Paul Rejczak

Paul Rejczak is a stock market strategist who has been known for the quality of his technical and fundamental analysis since the late nineties. He is interested in forecasting market behavior based on both traditional and innovative methods of technical analysis. Paul has made his name by developing mechanical trading systems, and is the author of the Gold Price News at GoldPriceForecast.com, the Silver Price News at SilverPriceForecast.com, and Stock Trading Alerts at StockPriceForecast.com.

Articles by Paul Rejczak

In our opinion, speculative short positions are favored (with stop-loss at 2,050, and profit target at 1,900, S&P 500 index).

Our intraday outlook is bearish, and our short-term outlook is bearish, as we expect a downward correction...
In our opinion, speculative short positions are favored (with stop-loss at 2,050, and profit target at 1,900, S&P 500 index).

Our intraday outlook is bearish, and our short-term outlook is bearish, as we expect a downward correction...
Speculative long positions are favored (with stop-loss at 1,840, and profit target at 1,990, S&P 500 index).

Our intraday outlook is now bullish, and our short-term outlook is bullish. However, our medium-term outlook remains...
Briefly: In our opinion, no speculative positions are justified.

Our intraday outlook is now neutral, and our short-term outlook is neutral:

Intraday outlook (next 24 hours): neutral
Short-term outlook (next 1-2 weeks): neutral...
Briefly: In our opinion, no speculative positions are justified.

Our intraday outlook is now neutral, and our short-term outlook is neutral:

Intraday outlook (next 24 hours): neutral
Short-term outlook (next 1-2 weeks): neutral...
Briefly: In our opinion, speculative short positions are favored (with stop-loss at 2140 and profit target at 1990, S&P500 index)

Our intraday outlook is bearish, and our short-term outlook is bearish:

Intraday outlook (next 24...
Briefly: In our opinion, speculative short positions are favored (with stop-loss at 2140 and profit target at 1990, S&P500 index)

Our intraday outlook is bearish, and our short-term outlook is bearish:

Intraday outlook (next 24...
Briefly: In our opinion, speculative short positions are favored (with stop-loss at 2140 and profit target at 1990, S&P500 index)

Our intraday outlook is bearish, and our short-term outlook is bearish:

Intraday outlook (next 24...
Briefly: In our opinion, speculative short positions are favored (with stop-loss at 2,140 and profit target at 1,990, S&P500 index)

Our intraday outlook is bearish, and our short-term outlook is bearish:

Intraday outlook (next 24...
Briefly: In our opinion, speculative short positions are favored (with stop-loss at 2,140 and profit target at 1,990, S&P500 index).

Our intraday outlook is bearish, and our short-term outlook is bearish:

Intraday outlook (next...

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Silver has 47 protons and 61 neutrons

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