NYSE:CVNA Daily crossover triggered Planning to buy at market open on 9/17 so long as we are above 148.85 (HOD on 9/3). Ideally, we stay above 152.33 (HOD on 8/30, last trading day of August) What I'm buying: With the way that CVNA tends to move, I'm opting for a vertical debit spread here. Sep27 +155c/-165c for a debit of roughly 3.30, and a max gain of...
NASDAQ:HOOD is triggering the 5/10 ema cross on the daily and looks good in this spot here. I'd like to see it get over the 50d SMA (20.63 currently) for added confirmation. If it opens above, I'll be buying at market open. Using the daily ATR of .98, my exits are as follows: SL: 19.26 TP1: Trim at 21.36 (some intraday supply here) TP2: 22.83 start of supply...
AMEX:XLK Standard crossover idea: Buying at open so long as we open or push above yesterdays close. Looking at an Oct contract Oct18 215c for roughly 9.7 (I'll try to buy at the mid) Using the ATR of 5.7 - SL: 215.89 (just below YLOD and 100d SMA) TP1: 227.37 resistance TP2: 232.17 supply zone test TP3: 238.12 ATH's test Max Date: Market open of...
NYSE:MMM Buying Oct 130c for 5.64 SL: 128.9 TP: 141 Max Date: Market Open 9/25/24
NASDAQ:ALGN Crossover has triggered on the daily, which is a sign for entry on the next trading day (Monday). However, with this stock, I first want to see it clear 245. If you look left on the daily, this level was a gap and go spot, and has since been tested several times as both support and resistance. Given that, if it opens above 245, I'll look for a pull...
NASDAQ:NVDA I posted my NVDA daily crossover idea (see below), this one is the weekly (they have both triggered) Additional Trigger: No additional trigger needed here, although the daily swing triggers could be used for a better r/r. SL: 100.29 (1.4 weekly ATR multiplier) TP: 160.00 (3.2 weekly ATR multiplier) Max Date: Week end on Friday, November 8th (yes,...
NASDAQ:NVDA NVDA has triggered both the daily and the weekly crossover. Both can be approached as separate trades, this is just the daily outline. Additional Trigger: Only to try and get a better R/R based on the S&D zones, I would aim for an entry around Thursday's LOD (115.38). A more safer approach would be the 114.11 test, which would be a .5 fib...
NYSE:RCL Buying at market open Looking at the Sept 27 bull put spread of -170p / + 165p for ~2.47 credit with a max loss of ~2.53 SL: 158.98 TP: 173.35 Max Date: Market open 9/25/24
VST Idea . A utility set to continue to benefit from the AI space I got burned on this a few months ago, but it just wasn't time yet. Since then, it has had a great reality check, along with a few key levels, demand zones, and MAs. Stronger conviction over last weeks high, but I'm not likely waiting for that. So long as it's above the 5d ema on Tuesday, I'm...
NYSE:UBER Weekly Idea Research price = 73.13 Trigger price = 1hr candle close above 74.30 Entry = Prefer a retest of 74.30 after confirm close This is my ema cross strategy, with exits based on ATR multipliers, and a time limit. This time though, the trigger was set on the weekly time frame which can indicate a longer-term swing. Normally I would enter at...
NYSE:GSK has set of a daily trigger with a 5/10 ema crossover after a positive earnings report. During my planning for this idea, I needed to zoom WAY out to the monthly chart in order to understand these levels a bit more. Screen shot of the monthly below: It turns out that last week's close put the stock right at a very long-standing Point of Control...
The XLP continues to support the uptrend despite majority market conditions, and I like the largest holding of PG based on that. My strategy is more comfortable with ITM options with time, so I'll be looking at the Sept 20th 160c personally (11.90 mid at time of writing), but the idea could support other options and/or spreads. All levels are mapped out on...
Closed above the daily 9ema Been riding that 20ema nicely Currently forming a bull pennant on the daily NVIDA earnings Wed, might be a good sympathy to that Looking for a break and hold over 180, at least on the 15m for a scalp, or hourly/higher for a breakout SL would be a break down below 180 (entry) Small-sized lotto earnings sympathy might be in...
NASDAQ:MARA mid-term bullish, dependent on BTC action and overall market conditions Looking for a hold over 22.50, ideally a retest of 23-22.50 zone for entry Targeting the 26.60 - 26.80 range, with a reach of the 31-33 zone. TP1 @ 24.36 TP2 @ 25.20 TP3 @ 26.60 TP4 runners @ 31 Would be interested in the 3/1 25c. Expecting some chop and an inside day,...
Short-term bullish on $RIOT. Dependent on BTC action and market conditions. Looking for a hold over 14. Ideally, a retest of the ~14-14.25 range intraday Would target 2/23, 15c or 16c. I expect some chop and/or an inside day in the beginning of the week, so want to buy some time. May even look at March cons. TP1 @ 14.79 TP2 @ 16 TP3 runners @ 17 Recent uptrend...
Keeping this simple on NASDAQ:TSLA this week. Looking for a break and hold above 194, then targeting 206 for this week. Will also be dependent on the environment, including CPI data Tuesday. Short-term bullish. Monitoring reactions at 206 is critical to determine longer trend. Possible Megaphone pattern forming on Daily, following a strong downtrend RSI...
DISCLAIMER My thoughts are outlined within the chart itself, and they are just my thoughts and opinions based on the technical analysis that I see. I am in NO WAY a professional in the trading of any crypto currency, so ffs, DO YOUR OWN RESEARCH! :) :) COINBASE:BTCUSD NASDAQ:COIN NASDAQ:MARA NASDAQ:RIOT NASDAQ:HUT NASDAQ:IBIT AMEX:GBTC ...
SP:SPX Falling Wedge Idea, good R&R Conversely, a break of 3800 and I'll look into PUTs