Stock Markets

35,131,416 Views | 258933 Replies | Last: 1 hr ago by aggies4life
Maximus Johnson
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Let go of 1/2 my POWL holdings at $400. Going to ride the remaining 1/2 out until I am a trillionaire or bankrupt.
Chef Elko
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Does the c-suite and board of these kind of companies basically come together and say we are going to gamble our equity share in the company and hopefully get rich and bail or be left with zero?

I assume all of them are already rich from other ventures and lower level employees have zero to little company stock.
TxAG#2011
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POWL and chill
CheladaAg
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Gaeilge said:

ProgN said:

Not saying it definitely will, but IF $CLS spikes down to around $225 in a macro selloff then do your DD now so you don't hesitate buying it. Just buy it and hold on. It won't be down in that range long.

Someone has their eye on the 200EMA

CLS making a nice move back to back days. Looks like it wants to break out of a weekly pennant. Chances of spike down looking less.
maroonbleeder
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I jumped on HA's PLG analysis. Up 11% today and 16% overall so far. Thanks for bringing this to the thread Heineken.
Imsodopey
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Software a tough place to be the past 3 to 6 months.
El Chupacabra
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Touchless said:

FIG



Are we riding to zero or adding?
CheladaAg
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INTC looking to get to that 2 yr high at $50 any time now, amazing turnaround in a short period.
El_duderino
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That was me. I had mentioned it on the almost 10% spike upwards and exited the position last week when it was around $235. Chart looks ugly and would be catching a falling knife right now
“We don’t rise to the level of our expectations, we fall to the level of our training.”
South Platte
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El_duderino said:

That was me. I had mentioned it on the almost 10% spike upwards and exited the position last week when it was around $235. Chart looks ugly and would be catching a falling knife right now

Another recent thread mentioned fund/stock ratings and questioned how reliable they are.

FWIW, GS came out with two notable ratings yesterday. SNOW was a Buy, SMCI was a Sell.
Gaeilge
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South Platte said:

El_duderino said:

That was me. I had mentioned it on the almost 10% spike upwards and exited the position last week when it was around $235. Chart looks ugly and would be catching a falling knife right now

Another recent thread mentioned fund/stock ratings and how reliable they are.

FWIW, GS came out with two notable ratings yesterday. SNOW was a Buy, SMCI was a Sell.

That turd ****ed me....
Heineken-Ashi
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I'm expecting SPX solidly green tomorrow with metals continuing up toward a top that can absolutely happen this week.
BucketofBalls99
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Oh ok, thanks. Couldn't remember offhand.

Your recent few picks had been great. Are you watching any others by chance?
El_duderino
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Took long positions in crwv and ORCL yesterday at close. (Both breakout trades) I don't have targets, just in it until my trail stop is hit, but for shorter term preference the gap fills levels below could be a target trade

ORCL is in the gap with fill at $217.99

CRWV gap fills at $102 and then $125

Also in ELF as its breaking out of its 2 month base. Break above $94.99 and it's in the first gap with fill at $115.51 for a target trade
“We don’t rise to the level of our expectations, we fall to the level of our training.”
Woods Ag
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Nice!

I still hold my CRWV but sold all of my APLD yesterday. Will be looking for a pull back and reentry
South Platte
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Can someone look at CRDO? Quadruple bottom at $133, if there is such a thing, dating back 3 months to October it appears.
Josepi
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El_duderino said:

Took long positions in crwv and ORCL yesterday at close. (Both breakout trades) I don't have targets, just in it until my trail stop is hit, but for shorter term preference the gap fills levels below could be a target trade

ORCL is in the gap with fill at $217.99

CRWV gap fills at $102 and then $125

Also in ELF as its breaking out of its 2 month base. Break above $94.99 and it's in the first gap with fill at $115.51 for a target trade

What do you use for a trail stop? I tried using % trail stops for a while, but they would always trigger on some flash in the stock in the middle of the night, so I switched to using set stops. Would like to use trailing stops so it's less management on my end though.
El_duderino
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I use 10 day low as my trail stop. Once it's higher than my initial stop loss, I just move to that 10 day low and ride the trend until stopped out. That way I keep myself from trying to take quick profits and let my winners run. Edit to add: I don't use the actual trail stop order, I use a standard stop and manually move it up with my trail stop level

At the end of the day, I do not know where price is going to go. I just take the trade when I get a buy signal, size properly, and I'm either stopped out for minimal loss or the trade goes my way and let it ride
“We don’t rise to the level of our expectations, we fall to the level of our training.”
techno-ag
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The left cannot kill the Spirit of Charlie Kirk.
ProgN
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South Platte said:

Can someone look at CRDO?

Cru
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Any thoughts on ENPH?
El_duderino
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Just from my setup, it fired a buy signal 1 month ago on the shorter time frame and is up ~10% from then. (I would not enter on that parameter as I already missed the train)

It just fired a buy signal yesterday on the longer time frame setup so could enter here with stop at $33.08. Or if you want a little more room a stop at $31.13 although I'd prefer the closer stop as it keeps the loss in single digits on % basis. This style would be a swing trade anywhere from a few weeks to a few months depending on strength of trend.

I have a different much longer term strategy on the monthly chart that is much more aggressive and risky that it's getting close to entry depending on where it closes at the end of January. For example on ENPH, it fired long March 2019 at $9.11 and didn't exit until September 2021 at $149.97 for a 15.46x return. High risk high reward though, so I tend to not bring the trades up here as I don't want to hear anyone went full port and lost a sizeable chunk of capital.
“We don’t rise to the level of our expectations, we fall to the level of our training.”
CheladaAg
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SLV moving AH…
Ragoo
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Can you share your charting set up and what constitutes a buy signal?
Imsodopey
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Looking at DFDV. Has gone up the past couple of days.
Hill08
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Heineken-Ashi said:

I'm expecting SPX solidly green tomorrow with metals continuing up toward a top that can absolutely happen this week.


Not looking too good
Heineken-Ashi
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Hill08 said:

Heineken-Ashi said:

I'm expecting SPX solidly green tomorrow with metals continuing up toward a top that can absolutely happen this week.


Not looking too good


Not at all. Might have pushed what I was looking for toward end of week.
flashplayer
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Bitcoin finally deviating from the indexes for a change. Made a big bet on MARA while waiting on my ETF losses to hit 31 days and prevent a wash sale. Figured BTC would spike while I was waiting so using MARA as a hedge for that for now.
Gaeilge
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Commodities (metals specifically) are absolute hell and mind games right now. I think we need some of the volatility there to die down before we can get another solid move higher.
Brian Earl Spilner
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Buying the TQQQ dip.

Target 57.95.
Gaeilge
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I know SCOTUS is supposed to be impartial and not take economics into account in its decisions, but I get the sense that they're strongly considering it with this ruling.

Imsodopey
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May not have a majority opinion.

Edit: spelling
Ragoo
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The ruling is with regards to the "general" portion of the tariffs correct?
09Ag
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TSSI has been moving the last 2 wks. I got lucky and timed that almost perfectly.
PDEMDHC
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PDEMDHC said:

Bought 250 shares of RDW at 11.30. Took a bathroom break and then found it at 10.40 less than 2 minutes later.

Most expensive piss of all time



So lots of insider selling and reorganization is causing some insane volatility.

It went from 9.60 to 10.40 to 10 to 10.88 and now down to 10.10 all in 2 hours.
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