Chinacache Adss Upgraded To The Nasdaq Global Select Market

Private Securities Litigation Reform Act of 1995. These forward-looking statements can be identified by terminology such as “will,” “expects,” “anticipates,” “future,” “intends,” “plans,” “believes,” “estimates” and similar statements. ChinaCache may also make written or oral forward-looking statements in its reports filed or furnished to the U.S. Securities and Exchange Commission, in its annual reports to shareholders, in press releases and other written materials and in oral statements made by its officers, directors or employees to third parties. Statements that are not historical facts, including statements about ChinaCache’s beliefs and expectations, are forward-looking statements. Forward-looking statements involve inherent risks and uncertainties. A number of factors could cause actual results to differ materially from those contained in any forward-looking statements, including but not limited to the following: the Company’s goals and strategies, expansion plans, the expected growth of the content and application delivery services market, the Company’s expectations regarding keeping and strengthening our relationships with http://answers.yahoo.com/question/index?qid=20131207102553AAXvB0j its customers, and the general economic and business conditions in the regions where the Company provides its solutions and services.
Full story: http://online.wsj.com/article/PR-CO-20140102-903737.html


Shares Mixed In Thin New Year’s Eve Trading

The Standard & Poor’s 500 index rose three points, or 0.2%, to 1,844 and the Nasdaq composite rose 10 points, or 0.2%, to 4,164. The S&P 500 is headed for its best year since 1997. The index is up 29% in 2013, or 32% with dividends included. In the government bond market, the 10-year Treasury note continued to hover near the 3% mark. U.S.
Source: http://www.latimes.com/business/money/la-fi-mo-stocks-post-early-gains-on-last-trading-day-of-huge-year-20131231,0,6403999.story

The current analytical data (including greeks and implied greeks) suggest the current odds of that happening are 43%. On our website under the contract detail page for this contract , Stock Options Channel will track those odds over time to see how they change and publish a chart of those numbers (the trading history of the option contract will also be charted). Should the covered call contract expire worthless, the premium would represent a 17.78% boost of extra return to the investor, or 28.47% annualized, which we refer to as the YieldBoost. Top YieldBoost Calls of the S&P 500 The implied volatility in the call contract example above is 84%.
Source: http://www.thestreet.com/story/12192211/1/first-week-of-nsph-august-2014-options-trading.html

First Week Of NSPH August 2014 Options Trading

The French and British markets, which will trade for a half day on Tuesday, started on a positive note. The CAC-40 rose 0.2 percent to 4,284.83 and the FTSE 100 inched up trading etfs 0.1 percent to 6,738.10. Germany’s DAX was closed for the holiday. Futures suggested potentially modest New Year’s Eve gains on Wall Street.
Source: http://www.cbsnews.com/news/shares-mixed-in-thin-new-years-eve-trading/

Find the Right Trading Mindset – Dependent or Independent

The choice is between getting the education yourself so you eventually exhibit a certain amount of control over what happens with your trading, or relying on someone else and thus losing that control to a large extent. You can always pull your money, or stop using a signal provider (for example), the problem is most people do this at the wrong time (see footnote). Which one represents you? After reading a bit more about each trading mindset, ask yourself which mindset youd prefer to emulate.
Source: http://www.examiner.com/article/find-the-right-trading-mindset-dependent-or-independent