BMRI (VCP - 32W 19/3 4T)I bought my positions today
July 20, 2023
The reasons:
1. Low-risk pivot entry
2. A quintessential long-base VCP
3. The stock is at its all-time high with a six months base
4. It is in a confirmed stage 2 uptrend
5. It developed a crisp setup during the market correction
6. It has a high relative strength line
Flaw:
The general market is still declining
I'm expecting some positive actions in the upcoming days
SGER - POWER PLAYI bought my positions today
October 12, 2023
The reasons:
1. Low-risk entry
2. The stock went up >300% in less than 8 weeks
3. A fractal of small cup with handle during the pause
4. The pause has less than 25% correction
4. Volume dries up as a sign of less supply coming to the market
5. Strong close with huge volume on the breakout
6. A high alpha stock with a low standard deviation
7. One of the leaders in this market environment
8. Theme: Power Play setups work fine thus far
The flaw:
The market is still in a hard-penny environment with only 35% of total stocks above the 200-day MA.
This stock is so strong, a Power Play on top of a Power Play. I like to see some follow-throughs in the upcoming days.
BDKR (VCP - 6W 15/5 3T)I bought my positions today
October 1, 2023
The reasons:
1. Low-risk entry point
2. Prior strong upside move
3. Very clear and crisp pivot point
4. One of the leaders in the current market
5. Stock explodes >100% while the market only goes up 6%
6. High relative strength
Flaw:
1. Hard-penny environment
2. Bad close, stock squats after the breakout
I like to see the stock holds up well and perhaps pivot resets.
AMMN - POWER PLAYI bought my positions today
September 29, 2023
The reasons:
1. Low-risk entry with a crisp pivot point
2. The stock is up >100% in less than 8 weeks
3. Corrected the least during the pause, less than 25% correction
4. Volume dries up as a sign of less supply coming to the market
5. Good close and decent volume on the breakout
6. A high alpha stock with a low standard deviation
7. One of the leaders in this market environment
The flaw:
The market is still in a hard-penny environment with only 36% of total stocks above the 200-day MA.
This is a Velocity Play of a current IPO stock. I expect to see some positive price action in the upcoming days.
PANI - POWER PLAYI bought my positions today
September 25, 2023
The reasons:
1. Low-risk entry point
2. The stock is up >100% in less than 8 weeks
3. Corrected the least during the pause, less than 25% correction
4. Volume dries up as a sign of less supply coming to the market
5. High alpha stock with a low standard deviation
6. Good close on the breakout
The flaw:
The market is still in a hard-penny environment with only 36.7% of total stocks above the 200-day MA.
I'm still trading small with a pilot position until I see some trades work out fine.
KAYU - POWER PLAYI bought my positions today
October 6, 2023
The reasons:
1. Low-risk entry with a crisp pivot point
2. The stock went up >100% in less than 8 weeks
3. VCP characteristics during the pause
4. The pause has less than 25% correction
4. Volume dries up as a sign of less supply coming to the market
5. Good close and Huge volume on the breakout
6. A high alpha stock with a low standard deviation
7. One of the leaders in this market environment
The flaw:
The market is still in a hard-penny environment with only 31% of total stocks above the 200-day MA.
This stock is so strong, a Power Play on top of a Power Play. I like to see some follow-throughs in the upcoming days.
BBCA: Navigating Correction with Strategic Entry Points for PoteIn this analysis, we delve into the recent movement of BBCA stock, particularly observing a noticeable gap around the 8500 level on September 22-23. The common market tendency to fill such gaps implies a potential downturn for BBCA shares.
Navigating the potential downturn, Fibonacci retracement analysis identifies 8525 or the 0.618 level as a strategic point for considering purchases. This zone often becomes a focal point for traders seeking buying momentum, especially in proximity to the golden ratio.
Risk management takes center stage in this context. By setting a stop-loss at 7975, traders can shield themselves from significant potential losses. This restriction is designed to ensure that losses do not exceed predetermined limits, aligning with individual risk tolerance.
As the journey unfolds, bullish confirmation around 8525 becomes pivotal for making buying decisions. This may involve technical signals indicating potential reversals, validating the purchasing strategy at predetermined levels.
Looking ahead, the target price of 10900 or the 1.618 Fibonacci retracement level provides perspective on potential upswings after a corrective phase. This becomes a focal point where traders may contemplate taking profits or adjusting their trading strategies.
In conclusion, this approach reflects a profound understanding of market dynamics and wise risk management practices. Professional traders remain vigilant to changes in market conditions, basing their decisions on in-depth analyses and carefully formulated plans.