Bullish stuff long term! REMEMBER inflation is theft Taxatin is thieft Buy bitcoin or doge
Easy quick money sell :DDD if you cant see what i see, dont sell without confirmation please RISK MANAGMENT DONT BLOW YOUR FCKN ACCOUNT UP Money is precious penguins are the best tho
Parabolic breakdown from ATH is over Gaps filled 75-85 Mainstream euphoria is calming down FUD from Burger King Impossible lawsuit is a red herring Looks very good for a reversal, Small Company, Massive client & consumer base Market over reacted after the IPO bubble popped
I've been watching this one a while now... I made a call that if we break the yellow / 122 level we will see almost a double up to near 230 based on some gann projections in the other idea (check it out it is linked) Manage your risk (almost a 5:1 if you're willing to risk 20% to get near 100%) GL HF xoxo sn00p
Hi guys. I'm humbly sharing my stock ideas here with long term investors. I'm only commenting on the technical signs. Thank you for your attention.
MONA I hope if you trade abou my past analysis a few days ago , now you enjoy nice profit . :-) Thanks for your frienship friends :-)
Taking Monsanto Long for a measured move of +3.74% (+$4.00/sh) to $112.50. Stop is at $106.74 for a better than 2-to-1 R:R. Volume has been strong on green, weak on red as this formation sets up to break out. This chart may also be completing a cup and handle on the daily, making the measured move closer to +$12, taking it to a potential price of $120/sh.
ENTRY SHORT 121 SL 133.4 TP1 106.5 TP2 97.25
MONSANTO is in the middle of a corrective structure, I'm expecting a breakout to the upside. Possible target on chart. A strong breakout of the dotted line can invalidate this setup.
indicator Aligator,the green line crosses the red line. But gap should be blocked. And immediately going up
MON announces earnings on Wednesday before market open, so look to put on your play on Tuesday in the waning hours and minutes of the NY session. As with all earnings plays, you may have to tweak your strikes somewhat, depending on how MON moves running into the end of the session. Here are the metrics for this defined risk setup: Probability of Profit: 69% Max...
With VIX at sub-14 levels and without much on the earnings calendar that is ideally playable with options from a premium selling standpoint, next week is likely to be a schnooze in the absence of a broad market volatility pop. Nevertheless, there are a couple of plays I might consider. MON: MON announces earnings on April 6th before market open. With an implied...
Sale Volume spike on 03-18 decreased the price to 248 Recovery ever since as the market begins to emerge. Fat Buy Candle on 3-22 3x prev hi 270 lo 255 previous swing 3-16 to 3-19 hi 295 lo 246