Saturday, January 23, 2021

Dave Wienke: POINT 786

 

 

 

Who is Dave Wienke?

David Wienke has over 25 years’ experience in the futures and securities markets in various capacities including brokerage, trading and research. Dave began his career in 1985 with Kidder Peabody on the floor of the CBOT. Just after the 1987 crash he moved to the CME floor to build the direct to floor coverage team speaking to large institutional accounts. Over the years Dave has covered some of the largest hedge funds, banks, CTA’s, and asset managers in the world, and still does. puts out a macro technical piece each morning along with intraday technical alerts in various instruments including currencies, equity indices, single stock ETFs, fixed income, commodities, energy and metals. His methodology incorporates Fibonacci levels, moving averages, trend lines and momentum indicators. Pattern analysis blends intraday, daily, weekly and monthly views. Intra-market and inter-market relationships between sectors as pair trades help to visualize market flows and asset allocation moves. The main focus is finding inflection points in various market instruments and how other markets may impact them.

Over the years Dave has covered some of the largest hedge funds, banks, CTA’s, and asset managers in the world.

Dave puts out a macro technical piece each morning along with intraday technical alerts in various instruments including currencies, equity indices, single stock ETFs, fixed income, commodities, energy and metals. His methodology incorporates Fibonacci levels, moving averages, trend lines and momentum indicators. Pattern analysis blends intraday, daily, weekly and monthly views. Intra-market and inter-market relationships between sectors as pair trades help to visualize market flows and asset allocation moves. Asset Allocation Model examples include: treasuries versus equity indices with proprietary futures models; yield curves; small cap/large cap; sector/sector ETFs and vs the index; global/US; single stock/sector; gold/equities; crude oil/equities; gold/fixed income…

What is POINT 786?

Basic Subscription

The Morning Macro Report is a pre-market analysis of global markets with overnight highlights/economic data, delivered in email format. Traders receive a concise picture of the global landscape that is easy to comprehend well ahead of the US market open. Single stock, equity indices, sector ETFs, futures, fixed income, commodities, currencies are all evaluated along with inter-market and intra-market influences defining tactical opportunities.

Standard Subscription

Morning Report plus timely intraday actionable alerts on price action as well as news and market chatter. Views are delivered via email and sent to all clients simultaneously.

Premium Subscription

Morning Report | Intraday Alerts | Client Requests | Instant Message, email, chat, phone delivery.

Basic Subscription

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Full refund within the first 30 days, and no prorating after 30 days.

Standard Subscription

$250
 

Full refund within the first 30 days, and no prorating after 30 days.

Premium Subscription

$450
 

Full refund within the first 30 days, and no prorating after 30 days.

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