Looks like a bear flag may be forming on the daily chart of Mattel. Waiting to see if there is a breakdown of lower trend
Mattel, Inc., a children's entertainment company, designs and produces toys and consumer products worldwide. The company operates through North America, International, and American Girl segments. It offers dolls and accessories, as well as content, gaming, and lifestyle products for children under the Barbie, Monster High, American Girl, Polly Pocket, Spirit, and...
Hey folks, I hope you are all doing well! MAT seems to be a really good buy both technically and fundamentally. The stock has been beating earnings and technical wise, it meets all of Mark Minervini's criteria for a bullish stock trade (on the weekly timeframe). We also see that the stock price has bounced from a long term resistance that's now support, so it...
It is good for a long term investment Short Term -Go long - Target pRICE 9.40 uUSD Long Term - Go long - 11.5 USD
Hi there. Price is forming a reversal pattern to change its direction. Wait for the price to complete the pattern and watch strong price action for buy.
MAT looks like it has been consolidating for awhile now and with the recent put sweep and selloff in the markets, it looks ready for lower. The $9 puts for 17Apr have 43k oi and look very good if we reach our final put target, as long as this stays in the box we should be good to go lower.
$MAT is trading higher after delivering strong Q3 earnings and putting its accounting issue behind it. Here are the highlights from Q3: Dolls sales were up 5% during the quarter off a double-digit jump in the Barbie business, while the vehicles category saw a 13% gain off a stellar quarter for Hot Wheels. The company's adjusted gross margin rate improved 390 bps...
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Hi there. Price is forming a continuation pattern to the upside. On lower time frame price has already made the first impulse and currently is forming a continuation pattern to the upside. Wait for the price to complete the pattern and watch strong price action for buy.
Metrics: Max Profit: $223/contract ($56 at 25% max) Max Theoretical Loss/Buying Power Effect: $1277 (stock goes to 0); $1277 cash secured; ~$300 on margin. Break Even: 12.77/share (7.6% discount over current price if assigned on the 15 short put); no upside risk Delta: 43.26 (bullish assumption) Theta: 1.09 Notes: I wasn't happy with what my screener was showing...
There was a good short signal, after breaking through the resistance line and 200MA, and fastening below its level. Such signals as this one are very strong in nature. The GAP, which breaks through the resistance level of the channel and in addition opens below 200MA, is one of the strongest signals for shorts: Given the general picture of this action, I see...
It does not look very good, and 8.50 does not sound so crazy to me
Earnings COST announces earnings on Thursday after market close. With a background implied volatility of 21%, it doesn't meet my basic earnings play sniff test, but naturally that can increase running into earnings, so it may be worth keeping an eye on. Preliminarily, the Oct 20th 158/170 short strangle currently pays 2.21 at the mid with break evens around...
*WE'VE ACCIDENTALLY PUBLISHED PRIVATE IDEAS* From a trade earlier this month, we traded a credit spread opportunity to the downside on Mattel ($MAT). Check out our articles for more about this trade as well as our trades on $TWTR and $WYNN this month.