Barton, Jr. expounds on the Federal Reserve monetary policy announcement today. 01/26/2007 - Crude Oil Prices Per Barrel: Former Market Maker Reveals Where Oil Prices May Be Headed In Issue #390, ex-Market Maker Lee Lowell shares his thoughts on where the price of oil is headed, based in part on the technical analysis theory of Fibonacci sequencing. 01/24/2007 - Improve Your Investing Results: Your 8-Step Checklist To More Successful Investing In Issue #389, D. R. Barton, Jr. delves into how to improve your investing results by making some small changes to your trading strategies. 01/22/2007 - 2007 Market Rally: Where The Major Indexes Are Heading In Issue #388, Jim Stanton discusses the current 2007 market rally - the best 6 months of the year for buying stocks. 01/17/2007 - Position Sizing Stocks: Are You Losing Money On This Popular Investment Strategy? In Issue #387, D.R. Barton, Jr. explains the importance of properly position sizing stocks in your portfolio, and debunks "classic" diversification. 01/12/2007 - Apple Options: Selling Naked AAPL Put Options is the Way to Invest in Apple In Issue #386, Lee Lowell adds excitement to Apple investing by giving examples of how to sell naked AAPL put options. 01/11/2007 - Trade Your Way To Financial Freedom: Reviewing The Holy Grail Of Investing In Issue #385, D. R. Barton, Jr. reviews Trade Your Way to Financial Freedom by Van K. Tharp, sharing 3 core concepts of investing success. 01/05/2007 - Contrarian Investing Strategy: The Most Profitable Way To Invest In 2007 In Issue #384, Jim Stanton proves that a contrarian investing strategy can be profitable when timing your trades against the crowd. 01/03/2007 - First Five Days Indicator: 3 Reasons To Forget This Useless Myth & Follow The Average True Range Instead In Issue #383, D.R. Barton, Jr. breaks down the "First Five Days" Indicator for January, warning that although it's popular, it just doesn't work. 01/02/2007 - Leverage Investments: How To Use Options Delta To Vanquish Volatility In Issue #382, Karim Rahemtulla talks about the power of leverage investments, specifically how to use high-delta options trades for moneymaking opportunities. 2008 Archives | 2007 Archives | 2006 Archives | 2005 Archives | 2004 Archives |