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This is what happened today for the most part. I locked my profits and went to the G Fund for Monday based on a possible pull-back and Penny payout.Perfect play would be Report is weak, causing the US DOLLAR to fall and hopes for the FED to cut would rally the market. Best of 2 worlds...higher EURO/YEN and higher USMs.
Will we get an FV today or will it be even?
G 11.90 even
I 24.40 +.20 (+0.83%)
That's all she wrote!![]()
nice little profit today![]()
Ok, that's twice this week that we have gotten 1-2 pennies extra in the I fund. What kind of math is Barclay using? Not that I'm complaining...![]()
Could it be capital gains or dividends?
Several reasons....the DJIA did not rally, the Yen held its ground,penny payout,and I think there will be a red Monday.You had mention that you might stay for Monday. What made you change your mind?
Ebb, I'm curious, when your spin chart misses a big gainer day like fri, is there any particular reason that you can point to? How
Early estimate: +.600 or +15 cents.
As of 3pm EST EFA is only up $.11