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Unless that news release is something along the lines of, the talks with Altria have concluded as neither side could come to an agreement.
I made my daily target on it. 8 mins into my day. LOL.
I agree, I don't have to catch the whole thing... I'd be happy with just part.
Considering buying this gap down for the quick fill and flip?
I'm considering. They would be replacement shares for me though... so unless I flip before Dec 31, I will not be able to write off these losses until 2019 taxes.
I imagine a lot of people are in the same situation as me.
15 min delay ... $3.80 USD PPS
Huge gap down here ... but my balls are not that big.
Does NYSE require $5 PPS?
1.3 Million in Volume Pre-Market. Down 14%
when I saw that BS about markets being closed wed. I knew it was all shenanigans to get out of voting for hemp legalization or on anything else for that matter. The timing is too peculiar for this to be anything but BS.
Unless they were the only ones operating with a profit because they were lies.
What are the chances that the second spike (10.80 to 11.80) were the margin calls and the squeeze already occured?
Yes, my funds have to settle anyhow. My good faiths are already at 3.
I might not have missed this "dust settles" re entry by much... still fingers crossed
yep. Now, I'm upset!
LOL... no, never upset with profit.
Looking for re-entry...
Maybe 10? My channels are muddied now!
This might be my fastest flip of the year.
I bought at 8.52 hit refresh 5 minutes later at it was 10.68!
I did a double take, and hit sell "market"
Thanks Cron.
It's more than just the two. I think it might have something to do with all the MJ ETF's. But then again, I might be wrong.
To make me feel better about miss last big rip, I just flipped that baby .10 run. LOL. Every bit helps.
Only negative is now my funds are unsettled. Not afraid to buy with unsettled if my target is there.
Yes, I am not feeling sorry for myself. I have played this stock pretty well in its current channel. I think 8.40 is not an unreasonable re-entry. I will be waiting.
You could switch within the sector if you are FOMO. Still get your losses, and if the sector does run on news you should still make money.
Yep, I missed this whole bump... well half of it really. Got out too early.
Looking for reentry.
Down to the support levels seen in the summer. This has to be close to the bottom.
poop.
Just hit my buy target, but not sure I want to fill! Will watch closely today.
This one needs some news, an event, something. Volume is still less than desired.
Yep. I sold at $8.75, looked like I made the right call for a bit, but now I'm not so sure. No big deal. I've never complained about taking profit.
Order in at $7.95 ... maybe.
All trading goes on in L2. One just has to subscribe to a service to see it.
I've got quite a bit of dry powder. I sold off at 7.45
Technically correct.
However, the 40 is on an upward trend. Etrade offers a nice RSI channel graph, and it is noted that the 1 month RSI usually bounces off 35 and goes up to 65 or so. One cannot extrapolate the PPS at RSI 65 though as the rates of growth are variable.
I've got the 1 month RSI at 40
Cup and Handle reversal? Fingers crossed.
filled
Pretty sure price goes up as shorts cover.
Correct me if I'm wrong.
Those are Canadian prices Rev.
This stock peeled off 7 days in a row of growth. Pull backs are necessary and normal.
come to papa
nice re-entry @11.95 ... hope I didn't jump too early.
I'm standing by my 8.25 re-entry. Fingers crossed.
Yep. My re-entry was 8.60, not happening.
I was happy taking profits near the top of the mountain yesterday, lined my pockets nicely...
But missed today's rip.