SP touching neckline, technical PT 7-8
PT daily R4-R5 ,PT2≈9. Neutral-bullish pattern until breakout confirmed.
After explosive squeeze on upbeat #s short covering momentum running out of steam.
were sitting right above hourly resistance R4 @ 1.41, R5 at 1.45. looks like it wants to keep going, will it?
CODA is in a good spot on multiple time frames to continue this uptrend after recent breakout. should hit the 200DMA soon.
CCL breaking out w/ room to run from bottom of intermediate trend channel. intermediate up/ primary down trend still intact.
Higher lows/highs since may. We can see there has been institutional buying since june, which explain the recent price spikes. TTM PE = 13.2 accounting for current assets- total liabilities.
See what happened last 2x RSI went > 80 on monthly. NCAV/ Share =2.5 (.04 away from where it crashed 97.33% from highs in Jan18 to lows March20.) Not saying it won't go higher, but looks ready for a spectacular pull back!
undervalued w/ ER this week while setting up for a technical breakout. watch for confirmation over 6.65 before going long.
OPEC is removing cutbacks starting this month, could easily see another supply glut soon.
5 yr growth= 104, annualized= 21%. Intrinsic Value @ 0 = 9.7 DCF Fair Value = 8.35 (8% MoS) PE of 8.7 makes this stock super cheap!
77% EPS growth last 5 yr. Intrinsic Value @ 0 growth = $5.78. DCF Fair Value = 4.6 ( 33% margin of safety)
5 Yr EPS Growth 313%, Intrinsic Value @ 0 growth= $39, @10%: $130. W/ PE of 13.5, makes this stock super cheap! Inverse Head and Shoulders formed on daily over 5 month period. Nearing golden cross on 50 and 200 DMA on daily as well.
5 yr EPS growth 313%, Intrinsic Value @ 0 growth=39, @10=130. W/ PE @13.5 makes this stock super cheap!
Last 5 yr EPS growth =183%, Intrinsic Value @ 0 growth = 50, @ 5%=109. Pretty good for PE of 13.