Tutorial Date:
Sunday, Jan 28, 2007 - Final Edition!!!
Valid until Market Close: Friday,
Feb 2, 2007
Bookmark this page -or- add it to your Favorites as your weekly starting spot
This Week's Lesson Overview
This page provides a summary overview of this week's tutorial.
A link to the detailed discussion of each Step is located at the bottom of this
page.
Step #1 - Determine Market
Direction
Removes most of the doubt about market conditions.
We are experiencing Stage 4 Uncertain Market readings
for both the NYSE and the NASDAQ. We show you precisely how we arrived at those conclusions, help you understand why that knowledge is important, and
how to use it in conjunction with Steps #2 and #3.
Step #2 - Observe the Exit Signals
Removes the doubt about
when to terminate individual stock holdings.
Our Universe is reporting a total of
74 Sell and Cover signals on stocks this week.
We show you what to look for.
Step
#3 - Create New Positions
Removes the doubt about whether
timing is right to Buy or Short an individual stock.
We show you how we evaluate potential
portfolio positions.

Step
#4 - Tighten-up the Stops
Don't jump out of the plane (invest)
without a parachute (safety-net Sell-Stop or Cover-Stop).
Observe a real-time adjustment to
the Sell-stop level on one of our Portfolio stocks. We show you how we adjust our Stops
to reduce downside risk and lock-in profits.
Professor
Profit's Portfolio
Ultimately, it comes down to results. Here's
where we stand in our model portfolio:
|
Current Holdings as of Tutorial Date: |
|
|
|
Gain in Market Value |
= |
+ 26.5% |
|
|
|
|
Annualized Rate of Return |
= |
+ 25.6% |
|
|
|
|
Comprised of 2
Long Positions & 1
Short Position |
That concludes the weekly overview. Ready for details? Please
proceed to . . .
First Step of the Tutorial:
|