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Jet Black
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I never knew there were so many trading experts on Twitter. Type in the $ followed by any symbol and they appear. It's a fountain of wealth and knowledge.
irish pete ag06
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Mostly Foggy Recollection said:

Based on the doom and gloom I'm seeing, we got some trading "experts" on the twitter gadget manufacturing some future Black Swan events.

It's quite entertaining, and I feel like I'm watching Black Mirror in real time.


Where is this? I love black mirror!
Ornithopter
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Jet Black said:

I never knew there were so many trading experts on Twitter. Type in the $ followed by any symbol and they appear. It's a fountain of wealth and knowledge.


There is even a walrus who draws squiggly lines up and to the right.
Ukraine Gas Expert
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Can you share your scalping techniques?

I've been trying to watch SPY and see the changes, just curious about entry and exit (that's what she said)
KT 90
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Jet Black said:

I never knew there were so many trading experts on Twitter. Type in the $ followed by any symbol and they appear. It's a fountain of wealth and knowledge.


That's why I only follow certain fintwit types and generally stay out of the comments section. Except for OA's comments, as he replies to a lot of his plus some posters on here reply to his stuff.
Red Red Wine
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HYLN

Over 33MM shares bought back on 2/11. much lower volume after that big buy. Dare I beg for another post soon to start this back up?

EDIT: Are EV plays dead for the next six months or is that just to drive folks out of them so the big hedge funds can load up at lows and make us eat their sh*t? (and yes, pun intended on "drive" folks out ).

Edit 2: also, it looks like that buy volume is giving us the "finger".


Mostly Foggy Recollection
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One minute chart and buys around key support/resistance.

irish pete ag06
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I've mentioned on here multiple times that I think Zack's plays are getting shorted. He thinks so too.

Ornithopter
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irish pete ag06 said:

I've mentioned on here multiple times that I think Zack's plays are getting shorted. He thinks so too.




Pretty sure a hedge fund can pay someone to sit on his discord.
irish pete ag06
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DubFalls said:

irish pete ag06 said:

I've mentioned on here multiple times that I think Zack's plays are getting shorted. He thinks so too.




Pretty sure a hedge fund can pay someone to sit on his discord.
True. But I think he was suspecting twitter based algos or something.

Also, his plays almost always pop up unnaturally after he tweets which is usually short fuel I would imagine.
Philip J Fry
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I don't know. Looking at the Nasdaq, it seems like we've hit a support line. Tomorrow may be telling?
drred4
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Royalty checks saying thank you

On the crude oil price
Ornithopter
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Model T on treasury yield is 1.8%
FJ43
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Tomas Hermensa said:

So any advice for folks finding themselves a bit too deep in the recent board-wide investments? Hold? Sell some? It seems like if people still aren't buying in hard then selling some portion now might be prudent? It would be a bit more helpful than the chiding for not being around long or not done enough to try to time a pullback.

I'm thankful I've taken most of my profits out along the way this past year, but I'm down $100k in the trading account over the last couple weeks even with hedging and a good portion in cash. No bueno.
I didn't see any responses so thought I would at least give you a response on what I am doing. This isn't advice and not sure what or how deep you are in things but just my thoughts and/or actions.

I got stopped out in my trading account on CLOV in the 9s when it was there. I am still holding all shares in my tax deferred/free accounts. I fully intend to buy back shares lower than my stop when the dust settles.

On most all of the MA plays I am still holding. Added more shares yesterday/today to several. These were always longer term holds for me. While I like things to sky rocket the day after I buy, many of the board plays we can quickly be spoiled by doubling in a few short months and generating continuous premium on high Beta plays. I have to remind myself why I am in it and what the original expectations are/were. On WWR I am still holding all shares in my tax deferred/free accounts. Probably did this backwards but I sold all shares in trading accounts when it lost technical support. That was between $3-4 ago. I use trading accounts for income generation, cash flow and fun. I have already added back shares here in the 4s.

I added one too many of the crypto aligned plays originally and cut EBON today. I kept NXTD and DPW. I know some kept EBON or cut others and other variations. I just made a decision on technicals and diversification. Maybe the right one maybe not. Time will tell.

Overall I am well up YTD. Past few weeks has been tough but also not unexpected with some of these high growth potential names. I hate the drawn down but also do not believe anything has changed about the direction of crypto plays, mining (WWR, DNN, etc) and a few energy type longer plays. There are a number of other plays mentioned here and too many to list but the mindset is the same.

I did add PLTR, FUBO, IBIO as 'new' or replayed stocks to my lineup.

Hope that helps.



Wealth gained hastily will dwindle. but whoever gathers little by little will increase it.
Proverbs 13:11

DisAg
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So glad I stayed out of AH
McInnis 03
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I firmly believe atlas plays are being targeted.

Now....why I really came here

***If this post is on Business and Investing, take it with a grain of salt. I am wrong way more than I am right (but I am less wrong than I used to be) and if you follow me you will be too.***

B&I Key:
ETH - Extended Trading Hours --- RTH - Regular Trading Hours
ORH - Opening Range (1st 30min) High --- ORL - Opening Range Low
R1, R2, R3 - Resistance 1, 2, or 3 --- S1, S2, S3 - Support 1, 2 or 3
$30,000 Millionaire
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Couldn't help myself. Loaded WWR, CIDM, EBON, BFT, SYN, CRNT after hours.

I will buy more tomorrow if it keeps going down.
Philip J Fry
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I'm throwing 10K into CPOAX. Had this on the sidelines in waiting. Hopefully I'm timing it right
DisAg
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I may try to scalp tomorrow. Holding over the weekend makes me nervous though.
Brewmaster
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Mostly Foggy Recollection said:

I was referring to scalping SPY weeklies. Nothing else.

I think I scalped SPY 9 times today and swung it twice. Only two losing trades.
Friday exp? and for strikes, are you going for nearest the money strikes or next resistance up when buying them?
oldarmy1
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Remember guys, major corrections nearly ALWAYS ends with a major capitulation flush on volume with a V recovery. Watch for the acceleration into it and you can get a jump start into the recovery.

Even with all my hedging my accounts aren't immune to these severe corrections. Generally Fridays continue selling off and then Monday flushes and reverses. That is the conventional wisdom based on that being the case for whatever the reason. That said I would watch volume and acceleration in case it happens tomorrow.
gougler08
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$30,000 Millionaire said:

Couldn't help myself. Loaded WWR, CIDM, EBON, BFT, SYN, CRNT after hours.

I will buy more tomorrow if it keeps going down.


I'm buying more tomorrow if we open down
DisAg
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oldarmy1 said:

Remember guys, major corrections nearly ALWAYS ends with a major capitulation flush on volume with a V recovery. Watch for the acceleration into it and you can get a jump start into the recovery.

Even with all my hedging my accounts aren't immune to these severe corrections. Generally Fridays continue selling off and then Monday flushes and reverses. That is the conventional wisdom based on that being the case for whatever the reason. That said I would watch volume and acceleration in case it happens tomorrow.
OA, trying to translate this correctly. Do you mean seeing a high sell volume, then a sudden buy volume? Hence the V correction? Thanks for all you do btw
mazag08
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We might actually have a S&P and GLD bottom at the same time.
$30,000 Millionaire
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I might be early, but wanted to start scaling in
Mostly Foggy Recollection
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Usually target the zone. This past week 381-386 was the popular one.

Today it was 380-383 early then 375-378 late. Look for support/resistance and play off those.
Ragoo
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$30,000 Millionaire said:

I might be early, but wanted to start scaling in
buy half units and sell straddles. Call side OTM, put side ITM. Collect premium. Either your call side gets called out plus the premium or the put side gets you another unit entry minus premium.

Out a couple of weeks

Mostly Foggy Recollection
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As we approach supports on corrections, the one minute chart will volume spike and slice through the support like a hot knife through butter.

I think they want to test 370 in the morning (or overnight) and I think it holds, but capitulation could force us into the mid 360s for a quick flash.

With no major macro catalyst, I can't see us going south of 367.

I will probably cash my April hedges in the morning if we test 370

Mostly Foggy Recollection
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Very good strategy. Cash friendly and accomplishes scooping up cheap shares if further correction.
$30,000 Millionaire
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Ragoo said:

$30,000 Millionaire said:

I might be early, but wanted to start scaling in
buy half units and sell straddles. Call side OTM, put side ITM. Collect premium. Either your call side gets called out plus the premium or the put side gets you another unit entry minus premium.

Out a couple of weeks




I am entering with shares to have more flexibility
thirdcoast
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QD relative strength with an intra day W....China
Mostly Foggy Recollection
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Anyone old enough, or been in the market long enough, to remember the 'munderperforming' joke?


oldarmy1
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That is correct. The largest spike you see at the middle point of the V is where sell and buy volume peak.
Charismatic Megafauna
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$30,000 Millionaire said:

I am not doing well with my WeBull account.




Real talk
$30,000 Millionaire
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I managed to pick up AH:

  • BFT at $13.29
  • SYN at $0.55
  • CIDM at $0.94
  • EBON at $5.39
  • WWR at $4.61
  • CRNT at $3.63

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