Home › Forums › Financial Markets/Economics › Have The Federal Reserve Or Prime Brokers Ever Tried To Manipulate The Stock Market?
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September 27, 2009 at 6:56 PM #462415September 27, 2009 at 7:33 PM #461603Chris Scoreboard JohnstonParticipant
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Large Funds are momentum players typically so they tend to buy on strength and sell on weakness. As a result 20 and 40 day highs and lows tend to be their entry and exit points. They are basically the accelerators of the trend, so when we have a situation like this with an extended move, if we get pullbacks to those levels, we often see them exit at these levels. Just like anything else, nothing is 100% but in general this is how they roll.
September 27, 2009 at 7:33 PM #461798Chris Scoreboard JohnstonParticipantEqualizer
Large Funds are momentum players typically so they tend to buy on strength and sell on weakness. As a result 20 and 40 day highs and lows tend to be their entry and exit points. They are basically the accelerators of the trend, so when we have a situation like this with an extended move, if we get pullbacks to those levels, we often see them exit at these levels. Just like anything else, nothing is 100% but in general this is how they roll.
September 27, 2009 at 7:33 PM #462141Chris Scoreboard JohnstonParticipantEqualizer
Large Funds are momentum players typically so they tend to buy on strength and sell on weakness. As a result 20 and 40 day highs and lows tend to be their entry and exit points. They are basically the accelerators of the trend, so when we have a situation like this with an extended move, if we get pullbacks to those levels, we often see them exit at these levels. Just like anything else, nothing is 100% but in general this is how they roll.
September 27, 2009 at 7:33 PM #462215Chris Scoreboard JohnstonParticipantEqualizer
Large Funds are momentum players typically so they tend to buy on strength and sell on weakness. As a result 20 and 40 day highs and lows tend to be their entry and exit points. They are basically the accelerators of the trend, so when we have a situation like this with an extended move, if we get pullbacks to those levels, we often see them exit at these levels. Just like anything else, nothing is 100% but in general this is how they roll.
September 27, 2009 at 7:33 PM #462420Chris Scoreboard JohnstonParticipantEqualizer
Large Funds are momentum players typically so they tend to buy on strength and sell on weakness. As a result 20 and 40 day highs and lows tend to be their entry and exit points. They are basically the accelerators of the trend, so when we have a situation like this with an extended move, if we get pullbacks to those levels, we often see them exit at these levels. Just like anything else, nothing is 100% but in general this is how they roll.
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