S&P Online Review Links

S&P Performance Homepage

1) S&P Review Links

1.1)   Chart to define trend, price action above red line = up, below = down
1.2)   Trend confirmation  always trade with the trend, long or short,
1.3)   S&P futures quotes
1.4)   Support resistance for setting profit objectives and risk levels
1.5)   Premium neutral collars to objectively define risk on every trade
1.6)   S&P options quotes
1.7)   S&P trading methodology video & analysis page
1.8)   S&P futures & options educational videos & resources page
* If the chart in 1.1 and the trend confirmation in 1.2 do not agree stand aside, liquidate any existing positions and wait until they do agree to trade.

2) S&P 500 Symbol (ES)

2.1)   1983 – 2018 chart
2.2)   10 Year, Monthly Data
2.3)   3 Year, Weekly Data
2.4)   6 Month Daily Data (ESZ18)
2.5)   10 Day Using 60 Minute (ESZ18)
2.6)   Today using 10 minute bars (ESZ18)
2.7)
  Today using 5 minute data (ESZ18)

2.8)   Today’s Technical Opinion (ESZ18)
2.9)   Ranges & Price Performance (ESZ18)
2.10) Support & Resistance (ESZ18)
2.11) Barchart Quotes, All Deliveries
2.12) Barchart Options Quotes
2.13) CME Futures Quotes, All Deliveries
2.14) CME Option Quotes

2.15) Contract Specifications each 1.00 = $50.00
2.16) Exchange Margin Requirement
2.17) S&P 500 Collar Spreadsheet

3)_Major/Minor Bull, Bear markets 1983 to 2018

3.1) 1983-2018 chart
3.
2) January 1983 – August 1987 Bull 139.72 – 337.89 =+141.83%
3.3) August 1987 – October 1987 Bear 337.89 – 216.47 =-35.93%
3.4) August 1987 – August 1989 Bear to recovery (2 years)
3.5) August 1987 – July 1990 Bull 216.47 – 369.78 = +70.82%
3.6) July 1990 October 1990 Correction 369.78 – 294.51 =-20.36%
3.7) July 1990 – February 1991 Correction to recovery (7 months)
3.8) October 1990 – July 1998 Bull 294.51 – 1,190.58 =+304.26%
3.9) July 1998 – October 1998 Correction 1,190.58 – 923.52 =-22.43%
3.10) July 1998 – November 1998 Correction to recovery (4 months)
3.11) October 1998 – March 2000 Bull 923.52 – 1,552.87 =+68.15%
3.12) March 2000 October 2002 Bear 1,52.87 – 768.63 =-50.50%
3.13) March 2000 December 2007 Bear to recovery (7 years 9 months)
3.14) October 2002 – October 2007 Bull 768.63 – 1,576.09 =+105.05%
3.15) October 2007 – March 2009 Bear 1,576.09 – 666.79 =-57.68%
3.16) October 2007- April 2013 Bear to recovery (5 years 6 months)
3.17) March 2009 – January 2018 Bull 666.79 – 2,872.87 = +330.87%

Major Indices I Trade

4) S&P 500 Symbol ES

4.1) 6 Month Chart, Daily Data
4.2) 3 Year Chart, Weekly Data
4.3) 7 Year Chart, Monthly Data
4.4) Today’s Technical Opinion
4.5) Futures Quotes
4.6) Options Quotes
4.7) Contract Specifications

5) Euro Stoxx 50 Symbol FX

5.1) 6 Month Chart, Daily Data
5.2) 3 Year Chart, Weekly Data
5.3) 7 Year Chart, Monthly Data
5.4) Today’s Technical Opinion
5.5) Futures Quotes
5.6) Options Quotes
5.7) Contract Specifications

6) Stoxx E600 Banks Symbol FA

6.1) 6 Month Chart, Daily Data
6.2) 3 Year Chart, Weekly Data
6.3) 7 Year Chart, Monthly Data
6.4) Today’s Technical Opinion
6.5) Futures Quotes
6.6) Contract Specifications

7) Dax Index Symbol DY

7.1) 6 Month Chart, Daily Data
7.2) 3 Year Chart, Weekly Data
7.3) 7 Year Chart, Monthly Data
7.4) Today’s Technical Opinion
7.5) Futures Quotes
7.6) Options Quotes
7.7) Contract Specifications

8) CAC 40 Symbol MX

8.1) 6 Month Chart, Daily Data
8.2) 3 Year Chart, Weekly Data
8.3)
7 Year Chart, Monthly Data

8.4) Today’s Technical Opinion
8.5) Futures Quotes
8.6) Options Quotes
8.7) Contract Specifications

9) Swiss Market Index Symbol SZ

9.1) 6 Month Chart, Daily Data
9.2) 3 Year Chart, Weekly Data
9.3)
7 Year Chart, Monthly Data

9.4) Today’s Technical Opinion
9.5) Futures Quotes
9.6) Options Quotes
9.7) Contract Specifications

10) Hang Seng Index Symbol HS

10.1) 6 Month Chart, Daily Data
10.2) 3 Year Chart, Weekly Data
10.3) 7 Year Chart, Monthly Data
10.4) Today’s Technical Opinion
10.5) Futures Quotes
10.6) Options Quotes
10.7) Contract Specifications

11) Nikkei 225 (JPY) NL

11.1) 6 Month Chart, Daily Data
11.2) 3 Year Chart, Weekly Data
11.3) 7 Year Chart, Monthly Data
11.4) Today’s Technical Opinion
11.5) CME (JPY) Futures Quotes
11.6) CME(JPY) Futures contact specifications
11.7) JPX Futures Quotes
11.8) Options Quotes
11.9) Contract Specifications

12) ASX 200 Index Symbol AP

12.1) 6 Month Chart, Daily Data
12.2) 3 Year Chart, Weekly Data
12.3) 3 Year Chart, Monthly Data
12.4) Today’s Technical Opinion
12.5) Futures Quotes
12.6) Options Quotes
12.7) Contract Specifications

13) FTSE 100 Symbol X

13.3) 6 Month Chart, Daily Data
13.2) 3 Year Chart, Weekly Data
13.1) 7 Year Chart, Monthly Data
13.4) Today’s Technical Opinion
13.5) Futures Quotes
13.6) Options Quotes
13.7) Contract Specifications

14) Other markets I use this procedure on

14.1) Any of the top 100 performing ETFs on this link
14.2) Any of the top 100 performing stocks
14.3) Any of the 500 stocks in the S&P with options liquidity
14.4) U.S. Futures markets
14.5) European Futures markets

15) Performance, Structure and Fees For This Program

15.1) S&P Performance 2007 – 2018

15.2) About Automated Trading Accounts (ATAs)
15.3) The Fee Structure For This Program
15.3) Defining Overall Risk For Your Account Before the First Trade Goes On
15.4) How Balances Are Guaranteed Plus or Minus Trading Activity
15.5) How To Open An Account

11) Our Top Stock Index ATA Trading Program

12) Metals Analysis & Trends

13) Currency Analysis & Trends

14) Exchanges I Trade 

15) Brokerage 

16) Fee Structure 

17) How Balances Are Protected 

18) How To Define Overall Risk On Your Account

19) Open An Account

20) Schedule a time to review trading programs with me in the sector(s) of your choice.

Regards,
Peter Knight Advisor

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