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Stocks| Dow| StockFutures| Equity Index | EUROStocks | Bonds | EURO$ | Canada | Japan | UK | FX | Eurex/Euribor| AG | Energy

SP500 | 30 | T | O
SPY | $INX 30 | O

DJ | A |
DJ | $INX 30 | O
DJ | $INX 30 | 10 O

Tech Stocks | Internet | Computer | Semiconductors | Software

Major Indexes | Industry Indexes | Sector Indexes | Sector
Russell 30 | T | O
Midcap | 30 | T | O
OEX 30 | T | O

Nasdaq Strategies July 17, 2001 DOWNLOAD LIFFE

Nasdaq Trend Moving average trend break. Buy on 9 day MA strategy, stop BELOW the 18 day MA. (SP3) | Sell on Trendspotter (T). | Tech Opinion (O) is MIXED | Intraday (30) trade. |

QQQ Trend Trendspotter (T). | Buy on 9 day, stop below 18 day | Tech Opinion (O) is MIXED. | Intraday (30) trade. | 3mo IV | 6mo IV | 1Yr IV | CALL VOL | PUT VOL | C&P VOL | The Street | I VOLATILITY.COM |

Equity Index Spreads

Nasdaq / S&P 500 Sell S&P/ BUY Nasdaq at 450 , with a 50 point risk. Objective to 900 points (SP6)

Dow / S&P 500 Hold short DOW/ long S&P 500 from 8.6 ratio (SP6) risk .10, objective to 7.8 ratio

Dow / Nasdaq Short DOW/ Buy Nasdaq at 6.75 ratio , risking .2. objective was to 5.0 ratio(SP6)

E-50 / Nasdaq We exited long 1 EMini Nasdaq/ Short E-50 from 575, with a 50tick loss (FESP)

VXN| 15 | 30 | Daily |

VIXY| 15 | 30 | Daily |

CBOE Internet Index| 15 | 30 | Daily |

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(312) 634-8786 / email

Quotes| Realtime |@DOW| @Stockfutures| @E50| E-50| @Nasdaq| @| Index| Indices| FX | Q |

Nasdaq | 30 | T | O
$IUXX 30 | O
QQQ 30 | T | O

E-50 | FE 30 FEY 30 | T | | O |

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Major Indexes | Industry Indexes | Sector Indexes | Nasdaq Idexes |
Index Ratios E-50 $20 X 400= $8mm S&P 250 X 1200= $30mm S&P 50 X 1200= $60mm Nasdaq 100 X 2000 = $200mm EMini Nasdaq 20 X 2000 = $40mm Midcap 500 X 450 = $225m Russell 500 X 475 = $237mm S&P 100 X 600 = $60mm DJIA 100 X 10000 = $100,000