The reasons: 1. Low-risk pivot point 2. This is the first buyable base after an IPO 3. Long base VCP setup 4. Volume dries up as indication of less supply coming to the market 5. 1 - 2 punch with huge volume on the breakout 6. The weekly-base looks even more attrative
The flaws: 1. The stock still has to absorb a lot of overhead supply on the left side 2. It squats today after the breakout
Trade active
I like to see if the stock can hold up and move constructively in the upcoming days
Trade active
I reduced my positions today slightly below the buy point. I'll get back in if it starts to work again.
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