For risk-takers, this is for you, SAN FRANCISCO Marin Software, a leading provider of digital marketing software for performance-driven advertisers and agencies. by studying the company file we noticed... Volatility and Risk Marin Software has a beta of -0.18, meaning that its share price is 118% less volatile than the S&P 500. Comparatively, Marin...
NIO is completing the 4th wave in 7 a swing sequence. Price might end up at about $23.20 area as long as we don't got below $16.48 we should see a bounce to the upside to new Highs! So we will look for Buys once we have reached the blue box area.
Expect LONG on NIO on long-term perspective, from a HTF point of view price is squeezing right now into a bullish triangle that should be broken to the upside way above 40.00 level. For a better long opportunity wait for the price to consolidate above psychological area 40.000 bullish confirmations and go LONG. What do you think ? Comment below..
$AMD Trade Idea Watching $AMD over Friday's hi's. Had relative strength Friday and held up nicely during a nasty day with the news on the new virus out of Africa. I'll be waiting the first 30 mins of the market open to see what the market gives us but if we can get a bounce on the Q's I will look to enter this Trade. $AMD Entry: 158 Targets: 159.50, 160.50, 62,...
$NVDA Trade Idea Contract: 12/3 342.50c Entry: 335 Targets: 327.20, 328, 339.30, 343.30 Stop loss: 15%
$MRNA had a really nice gap up Friday morning in premarket. Made a really nice move to the 350sh key area and consolation for the rest of the day. We also saw a ton of call flow coming in for the 380s 390s and 400s and even the 500s. Looks really good for a bounce or above 350.50. $MRNA "Hi Alert" Entry: 350.50 Targets: 354,360, 362.50 Stop Loss: 15%
Baidu has violated the upward channel downwardly with a reversal pattern that shows to what extent the sellers are in control. The stock may target 145.55 - 136.40 support levels consecutively.
The stock range was 25-40 for a year, Recently Range has shifted with a volume candle in the monthly time frame which is a clear breakout and we must add this stock in our mid-term holding. Buying range was 40-45 Add more at 30 if the price correct SL: 20 Target: 75/118/140 Midterm holding
$UPST had a bad report for earnings gapping it down. Saw some big selling going on today with buyers stepping in for tons of bearish flow. I will look for more continuation on this to the downside tomorrow. Ticker: $UPST Entry: 229.50 Targets: 225.25, 218.50, 210.50, and 200 Stop Loss: 15% Will update in PM.
$NVDA has been really good to me the last few weeks and is still very strong. Had a good run with lots of call flow still coming in. Will be watching to take this back to that 327 level. Entry: 309 Targets: 317, 323, then re-enter on the break of 327. Contract: 11/19 320c Stop Loss: 15%
Will be watching $RBLX at the open as one of my main watches. Had great earnings with some good momentum on Friday. Looking for this momentum to carry on with a healthy market coming back into ATH. Entry: 108 Targets: 110,112, and 117 Contract: 11/19 120c Stop Loss: 15%
Watching $TTD over ATH. Also looking at a red to green or bounce. Had a ton of flow coming in on Cheddar Flow last week and is still very strong especially if we can get an aggressive market to the upside. Entry: Red to Green, Bounce, or over 100.50 Targets: 102.50, 104, 108.50 Contract: 11/19 105c Stop Loss: 15%
There is no guarantee in stock market and Nothing over week Always Invest or trade according to your loss bearing capacity STOCK FOR EDUCATIONAL PURPOSE ONLY Ingersoll-Rand (India) Ltd. @ 1290 with target of 1320 CMP IS 1275.25 STOP LOSS: ACCORDING TO YOUR RISK APPETITE OR @ 1160. Disclaimer: I am not Sebi Registered. All my ideas/opinions and analysis is for...
not trading this if you are new or conaevative traders but see in this insttutions stops loss huting if see than making you plans
Market Leader HUL is trading near its long term Trendline Support and horizontal Demand Zone. High Possibility of the stock bouncing back from the current levels.
Nothing guaranteed and Nothing over week Invest or trade according to your loss bearing capacity STOCK FOR EDUCATIONAL PURPOSE ONLY TTK PRESTIGE LIMITED @ 11250 with target of 11500.CMP IS 11132.65 STOP LOSS: ACCORDING TO YOUR RISK APPETITE OR ONE OR TWO PERCENT BELOW 10000. Disclaimer: I am not Sebi Registered. All my ideas/opinions and analysis is for your...
Hey all , Hope you all doing good in this lock down :P Today I am sharing my another Idea for mid and for Long term swing . Script Name : ADANI POWER 1st Buy : 21 Second Buy : 18 Third Buy : 15 Average Buy : 18 rupees Stop Loss : 11 Target : 30/41/58/73 Long and for Mid term Holding
TSLA releases its earnings today after market close. It’s EPS forecast is 1.58. Technically, the stock has a bullish stack with the green short EMA above the orange intermediate EMA, and the orange intermediate EMA above the slow red EMA. Moreover, the EMAs have angle and separation which indicates an underlying momentum. The company is on track to deliver 50%...