rolling
- 04 Nov 2003 14:05
Where do you think they will go to or should i sell now
goldfinger
- 26 Apr 2014 00:10
- 341 of 472
Very Serious Chris. Just because we have a Jack The Lad relationship on soccer (sometimes politics) doesnt mean I dont respect you.
I know myself I can be difficult to weigh up at times. (diabetics doesnt help this)
Beleve me I certainly do as with most on this board. And true I do burn hot and cold but hold no malicious grudge against you.
It would be very interesting if you could explain your brand of TA especially the layover indicators(seem to be a one off on these on MAM) and why you have gone in for a certain Trade at any time.
You dont have to put down just your buys either.
If you have your eye on a juicy stock let the thread know and explain your keeping a watch on its activity.
Would be great to see you posting your ideas and buys on that thread.
cheers gf.
(copied to chart thread)
Chris Carson
- 26 Apr 2014 01:55
- 342 of 472
LUCK GF, pure and simple :O) Trust me I am no chartist, to lazy to learn Fibonaci (thought it was Italian for lying) or pitchforks and all the rest of the gobldy gook. Maybe I should. I just try and keep it simple, stick to a few stocks that I have traded in the past.
You gave me the tools a few years ago, if you remember. They are all on the your Chart Thread, the indicators I use are no different to the ones you use. Volume, RSI, MACD, Slow Stoch (I haven't got a clue what Slow Stoch means, but if it's pointing up like the rest of them, it does for me :O)
25, 50, 200 day moving averages and lastly SAR cause it looks pretty.
Once all those above are pointing up from an oversold position I enter the trade, usually a spread bet, once the trade is ten pips in profit move stop to entry for a risk free trade. If trade goes against me ten pips get out quick.
To find trades I look one month maybe two ahead, look for stocks reporting interim, full results or going ex-dividend. Look at 5 year, 1 year and last six months chart for history and direction.
So GF no mystery, I am not a serious trader like yourself, I just dabble as a hobby.
Chris Carson
- 28 Apr 2014 13:03
- 343 of 472
Stop to entry for risk free trade.
HARRYCAT
- 29 Apr 2014 08:22
- 344 of 472
Ex-divi wed 30th Apr (7.9p)
skinny
- 30 Apr 2014 14:39
- 345 of 472
Just closed here +20 + the dividend - all yours Chris.
Balerboy
- 30 Apr 2014 14:53
- 346 of 472
going well today, pity i missed it.,.
Chris Carson
- 30 Apr 2014 15:00
- 347 of 472
Nice one skinny. Sticking in for 380.0.
cynic
- 06 Jun 2014 15:48
- 349 of 472
would rather it didn't as hold in my sipp from 340
Chris Carson
- 06 Jun 2014 15:53
- 350 of 472
Ditto cynic. No your problem gf 'No sense of humour" :O)
goldfinger
- 06 Jun 2014 16:59
- 351 of 472
LOL.
Chris Carson
- 05 Sep 2014 09:05
- 353 of 472
Short on the spreads @ 352.62 target 325.00 Stop 363.07
HARRYCAT
- 05 Sep 2014 09:20
- 354 of 472
Divi is 4p. Can't imagine that will change the direction of the sp very much.. Nothing much here to interest investors, imo, but predictable trading range good for you s/b'ers.
Chris Carson
- 16 Sep 2014 15:59
- 355 of 472
Looks like it may have found support @ 340p
Just above 50DMA but on low volume. Hmm could get stopped out for nowt if carries on north.
Chris Carson
- 18 Sep 2014 17:36
- 356 of 472
Stopped out today. Back on watch list.
goldfinger
- 25 Sep 2014 14:01
- 358 of 472
WMH Broker Views.....
Date Company Name Broker Rec. Price Old target price New target price Notes
18 Sep 14 William Hill PLC Credit Suisse Outperform 374.90 395.00 370.00 Reiterates
04 Sep 14 William Hill PLC Barclays Capital Equal weight 374.90 400.00 400.00 Reiterates
11 Aug 14 William Hill PLC Exane BNP Paribas Outperform 374.90 390.00 390.00 Reiterates
05 Aug 14 William Hill PLC JP Morgan Cazenove Underweight 374.90 340.00 345.00 Reiterates
05 Aug 14 William Hill PLC Nomura Buy 374.90 479.00 448.00 Retains
04 Aug 14 William Hill PLC Canaccord Genuity Hold 374.90 350.00 350.00 Reiterates
04 Aug 14 William Hill PLC Credit Suisse Outperform 374.90 395.00 395.00 Reiterates
04 Aug 14 William Hill PLC Beaufort Securities Buy 374.90 - - Reiterates
01 Aug 14 William Hill PLC Davy Research Neutral 374.90 - - Reiterates
01 Aug 14 William Hill PLC Numis Buy 374.90 500.00 500.00 Reiterates
29 Jul 14 William Hill PLC Deutsche Bank Buy 374.90 435.00 415.00 Retains
skinny
- 21 Oct 2014 07:38
- 359 of 472
Interim Management Statement
Key highlights of the quarter
Group net revenue1 up 23% and operating profit2 up 89%
Online operating profit2 up 126%, with wagering up 18% and mobile wagering up 38%
Online Gaming net revenue up 23%, with 116% growth in mobile gaming
Retail operating profit2 up 31%, driven by strong gross win margin and ongoing machine strength
Eclipse gaming machine roll-out into second half of Retail estate now underway
Continued improvement in Australia KPIs, with improved margin and operating efficiencies increasing operating profit2 substantially
Further good US wagering growth up 21%, with mobile growth up 88%
Continued commitment to responsible gambling: William Hill Founder Member of The Senet Group
Chris Carson
- 22 Oct 2014 09:20
- 360 of 472
Ex-divi tomorrow 4p waiting to see how sp reacts. I thought results were good. Watching.