ID Analysts

Our seasoned team of analysts continually monitors investment opportunities around the world, to provide investors with the widest possible array of money-making ideas.

Analyst Articles

We currently have three open option positions: iPath Bloomberg Copper Subindex Total Return ETN (JJC) Dec 36 call, SPDR Gold Shares (GLD) Dec 112 call, and SPDR S&P 500 ETF (SPY) Dec 211 call. All three are still recommended. We also recommend five metals-related equity positions: SPDR… Read More

Jim Fink’s Options Trade Performance History Jim Fink’s Private Options Service Performance 4/21/11 to 6/19/15             Underlying Stock Date Initiated and End Date (if any) Trade Duration (actual or until expiration) Investment at Risk Net Income… Read More

Average Annualized Return Per Closed Trade: 30.7% Average Return Per Closed Trade: 21.3% Average Holding Period: 263 days Although Greece and the Euro Group (euro-zone finance ministers) have both moved toward the middle, closing the gap between the two sides, as yet they have… Read More

Earlier this week, optimism that Greece and its international creditors would reach a deal rose after Athens submitted newly proposed reforms, including multiple tax hikes, to the Euro Group (euro zone financial ministers). Not surprisingly, Greek leaders described the new measures as “harsh.” While the Euro Group acknowledged that… Read More

Our stock and precious metals indicators remain positive, and the bond indicator remains negative. We will keep my portfolio holdings as is for the time being, but depending on how the Greece situation shakes out and how my indicator signals change we may make adjustments. Stay tuned. We currently have… Read More

The Fed’s rates announcement today continued the central bank's recent theme: using dovish language to say that higher rates are coming.  The message that Fed Chair Janet Yellen wants to get across: that the September hike is well on its way, barring unforeseen circumstances. The subtlety shown… Read More

On June 2nd, we recommended buying the SPDR S&P 500 (SPY) December 211 call option, as our indicators were bullish on the blue chip index. The indicators continue to grow even more bullish. This option is a buy for subscribers who may have not gotten in with the original alert,… Read More

Average Annualized Return Per Closed Trade: 30.7% Average Return Per Closed Trade: 21.3% Average Holding Period: 263 days The stock market nowadays moves with news flowing out of Europe as Greece struggles to craft a bailout agreement before the current extension expires at the… Read More

U.S. stocks are green across the board today, ending a four-day losing streak and booking their best day in more than a month. Greece remains at the forefront of investors’ minds as negotiations to unlock loans head into the final days before the four-month bailout extension reached in February expires… Read More