AFUND GLOBAL OPPORTUNITIES
10/12/2000 100050 was our Major buy number on DJIA-Platinum Alert
We are buying our stocks, but here you can buy indices of any kind.
IF broken however, watch out. Still 70% chance of a major rally tomorrow
30% chance of a crash. Buy stocks and be safe- trade the index
9/5/2000 Short dollar & Yen and US stock markets or buy Euro assets.
5/10/2000:
Big Bloody day in the markets
PLAY hard today!
12/07/99: We believe the keydates for 2000 will be: January 21,
May 5-28 and October 10.
9/28: TRADING BUY: Buy Homestake Mining (10 3/8) Sell AOL
102 +
We think HM going to 12-15 and AOL to 90-80 by end of October
8/25 Sell us bonds 5.90 OB to 6.40 this fall
Date: 8/6/99 WE ARE MAXIMALLY SHORT
POSITION YOURSELF BIG TIME, IF YOU HAVE QUESTIONS CALL
SHORT SELL, SHORT SELL!
HOLD OVER THE WEEKEND
Date: 4/8/99
1. First Nikkei short today/tonight. Our eventual target
is 12,222.
However, the bigger move starts in May so play this a little cautious.
2. Oil update. Oil has dropped $1 from our last alert.
We maintain this for one-two weeks, and then begin to BUY. Fair value
is currently 14-16 however,
this will change to 14.50 to 16.50 and then 15-17 over the next quarter.
Date: 2/1/99 BRAZIL
Today we like the Real at 2.0 or better and would be buying them.
This is a quick play to 1.85 maybe even 1.70.
We don't like the stock market with the possible exception of exporters
like ARA which are US investor favorite.
(2) Our Four key projected dates for 1999 are: January 11, March
25, July 1 and November 5.
Note: in 1998, two of our three key dates were July 20 and October
10.
(1) Major Bond Hedge from 4th Qtr 1997 on was "Buy US Bonds/Sell Canadian
Bonds".
Over the next few months, our 1999 Hedge becomes "Buy British Bonds/Sell
US Bonds".
It also goes without saying that the usual DISCLAIMERS
apply.