Moderately shorted and increasing short float. Volume profile is settling. Extremely low market cap for an optionable asset. Before Dec 17th, we could see an increase of at least 30% as some shorts cover. Using options so time is the only SL. First target is roughly $7.50
ARCH could see a quick rise to around $80 before Aug 20th. Heavily shorted and on the rise.
Heavily shorted and increasing short float. Stock in an uptrend. Before Oct 21, we should see an increase of at least 50% as some shorts cover. Using options so no SL set Target for exit is roughly $32
Could CLVS be the next in line for a huge short squeeze? Meme stocks have recently become all the rage so anything is possible and the most heavily shorted stocks are the targets. Short Float is currently sitting at around 30% and volume has been increasing over the past months. If it were to play out, the risk to reward for the trade with a target of $90 would...
Not the ideal setup but good potential. Trade: Active Entry: 22.88 Stop: 18.29 Target1: 27.46 (50% of Position) Target2: 30.89 (25% of Position) Target2: 34.33 (25% of Position) Personal Log
There may be a short term retracement/consolidation period before moving to the upside due to higher market cap. Trade: Active Entry: 240 Stop: 151 Target1: 482 (50% of Position) Target2: 592 (50% of Position) Notes: If T1 is hit, stop loss for remaining position size of 50% will be moved up to 370 Personal Log
There may be a short term retracement/consolidation period before moving to the upside but period should be limited due to elevated short float. Trade: Active Entry: 11.37 Stop: 9.09 Target1: 13.64 (50% of Position) Target2: 17.04 (25% of Position) Target2: 20.45 (25% of Position) Personal Log
There may be a short term retracement/consolidation period before moving to the upside but period should be limited due to elevated short float. Trade: Active Entry: 17 Stop: 2.99 Target1: 37.53 (50% of Position) Target2: 49.04 (50% of Position) Notes: If T1 is hit, stop loss for remaining position size of 50% will be moved up to 26 Personal Log
There may be a short term retracement/consolidation period before moving to the upside due to higher market cap. Trade: Active Entry: 2855 Stop: 683 Target1: 6708 (50% of Position) Target2: 8716 (50% of Position) Notes: If T1 is hit, stop loss for remaining position size of 50% will be moved up to 4700 Personal Log
Entry - 135 Stop Loss - 121 (50%) & 74 (50%) Target 1 - 310 (75%) Target 2 - 406 (25%) Notes: Half position will be closed if price falls below 121, then remaining will be closed at 74. 75% of position will be sold at 310 and remaining 25% at 406. Personal Log
Entry - 983 Stop Loss - 955 (50%) & 860 (50%) Target 1 - 1209 (75%) Target 2 - 1441 (20%) Notes: Half position will be closed if price falls below 955, then remaining will be closed at 860. 75% of position will be sold at 1209 and remaining 25% at 1441. Personal Log