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24,607,308 Views | 233243 Replies | Last: 19 hrs ago by vbl
TxAG#2011
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Damn what the hell happened to AYX? I thought they put up good numbers?
TChaney
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fightintxag13 said:

astroaggie13 said:

fightintxag13 said:

TChaney said:

GNPX

CLSK

Are either of these those goal posts?
Got in CLSK at 2.72...now 3.50! Great find here! I'm mad that I didn't buy more...
just broke thru a little resistance there at 3.47 or so
Now I'm really kicking myself for not doing more. Apparently they announced their revenues for the past 7 months surpassed all revenues for their 2019 fiscal year. Chart looked great and then you add that news on there. I should've done more research before buying only 500 shares.
Anyone still holding CLSK? UP ~25% on the day right now.
Charismatic Megafauna
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AG
loading up on GOCO this morning, shares and calls.

Good to see you checking in Ranger!
HoustonAg2014
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AG
What in the H is Roku doing today?!?!
MOCO9
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AG
Why did MGNI just take a good sized dip?
McInnis 03
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AG
Aggiesincebirth said:

What in the H is Roku doing today?!?!
Technology, just now hitting the 21 day EMA.
leoj
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AG
TxAG#2011 said:

Damn what the hell happened to AYX? I thought they put up good numbers?


They did, but growth was not good. Their product is so ring that can be cut by customers looking to trim costs. Just keep an eye on it, this presents an opportunity to find a good entry point later on. Right now it's below the 200sma so not even worth considering. I plan to let it establish a good base and support and go from there, same with a lot of these other tech stocks
ProgN
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Would you like a SIG?
fooz
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ROKU is killing me.
leoj
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AG
QQQ is headed for the Gap
McInnis 03
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AG
Prognightmare said:

Would you like a SIG?
Had the 13c sold for this opex, had to roll it to the 14 for Sept opex....
texagbeliever
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I'm guessing the big boys are hurting. Financial sector and retail seem strong.
McInnis 03
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AG
I should have known better than to play with V. It's in a Darvas box and I'm buying calls at the top of the range............this one will test me.
leoj
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AG
I'm in AAPL and FB weekly puts
McInnis 03
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AG
texagbeliever said:

I'm guessing the big boys are hurting. Financial sector and retail seem strong.
Energy and Industrials seem to be pumpin today.
aggiedaniel06
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AG
It doesn't have much to do with that.

As I said a few times now, smart money was getting out of cloud names weeks ago - not for any reason, that's just what they do. Buy low sell & high to retail that bag holds. Rinse, repeat.
Forget the news, earnings, valuations - Just follow the moneyflow.

Your discipline with taking those stop losses must feel very good right now, right? That was a very veteran move to do that. Most traders would have bag held hoping for a rebound today,
leoj
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AG
Yeah understood on the stock. It does feel good that I stuck with my stops, for sure. Today would have been a bloodbath for sure. But just fundamentally, AYX has been hurt more than a DDOG or FSLY in this recession.

Also if the big dogs continue to roll over this could get ugly.
aggiedaniel06
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AG
Today's price action confirms the sector rotation carousel that has been going on since the first week of June.

Growth and Momo down big.

All the fundamentally weak crap - Cruises, Casinos, Boeing, Financials, Industrials up big.

This will keep happening until more stimulus money enters the market or there will be a correction if they choose not to rotate the money back into growth/momo on the next iteration.
leoj
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AG
Also one stock I think should be on everyone's radar that is getting somewhat caught up in this is ETSY. They absolutely killed it and if this can come down to the gap around 120, should be on watch for a bounce off support.
aggiedaniel06
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AG
Just look at the AYX chart compared to the DDOG chart. AYX just trades in these monster peaks and valleys.

As a skiing analogy, DDOG is a blue slope and AYX is a double black diamond.



McInnis 03
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AG
I'm guessing that little sell off was a result of the Baltimore explosion?
leoj
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AG
aggiedaniel06 said:

Just look at the AYX chart compared to the DDOG chart. AYX just trades in these monster peaks and valleys.

As a skiing analogy, DDOG is a blue slope and AYX is a double black diamond.






Yes lol. It is a high beta stock for sure, probably the most out of my growth watchlist now that I think about it.
Philip J Fry
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AG
TecRecAg said:

It's late so I don't want to research but really curious what they did at the beginning of the year to warrant that volume, relatively.

Looks like it hates 6.75. If you see a close above that, might be good to hop on board.

Are you wanting shares or options?


RADA sitting at 6.76 currently.
Talon2DSO
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AG
Thoughts on AMZN weekly 3250c at 11.00?
McInnis 03
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AG
McInnis 03 said:

Deere is at a 1 yr high, CAT is lagging. Is John Deere far superior? Seems CAT could be one of those value plays if this migration continues?
Touchless
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AG
McInnis 03 said:

McInnis 03 said:

Deere is at a 1 yr high, CAT is lagging. Is John Deere far superior? Seems CAT could be one of those value plays if this migration continues?

krosch11
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one MEEN Ag
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AG
Legend said:

one MEEN Ag said:

Just wanted to say that OldArmy is now responsible for a portfolio leader of mine. I bought OVV when they took a one day bath of -70% on his account of their accounting. It was $2.99/share when I bought it, and OA got a couple comments thrown his way when it dropped down to $2.00. OA stated it was a long term hold and he threw it all into retirement accounts. Its up at $11 now.

Any other recommendations you got for undervalued companies that sound like fertility drugs?

Are people still holding OVV as it approaches $12 this morning? When is the exit point?
I've got a lot of oil/gas stocks that have done well over the last few months. I leaned into it early on during coronavirus. Picks were OVV/EOG/CVX/XOM. Overall have been happy with them except XOM. But, I'll keep XOM just as pure oil/gas exposure compared to investing directly into crude. All the other stocks had immediate upside the market realized. I'm in oil/gas so it was definitely a 'leveraged play.' I don't think we've reached anywhere close to full recovery of demand. My exit strategy is to hold for another 6 months to a year or at least until demand fully recovers. Divestment in the sector makes me think were going to have a supply squeeze sometime on the short horizon. But it won't last long as taps get turned on faster than ever nowadays. That is my timeline for when I want to sell a bunch of my oil/gas stocks. I see a lot of articles about the 'end of oil' and a lot of people just don't understand how much oil/gas this world consumes on a daily basis that isn't relevant to transportation.

Just took some profits off the top of my oil stocks to go pay for a refinancing my house. So there's some locked in gains.
UpstateAg
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AG
Looking for a squeeze on OSTK for a daily flip.
MaroonDynasty
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LUV hit $35
Brian Earl Spilner
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AG
LUV and UAL
Charismatic Megafauna
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AG
NRD09 said:

Man goco getting beat down, quiet period ends next week, good opportunity to average down?
I was wrong about the quiet period ending this week, it's Aug 24. Loading up on Sept 22.5 calls, gonna try and cut losses on my Aug 21 calls. Still loading shares
leoj
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AG
Out both puts, should have taken my 50% and 100% returns at the bottom. But have alerts set at intraday levels to jump back in. I think bulls are especially trying to defend Apple.
Rice and Fries
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aggiedaniel06 said:

Today's price action confirms the sector rotation carousel that has been going on since the first week of June.

Growth and Momo down big.

All the fundamentally weak crap - Cruises, Casinos, Boeing, Financials, Industrials up big.

This will keep happening until more stimulus money enters the market or there will be a correction if they choose not to rotate the money back into growth/momo on the next iteration.
So October calls on Carnival Cruise Lines?
UpstateAg
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AG
out on overstock for ten percent. Enough to buy a pallet of zoysia. Done for the day.
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