The VIXEN and MOZ signals for Monday are flat.
Later in the week we'll look at the VIXEN studies of QLD (QQQ ultra bullish ETF) and a bigger look at TBT (TLT inverse ultra).....both with attractive risk/reward profiles. As I explore the trading possibilities using an algorithm based on volatility rather than price I'm surprised to find some issues have a great response while others, very similar in sector, have less than attractive profiles.
So far our little VIXEN portfolio is comprised of VIX, QLD, EWZ, TBT and a couple high profile stocks yet to be fully vetted. Thus we look at a trading spectrum of pure volatility, sectors, countries and bonds....just to diversify our focus at profit opportunities.