MISSION VOLUME : Stampede Season
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Appears trying a meltup off what appears DB/TB off .0182 - .0183 zone
EEENF
500k starter .0705 to see how low of day works out - there were large bids in .065-066 zone ie 1M+
QNTA
added couple mil in .018s for the reversion thesis .02 and change if it works
EEENF
a PR on the river catalyst would have me thinking .15 - .20 MAG fast action.
Prolly see capital flow out some of the other tickers to go into this one on clear .20 break thesis(psychology will have .50 - $1 eyes on prize)
GGII
Reloaded few milly .0203 avg or so - saving some room if they want to drop it .019 test again load some more there.
EEENF
Unless it opens lower I'll have starter bids in at 1.13 / 1.08 / 1.03 etc
Will adjust accordingly size/levels if it opens lower than the above.
Basic strategy has me playing 1.00 .92/.93 on a 1 fail then .85 scaling into a uncontested/contested-hold .75 psych
Not expecting .75/.80s tomorrow however want to make sure the size is weighted heavily to backside of a pivot recovery as the risk is much higher now by the price action and behavior that occurred today.
Very interested in any material gap down/panics as these will dispense returns quickly on thesis working and don't have to jam up bunch of time monitoring the trade
HMBL
hawking action based on first 1-5 min of HMB*. Gap n' Go Combo
FORW
Observing for a higher low put in on multiday .09s vs. the previously contested .08s - see if get a ripstick back to .14-.15
SODE
Traded out bout 5-7M today as did few times this week some observations are it appears to be churning out higher lows on the multiday chart holding over that .019 - a confirmed .0225 break then key psych .025 break should send it
Seems to have a slightly higher % this week of meltup at/near open vs. trend/zig down
Holding 0 at the moment hawking high news for a 5-7M starter if it has that 20-40% "look" at/near open and / or keep flippin .019 - low .020zzz
EEENF
Would Stockstodramus say that the same entity heavily dumping is same entity running up tape near EOD to plaster putty over pig?
JZZI
Volume holding steady first week of trading post suspension. May have another 1-2 weeks steady volume. The .01 pivot zone is likely a strong volume inducing catalyst.
IMNPQ
Momentous filings catalyst marinating over weekend just under .05 PSYCH closed at HOD on 8 fig volume. Leading off Day 2 on Monday for potential multi day runnah
GGII
Looking for gap n' go at open for 1.75 conservative $2 MAG target if it works fast action like first 30 - 90 min.
Strong conference call - certainly will have morale marinating over the weekend for Monday Powder Keg to start week off BIGLY
HMBL
gonna toss up bunch of bids as seeing some social commentary that GVSI may have downward volatility due to other ticker.
Fig any fast washes be bot up quick for layup drill opps if thesis works
GVSI
Buy Trigger on filings avalanche catalyst
GGII
This on top volatility watch - any material gap down / capit / panic should offer layup drill flip opps on stabilization tells
RETC
Prolly gonna trade out 50-75M tomorrow if the vol / textbook tech setups are there
If total volume at least 1-1.2B should be good for 100M+ traded out
RETC
Buy Trigger Activated on Sharp Catalyst:
Gap Playbook
1. Buy Trigger immediate at open - decent sized block
evaluate for dip back to open
evaluate for dip between previous close and open
2. Buy Trigger at open + 1st breakout to new highs
3. Buy Trigger at open + reversion dip + new high of day + 2nd new high of day ....
.0025 standard psych sup number - if this fails hawking 0018/002 pivot bounce
WNBD
played every pop for that quick coin until the last one. They blew out the "pop morale" of the traders so now all thats left is to dish in the bid. Basic strategy holds textbook .01 kitty bounce (prolly good for 30-60% off .01 flippage if thesis works)
As of right now no position until .01 test and/or some news that can hit like Mayweather (product on amazon/app store etc) if they have anything left to churn out
JZZI
In your experience approximately how many times in the past year have you seen such signs/tells pertaining to hidden AON preceding near term material catalyst? A high % of AON to mat. catalyst ie 60-70% of the time?
All I need is volatility and a clear high % geometric setup - "V"s and "W"s
I've traded out close to 7M shares here past couple days not including today. No position at moment. Volume been decent enuff to unwind 1M over 2-3 hours.
Looking for .08 to either be contested/noncontested at/near open tomorrow for possible signal of rip stick move up.
If .08 breaks will play next material sup level on 1hr chart.
tech breakout over todays high will reupp with theorized .15 psych test MAG
QNTA
Gonna keep flash in the pan flippin' 01zzz until the pattern breaks ie .01 break fallen and can't get up. Traded out close to 2.7-3M here today only holding 100k ON.
IMNPQ
reloaded over 2M low .01s avg yesterday on larger capit - under 500k remaining - easing off rest of em 02+
IMNPQ
Filled 700k+ low 01s avg - bout 75% out position 02s exit - had other orders in .01-.012 that did not fill.
IMNPQ
Surge off clear .10 break (late day move) with 400k bid showing - so far HOD .14
SODE
Speed up on clear .025 break thesis - very powerful Day 1 on material news update. Lot of upside from where it fell from weeks ago
EEENF
Day 1 with catalyst on a Monday - looking for over / under 200 in the PM 4-5AM EST if it works
GME
Filled bout 750k 0094 avg immediately on news wonder what caused 3-4 layers of MMs .01+ like 4-5M on bid to floss out when there wasn't even large ask smashes. It went on .01 break to .0105 x .011 or so
with multi levels bids in (large) -
certainly thought .011 - 013 MAG in range at that point - settled for dishing out high 009s
FPVD
didn't start trading this until EOD sub .03 - traded out few million low .029s avg nice final 15 minute up and down low stress off low .029s
PVDG
end of day ask taps .0189 - 019 put a 500k bid in .0173 if filled put near at 1M
JZZI
reupped 300k starter .017 avg lookin fer high NEWS to send it .022 - .025 if it works
JZZI
FDA approval = buy trigger thesis
Market Cap Market Cap
52,067,094
04/20/2021
Authorized Shares
2,500,000,000
04/09/2021
Outstanding Shares
1,041,341,874
04/09/2021
Restricted
847,212,409
04/09/2021
Unrestricted
194,129,465
04/09/2021
Held at DTC
Not Available
Float
15,120,000
10/19/2015
BPSR
had something like 135-150k shares cored in with 1.23 avg. Lowest fill was 10k at 1.11. Last shares sold 1.69.
HMBL
HMBL playbook - 0 overnight shares going in fresh for Wed:
1.50 - using this as guide for 1.70 MAG min - unless there is material news not expecting this to be tested immediately ie right out the gate
1.25 - standard psych point - gauge volume/strength
1.08 - 1.12 gauge pivot/hold here
1.00 - if 1.08 fails figure 1.00 flat test
.88 - .92 get 50% optimal size here if 1.00 fails
.75-.82 would want to see this around 10:30 - 11:15 EST zone for chance to consolidate and grind back to 1.10 - 1.30
have to figure 7-8 fig players step in .75 - .82 - be really hard for me to see .75 break tomorrow
Mission is to have full size scaled in within 4-7% of the LOD between the 10:30-1115AM interval. This allows me to go underwater slightly and have a 20-30% solid gain on the reversion bounce for a 4:1 / 5:1 risk reward - potentially 10x+ RR if multiday consolidation is in and trends up 3-4 or more days in row
How I structure trades is dependent on the time interval as there are different variables at work (from annotating thousands of the best charts since 2016)
YUGE bids in .22
FORW
Clear 1.50 PSYCH break will put it in range for R/G move by end of day if it works
HMBL
In some under .061 small at first willing to size down to .05 psych reversion bounce
OZSC
Considering applying to MIT for aerospace engineering PH D along with adopting "DOGE" from kennel club
HMBL
gonna HODL these 100k shares long as the primary keeps its groove on
looking for that 5 figs if it works
FORW