$2.36 to $6.54 Strong vertical move $CRVO$2.36 to $6.54 🚀 Strong vertical move on 4 Buy Alerts 🎯 NASDAQ:CRVO
By far beats trading NASDAQ:NVDA NASDAQ:TSLA even on their strongest day
it's trading at 137 million shares so far, at $6 per share that's $1 Billion USD exchaning hands and we still have power hour left.
Vertical
$3.35 to $13.46 in 45 minutes during premarket, strong 300%Early bird gets the worm in premarket stock trading I guess. When they start moving like this during early morning it pays to wake up early and catch one of these because it could be more profit faster than during all regular trading hours during the day.
+340% in 2 hours $0.44 to $1.94 $CAPTBOOM! 💥 +340% in 2 hours 🚀 $0.44 to $1.94 on strong buying with vertical halts along the way NASDAQ:CAPT 🏎️💨
Buy Alert right before vertical halt with plan to take profit after the halt since that's when these kind of stocks usually create a gap and open up higher for easy money. Locked profit $1.82 could've been more to max it out into $1.90's but played it safe.
+644% vertical $0.18 to $1.34 $TCTMHuge run from $0.18 to $1.34 🔥 in just a few hours NASDAQ:TCTM
It was first on my premarket watchlist which I posted everywhere as each morning.
At the time it was up just +130% now +644%
Massive HALF OF BILLION shares traded volume so far, it hits a billion volume today easily.
Buy Alert paid very well!
I just created this $300 Million dollar push in the market $HOTHOops?
Stock doubled in minutes causing huge losses to shortsellers and awesome wins to everyone who bought because of my alert
Volume went from 100 million shares to 270 million shares, stock went from $1.70 to $3.80 both within an hour 🔥
We're just getting started, shortsellers we're coming for you in 2025!
$13 to $20 vertical in 90 minutes after 2 Buy Alerts $CRNCThat's the definition of Fresh Cash Friday 🤑
Early mention in $12's just minutes after market open about gap up to close into $14
Once it got there another dip buy at $13 for a double ride back up
Then once resistance was eaten out $16+ buy for $20 vertical
Whole team getting fresh cash
I need help please...Hey guys...
I'm tying to back test a strategy that I think might be beneficial for me, and I use vertical lines to count how many times I have been back testing so far. But I wanted to know if someone could create an indicator or at least tell me if its possible for me to see how many vertical lines I placed so far without having to count all of them. I feel like this is the biggest reason why people don't back test because it takes quiet a long time to count and write everything down. So whoever helps me on this, is basically a hero in the entire tradingview community.
please somebody answer this as fast as possible thank you so much.
$BABA high P/L debit spread +170% TP with options #baba #alibabaAlibaba suffered the past one year.
My last trade was an $BABA Iron Condor, closed in profit:
Now it's time to play for some bullish bounce.
Reasons:
* Bullish volume, +10% in one day.
* Oversold smooth RSI
* Reasonable setup before event
* Bullish action candle
Max profit: $1100
Probability for 50% of Profit: 50%
Profit Target relative to my Buying Power: 170%
Req. Buy Power: $396 (max loss without management before expiry, no way to let this happen!)
Tasty IVR: 45 (average implied volatility rank)
Expiry: 15 days
Buy 3 BABA Jan14' 130 Call
Sell 3 BABA Jan14' 135 Call
Summary, 3 debit call spreads for 1.32db each.
Stop/my risk management : Closing immediately if daily candle is closing BELOW the red line, max loss in my calculations in this case could be ~$250.
Take profit strategy: 65% of max.profit in this case with auto sell order at 3.75cr for each position OR reaching the profit target level ($135 price lvl) - whichever occurs first.
Of course I'll not wait until expiry in any case!
If you liked this article, check my other ideas.
Anyway: HIT THE LIKE BUTTON BELOW , and for fresh option ideas FOLLOW ME( @mrAnonymCrypto ) on tradingview !
$SPY BULL short put spread 90% PoP, 20% profit #options #option
After a beartrap switched back to bullish view with large ETF-s.
First of all: SPY
Max profit: $204
Probability for 50% of Profit: %90
Profit Target relative to my Buying Power: 20%
Req. Buy Power: $996 (max loss without management before expiry, no way to let this happen!)
Expiry: 22 days
Buy 3 SPY Jul16' 420 Put
Sell 3 SPY Jul16' 416 Put
Credit Put spread for 0.68cr each.
Stop/my risk management : Closing immediately if daily candle is closing BELOW the box, max loss in my calculations in this case could be 350$.
Take profit strategy: 65% of max.profit in this case with auto sell order at 0.24db.
Of course I'll not wait until expiry in any case!
If you liked this article, check my other ideas.
Anyway: HIT THE LIKE BUTTON BELOW , and for fresh option ideas FOLLOW ME( @mrAnonymCrypto ) on tradingview !
COINBASE 72% PoP 30% Profit with short put vertical strategy TA at 1HR TF (because this stock is new, no daily history)
Quick Coinbase play at high IVR, reasons:
- trend changed: higher high , lower lows
- divergence at bottom
- my strike is last bottom as support- $260
- I have very plenty safety zone
- Buying power arrieved as volume
Max profit: $220
Probability of Profit: 72%
Profit Target relative to my Buying Power: 28%
Max loss with my risk management: ~$290
Req. Buy Power: $780 (max loss without management before expiry, no way to let this happen!)
Tasty IVR: 93 (ultra high)
Expiry: 38 days
Buy 1 COIN Jun18' 250 Put
Sell 1 COIN Jun18' 260 Put
Credit Put spread for 2.2cr, because IVR is very high.
Stop/my risk management : Closing immediately if daily candle is closing BELOW the box, max loss in my calculations in this case could be 290$. Probability of loss in this way: ~10% .
Take profit strategy: 65% of max.profit in this case with auto sell order at 0.77db. Probability of profit this way: ~90%.
Of course I'll not wait until expiry in any case!
If you liked this article, check my other ideas.
Anyway: HIT THE LIKE BUTTON BELOW , and for fresh option ideas FOLLOW ME( @mrAnonymCrypto ) on tradingview !
Long on AMDChart pattern along with price action/ candlestick momentum, indicates to me this can be a bullish entry. AMD looks stable. Implied volatility is reading 47.5% from my broker IB. I will be looking to buy a credit spread at the open, to exit before Earnings as a safety/ risk management measure.