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99 Million Dumps ARE coming from average investors like me. I dumped many many million this morning. I'm just 1 guy at my house. I bought months ago and have been waiting for a pop. Think about profit taking.
If you had shares at 1 or 2, would you have sold on this pop?
I can't even count the amount of stocks I bought before big news and dumped into the rip up.
If they are strong stocks I'll buy back in, when they pull back, for the next leg up and dump again.
OPTI is a great example of a stock that has waaaaaaay better news than TGGI. It's been playing with buyers and sellers (consolidating) for several weeks. It's showing signs of buying with consolidation. I decided to hold this because I didn't want to miss the huge rip up.
More news came out in the beginning of Nov 2020 and it jumped. I was in before the jump. I'm still holding. Profit taking has held OPTI down. Lack of supply (Buyers not selling) has held it up. Short sellers keep averaging up and that keeps making this consolidation go on longer. When this rips up, it will be epic. The Aug 2020 run up will look flat on the chart.
Take notes NEWBIES
If you don't fully understand what I am saying then you need to study price action more.
Anything can happen. ALWAYS MANAGE RISK
Managing risk is #1
Do Not Trade Unless you know how to manage risk.
You are not a Trader unless you think of what is the worst that can happen AND have accounted for that in managing risk.
GLTA
Supply and Demand play a vital role in price movement.
Supply (Number of Shares) is HUGE.
Profit taking is a dynamic of Supply and Demand that is often overlooked when "Good News" comes out.
Expect consolidation and lower prices before price goes above 5.
Look for Accumulation During Consolodation before buying.
Just trying to help.
GLTA
Supply and Demand
You can clearly see based on reading indicators that a LOT of buyers anticipated this pop (Like Myself) and bought months ago when it was at 1 or 2. All the pot stocks have been climbing up and we were anticipating the jump. As soon as it jumped we unloaded.
If the demand is high enough, TGGI will consolidate for a while above 2 or 3. Not likely. So many stocks to trade. I'm not trading this again. I got the pop up I was looking for.
TGGI will probably dilute again because they don't understand supply and demand. They expect price to go up before consolidating again and are impatient and/or frustrated.
Dilution increases risk on this trade.
Federal legal MJ is a play but not on this risky stock.
If this does rip up I expect it to be short lived. over 100% gain in a few month is good enough for me. Moving on.
GLTA
I've been waiting for this pop up. Unloaded millions of shares $$$$$$$$$$$.
Easy money.
Barwicki_Did_NOT_Deny_WALMART_TARGET_Deal!!![color=red][/color]
"The information 'ABOUT' the deal isn't true."
-That means the dollar amount isn't accurate. It's probably worth more $$$$$$
LOL
Price action speaks for itself.
This price action speaks for itself. Soon people will look back and see how trivial these price fluctuations are.
David_Ojeda_+_Kevin_Harrington_=_$$$$$$$
They aren't going to get involved unless they see $$$$$$$$
I'll wait. These short term moves are a joke!!!!
AWESOME_This_IS_Setting_Up_For_A_MASSIVE_GAP_UP
You're_Going_To_Wish_You_Held This_Is_Going_Over_30_Cents_Soon.
JMO GLTA Longs
Margin_Call_500%_Gap_up_overnight. Short_Volume_Trades_Will_Be_Covered_in_seconds_when_it_gaps_up_500%_overnight!!!!! That'll rocket it up to 1000% in seconds at open.
Yahooooooooo!!!!!!!
Mark my words, "All previous price action this year will look flat when this runs up!"
GLTA Longs!!!!
David_Ojeda_+_Kevin_Harrington_=_$$$$$$$ They_Are_Involved_For_One_Reason_=_$$$$$$$
Say whatever you want. This is going up. Too many big names involved at this point. 3M Walmart Target
Kevin Harrington is plowing money into it because he sees $$$$$$$. HUGE $$$$$$$. Otherwise he wouldn't be involved. He's not going to tarnish his name for OPTI.
These little price fluctuations are going to look laughable in a month.
$$$$$$$$$$$ Coming
GLTA Longs
Aracely_Ojeda_Is_Involved_too!!!!! AWESOME!!!! BIG_$$$$$$$_Coming!!!!!
Very_Strong_Chart. You're_Going_To_Wish_You_Held_This_Penny!!
Good Luck To ALL LONGS!!!!!
This_Chart_Is_Showing_Explosive_Up_Moves.... Several!!!
GLTA Longs
Walmart_Target_=_$$$$$$$$
David_Ojeda_+_Kevin_Harrington_+3M_=_$$$$$$$
Technicals Look AWESOME!!!!!
These Prices Are A Huge Gift_Load_N_Hold!!!
As I said before, I trade technical set-ups. News is news.
I assumed Goldman Small Cap Research wasn't Goldman Sachs. Even it it was GS I don't care. They are all manipulators.
I see you are in OPTI. That has a awesome technical set-up. Hope it goes on a tear up. I'm in it below .03. The price action these past several days is typical. People get worn out and jump to another stock. Then they run it up. Transferring wealth..... same old same old.
They are keeping the shorts red on OPTI. A lot of shorts were in around .03. I get the feeling stubborn shorts are going to wait because they think this slow price action means lower prices. Then they will get squeeeeeeeezed. Massive denial.... "It's up 8K% it has to come down!" LOL The market will decide when they exit. That will be painful!!!!
GL and have fun watching the squeeeeze
Bullish Technical set-up this time.
The technical setup was bearish last year when the other report was released. We all know reports usually make stocks move. Sometimes it's a guessing game which way.
Kinda hard for these guys to hide accumulation this time. too obvious.
Last year it was up. This time price is close to historic lows. Not looking at much of a downside considering EV plays are on fire. This stock has been trigger happy for months. Just look at price action. More likely it's going up.
GLTA
Do a search for ( "Alternet Systems" ) on Google and do an 'Advanced Search' for the 'Past 24 hours'
The report will come up as a PDF about half way down the first page of results.
Lack of sellers will make this run. EV plays are on FIRE!!!!!
Strong Accumulation past few weeks
Huge_Potential_*_Goldman_News_Link_Enclosed[color=red][/color]
https://www.baystreet.ca/articles/research_reports/goldman_research/IQST-11.23.20-[2].pdf
Goldman Small Cap Research $$$$$$$$
https://www.baystreet.ca/articles/research_reports/goldman_research/IQST-11.23.20-[2].pdf
I'm in still. It was a scratch ticket. I'm not selling. I think PPCB will rocket up some day. When PPCB became PPCBD trading continued.
Unlike a lot of scams on the OTC market Propanc is in the news frequently. They keep being mentioned in articles. That means they are a working business.
Also before the split you could see accumulation.
GLTA
Manage risk.
The 1 HR Chart is PERFECT!
OPTI IS GETTING LEGS!!!!!! FIVE Traders I know that play Large Cap Stocks mentioned OPTI to me. LOL!!!!!!!
BOOOOOOOOOOM!!!! New_HOD!!!!
That's strength!!!
Patience will pay huge!!!!
The reversal on Monday and Tuesday were TEXTBOOK and gave a PERFECT entry for BUYERS. And If that wasn't enough the dip this morning was PERFECT for BUYERS.
More buyers have no reason to sell!
GREEN GREEEN
JMO
New HOD Coming?
Quarterly Reports Explained Countless hours have been spent examining quarterly reports and many other types of filings. Unless you have many many years of experience reading them and seeing how the Market reacts to them it is a waste of time.
The FACT is, the most valuable thing a Trader can do is learn how to read PRICE ACTION. Price Action is FACT. Traders Bought or Sold at a specified Price.
"Put your money where your mouth is."
Everything else is noise.
For example look at UBER. THEY HAVE NEVER MADE MONEY. THEY ARE OPERATING IN THE RED. If you think the financial statement is connected to the stock price you are on crack.
Why is UBER Market Cap at $83 Billion?
Traders/Investors don't want to miss out on the future. UBER most likely will have autonomous cars and they will be making money 24 hours a day with robots. Many many robots. It'll be like a money printing machine!
Traders are doing the same thing with OPTI. They are looking to the future. They are trading right now based on projections of what impact a $2 Billion deal will have on OPTI future income. They also know one big contract executed correctly will lead to more.
People also know that when David Ojeda, Kevin Harrington and 3M are involved big things can happen.
In the short term price might fluctuate for several weeks. This is normal price action for any stock. If you were in this stock from 07/09 to 07/27 it would have been frustrating. But after the long consolidation it ran 800% in 8 trading days. If you're watching this on the 1 minute chart and watching your P/L it will probably tap you out. On the other hand this thing could run way up overnight.
NO ONE KNOWS WHERE THIS WILL GO
IGNORE THE NOISE
HAVE A PLAN AND STICK TO THE PLAN
MANAGE RISK
GLTA Longs
David_Ojeda_+_Kevin_Harrington_+3M_=_$$$$$$$
The_Bid_Drops Then_The_Ask_Goes_Up
Talk about wishful thinking.
Pullbacks are normal but so is a run up of over 500% with a Penny that has news this good.
BIG scalpers will cause fluctuations. Hope the Shorts time the Buying correctly. If not the squeeze could be massive. Damn its hard to close out a position when you are RED. Something most traders have to work on. Pain coming. It will HOLD up AND go WAY UP.
My stomach is in knots just thinking about being short......
11/02, 11/03 and 11/04 was a Short Trap.
11/06, 11/09 and 11/10 is where some Shorts Averaged UP or gave them confidence to hold but its another Trap.
JMO
GLTA Longs
Always Manage Risk
BOOOOOOOOOOOOOOOOOOOOOOOM !!!!!!!!! New_HOD!!
THIS IS STRENGTH!!!! FACT
Pullbacks are normal
Manage Risk
GLTA Longs
Serious Pain Is Coming For Stubborn Shorts. Shorts, Buy now or Buy Later at much higher prices.....
This sector is on FIRE!!!
The Dip-N-Rip? All kinds of false entry signals for longs and shorts. It's impossible to get a perfect entry in a stock like this. And I don't care how much experience you have.
Look at ACB. It's a highly trader Pot stock and the Pot sector is heating up. Look at the past few days price action.
My point is the price action on OPTI is typical of a stock heating up. Manipulation......
Manage Risk
GLTA Longs
Thank you Vish2 Just trying to help. Managing risk is how we traders stay alive.
Technical Traders
Check out $0.0388 to $0.0400 Support Level. This price has been hit quite often in the past several months, going back to the end of June 2020.
This was a perfect consolidation area to have a bounce.
The MACD is crossing the Zero line on the Daily chart. The pullback these past few days was a good try to reverse the trend down and it failed. This morning shows massive technical strength. A lot of technical buyers from 10/16 until now are green and aren't selling because they see the massive potential. Not to mention all the buyers that took profits on the huge run in August and bought back in and are going to hold no matter what. They'll be green on OPTI regardless of what happens because they made so much money and already took profits in August. This thing has run over 8,000% this year. With progressively better news along the way.
Anything can happen. Manage risk. Trade with a plan. Stick to the plan.
GLTA Longs
Shorts.... Don't get stubborn. You can always re short later or pick a weak stock to short. For supply and demand reasons this has a HUGE potential to massively run. Don't let the Market tell you when to get out. If you have any experience shorting you know you are playing with fire. Some of the biggest losses for shorts are when they don't have a plan and they keep hoping rather than trading. Buy now or buy later. I'm not selling until I see pain... AKA volume.
Too_Many_Eyes_On_This
DEPTH_OF_MARKET_SHOWS_BUYING_AKA_SQUEEZING NO_HALT_ON_REAL_NEWS!!!!!!!!!!!
DEPTH_OF_MARKET_SHOWS_BUYING!!!!!!
David_Ojeda_+_Kevin_Harrington_+3M_=_$$$$$$$