by Cameron Reilly | Jun 22, 2021 | Investing Podcast, Podcast Episodes
With the ASX in free fall, we talked about ATL’s sell line, selling VUK, some new stocks to hit my scorecard, including CLX, NGE, VTG and SHJ, Tony’s SOTW (KSC), comparing using MACD as a charting tool to the 3PTL, more thinking about how to use the new flatline rule, how to use indicators to pick a conservative stop loss, routines for maintaining a portfolio, and the Woolworths demerger.
by Cameron Reilly | Mar 18, 2021 | Blog, TK-journal
Stocks with new figures that remain on the Buy List: Myer (MYR) QAV score of 0.54 Medusa Mining (MML) QAV score of 0.54 NGE Capital (NGE) QAV score of 0.37 Capral (CAA) QAV 0.46 COG Financial Services (COG) QAV 0.40 Image Resources (IMA) QAV 0.41 (Fudged Buy Line)...
by Cameron Reilly | Jan 20, 2021 | Blog, TK-journal
I was reading this article by Tim Treadgold in the Eureka Report today and it alerted me to check on the thermal coal price in Indexmundi. Like a lot of other commodities, coal is now in a 3 point uptrend. So, I reviewed the watchlist for energy and materials...