by Dan Gibby | Dec 9, 2018 | Master Trader Advisory Letter Past
In last Monday’s letter, I said that “the short-term bullish price action is encouraging for a continued move higher in the short term. However, intermediate-term, the broader markets still has serious technical issues caused by the recent correction. We don’t want to...
by Dan Gibby | Dec 9, 2018 | Past Weekly Options Letters
The current market environment has been one of the least “reasonable” I can remember. While Friday’s open was a bit choppy, it did not suggest the rout that was about to unfold. If you’re new to the markets, if it’s any comfort to you, this is not normal in any way....
by Dan Gibby | Dec 9, 2018 | ETF Past Letters
The current market environment has been one of the least “reasonable” I can remember. While Friday’s open was a bit choppy, it did not suggest the rout that was about to unfold. If you’re new to the markets, if it’s any comfort to you, this is not normal in any way....
by Dan Gibby | Dec 9, 2018 | Mastertrader Market Results
Since the markets cracked their bullish uptrends in late September, things have been extremely volatile, whippy, and tough to call longer-term market direction, forcing us to trade with shorter horizons. Both new and seasoned subscribers have been pleasantly pleased...
by Dan Gibby | Dec 3, 2018 | Chart of the Week Past
Last week’s Chart of The Week was entitled, “Lessons Learned From Hedge Fund Blowup for Option Sellers – VIDEO.” It discussed a hedge fund blowing up because of the volatility in the oil and gas markets – and the lessons learned as option sellers like us. One week...