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FUTURESWINGS for 11.01.07 trading Session!

Larry Swing is the President of the popular day and swing trading site www.mrswing.com a place where you can find free daily articles and videos covering education, market analysis and picks from Larry and other well known traders in the industry.

Daily Trade Signals for All Major Markets
      
incl. Currencies, Forex, Energies, Financials, Grains, Indices, Metals, Softs
Daily Trading Signals

Up Trend
Down Trend
No Trend

Daily P/L Tracking for Active Signals
Documented TRACK RECORD
2 Week FREE Trial


Nov 1, 2007 -
Signals are generated for tomorrow’s markets based on today’s closing prices and daily statistics.

All signals are entered Market On Close (MOC) or Stop Close Only (SCO).
Not all markets accept SCO or MOC orders, all orders are to be entered at market in such circumstances.

 

Closing prices for 10.31.07
 
 
CURRENCIES
 

DEC EUROCURRENCY CLOSED AT 145.10
POSITION: Long since 142.64 market on close
PIVOT POINT: 143.48 Sell stop close only
TREND DIRECTION: Up as of 10.23.07
OPINION: Overbought and caution is warranted

 

ENERGIES
 
DECEMBER CRUDE OIL CLOSED AT 94.53
POSITION: Long since 82.26 market on close
PIVOT POINT: 89.56 Sell stop close only
TREND DIRECTION: Up as of 10.11.07

OPINION: Take partial profits at 95.28 or better!

 

GRAINS
 
DEC CORN CLOSED AT 375.2
POSITION: Long since 366.2 market on close
PIVOT POINT: 368 Sell stop close only
TREND DIRECTION: Up as of 10.24.07
OPINION: Hold

 

 

JULY SOYBEANS CLOSED AT 1049.5
POSITION: Long since 1034.6 market on close
PIVOT POINT: 1032.0 Sell stop close only
TREND DIRECTION: Up as of 10.30.07
OPINION: Hold

 

 

METALS
 
DECEMBER GOLD CLOSED AT 795.3
POSITION: Long since 743.1 market on close
PIVOT POINT: 776.8 Sell stop close only
TREND DIRECTION: Up as of 10.09.07
OPINION: Overbought and caution is warranted!


SOFTS

 

DEC COTTON CLOSED AT 64.08
POSITION: Short since 64.08 market on close
PIVOT POINT: 64.56 Buy stop close only
TREND DIRECTION: Down as of 10.31.07
OPINION: Hold

 

DEC COFFEE CLOSED AT 134.30
POSITION:  Flat
PIVOT POINT: Flat
TREND DIRECTION: Neutral as of 10.02.07
OPINION: None until further notice!

 


This material is intended solely for information purposes and is not to be construed, under any circumstances, by implication or otherwise, as an offer to sell or a solicitation to buy or sell or trade in any commodities or securities herein named. Information is obtained from sources believed to be reliable, but is in no way guaranteed. No guarantee of any kind is implied or possible where projections of future conditions are attempted. In no event should the content of this market letter be construed as an express or implied promise, guarantee or implication by or from MrSwing or any of its officers, directors, employees, affiliates, or other agents that you will profit or that losses can or will be limited in any manner whatsoever.  Past results are no indication of future performance. All investments are subject to risk which should be considered prior to making any investment decisions. Privacy policy available upon request

 

 

 

 

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by
Larry Swing
May the swing be with you...
visit FutureSwings for more info...

Signals are generated & published daily before market opens based on closing prices & daily statistics. Account trades one FUTURES contract per $25,000 investment.All signals are entered Market On Close (MOC) or Stop Close Only (SCO).

*All Hypothetical #'s & narratives assume profit is taken out at the end of each year. Reinvesting profits would lead to larger gains.

Narratives by Year & in Total

In total from 2003-2007, an initial investment of $25,000 earned $130,313 profit, to end the 5-year period with an account value of $155,313, for a total gain of 487.2% & an average annual gain of 104.3%. The average monthly gain (in 5 years) was 8.1%.

In 2007, an initial investment of $25,000 earned $8,516 profit, to end the 12-month period with an account value of $33,516, for a total gain of 34.1%. The average monthly gain was 2.8%.

In 2006, an initial investment of $25,000 earned $21,717 profit, with an account value of $46,717, a gain of 86.9%. The average monthly gain was 7.2%.In 2005, an initial investment of $25,000 earned $10,682 profit, to end the year with an account value of $35,682, an annual gain of 42.7%. The average monthly gain was 3.6%.In 2004, an initial investment of $25,000 earned $30,080 profit, to end the year with an account value of $55,080, an annual gain of 120.3%, again more than doubling the initial investment. The average monthly gain was 10%.

In 2003, an initial investment of $25,000 earned $59,318 profit, to end the year with an account value of $84,318, an annual gain of 237.3%, more than tripling the initial investment. The average monthly gain was 19.8%.

 

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DISCLAIMER: INDIVIDUAL ACCOUNT PERFORMANCE RESULTS MAY VARY DUE TO A VARIETY OF FACTORS, TO INCLUDE STARTING DATE, ACCOUNT SIZE, COMMISSIONS, PASS-THROUGH FEES, SLIPPAGE & OTHER FACTORS.

PAST PERFORMANCE IS NOT INDICATIVE OF FUTURE RESULTS.THE RISK OF LOSS IN TRADING COMMODITY FUTURES MAY BE SUBSTANTIAL. ONLY RISK CAPITAL SHOULD BE USED FOR SUCH INVESTMENTS. HYPOTHETICAL PERFORMANCE RESULTS HAVE MANY INHERENT LIMITATIONS, SOME OF WHICH ARE DESCRIBED BELOW. NO REPRESENTATION IS BEING MADE THAT ANY ACCOUNT WILL OR IS LIKELY TO ACHIEVE PROFITS OR LOSSES SIMILAR TO THOSE SHOWN. IN FACT, THERE ARE FREQUENTLY SHARP DIFFERENCES BETWEEN HYPOTHETICAL PERFORMANCE RESULTS AND THE ACTUAL RESULTS SUBSEQUENTLY ACHIEVED BY ANY PARTICULAR TRADING PROGRAM.

ONE OF THE LIMITATIONS OF HYPOTHETICAL PERFORMANCE RESULTS IS THAT THEY ARE GENERALLY PREPARED WITH THE BENEFIT OF HINDSIGHT. IN ADDITION, HYPOTHETICAL TRADING DOES NOT INVOLVE FINANCIAL RISK, AND NO HYPOTHETICAL TRADING RECORD CAN COMPLETELY ACCOUNT FOR THE IMPACT OF FINANCIAL RISK IN ACTUAL TRADING. FOR EXAMPLE, THE ABILITY TO WITHSTAND LOSSES OR TO ADHERE TO A PARTICULAR TRADING PROGRAM IN SPITE OF TRADING LOSSES ARE MATERIAL POINTS WHICH CAN ALSO ADVERSELY AFFECT ACTUAL TRADING RESULTS. THERE ARE NUMEROUS OTHER FACTORS RELATED TO THE MARKETS IN GENERAL OR TO THE IMPLEMENTATION OF ANY SPECIFIC TRADING PROGRAM WHICH CANNOT BE FULLY ACCOUNTED FOR IN THE PREPARATION OF HYPOTHETICAL PERFORMANCE RESULTS AND ALL OF WHICH CAN ADVERSELY AFFECT ACTUAL TRADING RESULTS.

 

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