No insiders. Break 1.63. Stop signal 1.45. Target 1 1.93. Target 2 Momentum
Break Below $33.27 Target $26.75 Stop: $35.35 H/S pattern , Earnings AUG 25 ,Recent insider sales, Divergent TMF
Break 67.22 Stop 72.63. Target 1 60.13 Target 2 53.63
4 director purchases in $12-$13 range. Watching for break of 14.73. First target 16.33. Target 2 19.83. Stop signal 13.83.
Break 169.62. Target 1 179.83, Target 2 197.43. Stop signal 159.83.
Break below 32.43, Stop signal 34.13, Target 23.10
Break 94.23. Target 1 85.13, Target 2 Momentum, Stop signal 100.17.
flag/wedge Entry break $298.37 Target1: $320 Target 2: Momentum Stop: $289.43
cup/handle Entry break $3535 Target1: $4100 Target 2: Momentum Stop: $3383
Very heavy insider selling from 1 director. Break below 11.87. Stop signal 12.53. Target 10.13. October $12.50 puts are 1.75.
Debt/Equity 0.88, 13% short float, High P/FCF (186), reasonable insider selling (2 insiders as well as option selling) Break below 53.92, Stop signal 55.12 , Target 50.57, Target 2, 48.07. Target 3 Momentum. October $55 puts are $5.80,
Buying around $13 in July last year. Break above 4.16, Stop signal 3.63. Target 4.93, Target 2 5.93. August $4.00 call options are 0.60. November $5.00 Call options are 0.75.
Big recent purchase from Director in March. $5m+ at 21.17 and 56% increase. Break above 22.57, Stop signal 19.21. Target 1 27.78., Target 2 Momentum. September $25 call options are $2.25
Lots of insider buying in June/July last year at $1.65-2.14. Big % and $ size. Possible entry above 1.20, Stop signal 1.07, Target 1 1.47, Target 2 Momentum. Small option chain but options available.
(one of the ones mentioned in Fridays video). One insider purchase in march at $5.68 for 6.9 Mil. and 31% increase in position size.