LISTED:
FNGR - 278 MILL MC, FILED AN S-1 ON THE 8TH FOR 6 MILL SHARES - SOMETHING SKETCHY GOING ON WITH THE OFFERING, NO OTHER NEWS FOR THE STOCK, VERY SIMILAR TO GTII, POTENTIALLY 5TH GREEN DAY NOW, BLOW OFF TOP VOLUME YESTERDAY, SQUEEZED AFTER HOURS UP TO THE 10’S, SUPERNOVA CHART, LONG TERM SORTA MIDRANGE, 23 MILL FLOAT, 42 MILL SHARES OUTSTANDING, AUTHORISED TO ISSUE UP TO 200 MILL, A LOT OF SHORTS WILL BE GETTING SQUEEZED, GOOD LIQUIDITY, NO REAL CATALYST JUST A SHORT SQUEEZE, TODAY COULD BE THE DAY, ONLU PLAY WOULD BE A BIG MORNING/INTRADAY PANIC DIP BUY IF IT COMES DOWN ENOUGH, DON’T MAKE THE SAME MISTAKE AS GTII BUYING TOO EARLY. ENTRY POINT WOULD BE BETWEEN 5.80 AND 6 AS THERE IS SUPPORT FROM YESTERDAY DOWN THERE WITH A GOAL OF SELLING $7-$8, HOWEVER THE LOWER THE BETTER, LONGER TERM KEY SUPPORT IN THE LOW 4’S, TELECOMS SECTOR, MAKING MONEY FROM REVENUES BUT LOSING AFTER ALL OTHER EXPENSES
BEAT - 33 MILL MC, CARDIAC TECH COMPANY GOT A PATENT FOR AN ECG MONITOR, PUT OUT A VIDEO TRYING TO HYPE THEMSELVES UP BUT STOCK DIDN’T REACT TO IT, PUT OUT BASICALLY THE SAME PR ABOUT A PATENT RECENTLY ON THE 28TH HYPING THEMSELVES UP SOME MORE, PRESENTING AT A CONFERENCE ON THE 12TH OCT AND THE 26TH, WANT TO INCREASE THEIR NUMBER OF AUTHORISED SHARES TO 100 MILL, MASSIVE BAD SUSHI CHART, PROBABLY DID A LOAD OF SPLITS, TRYING TO BOUNCE OFF ALL TIME LOWS, VOLUME JUST IRRELEVANT NOW, LOOKS LIKE ITS STARTING TO ROLL OVER, BIG CRACK YESTERDAY WHICH COULD SIGNAL ITS STARTING TO REVERSE, SHORT TERM CHART IS A MULTI DAY RUNNER FROM THE 2’S TO THE 4’S, CLOSED BASICALLY UNCHANGED YESTERDAY, GAPPING DOWN PRE MARKET, ONLY PLAY WOULD BE A BIG INTRADAY PANIC OR MORNING PANIC, LOW FLOATER, 8 MILL SHARES OUTSTANDING, GUNNA BE HARD TO BE IN AND OUT BECAUSE OF THE LIQUIDITY, BIOTECH, CATALYST IS ALRIGHT BUT JUST A PATENT, HYPING THEMSELVES UP QUITE A LOT, SUPPORT AT 3 AND IN THE LOW 3’S, ENTRT BETWEEN 2.90 AND 3 IF IT CAN GET DOWN THERE AND GOAL WOULD BE 3.50-3.60, LOSING MONEY EACH QUARTER
OTC:
GTII - FORMER RUNNER BACK IN 2021, 1.72 BILL MC WHICH IS RIDICULOUS AS THEY’RE A SHELL CORP AND HAVE NO OPERATIONS, HIT 9 YESTERDAY, OFFERED A GOOD MP DIP BUY YESTERDAY BUT I WAS TOO EARLY ON MY TRADE AND WAS HARD TO GET IN AND OUT OF THE STOCK AS ITS AN OTC, BLOW OFF TOP PRICE ACTION YESTERDAY, WENT SIDEWAYS DURING THE DAY BUT BOUNCED INTO THE CLOSE, ONLY PLAY WOULD BE A MORNING PANIC DIP BUY OR INTRADAY, SUPERNOVA PATTERN, 200 MILL FLOAT, 260 MILL SHARES OUTSTANDING, LOTS OF SHORT SQUEEZED YESTERDAY IN THE MORNING, THEY WILL BE LOOKING FOR A FRD TO SHORT WHICH COULD BE TODAY, THE VOLUME IS THERE BUT EXECUTIONS ARE DIFFICULT, HAS SUPPORT AT 5.50 WHICH IDEALLY NEEDS TO CRACK TO OFFER MORE PANIC, THE LOWER IT CAN GE THE BETTER, LONGER TERM SUPPORT AT 4.50, BUT ALSO SUPPORT AT 5, ENTRY AT 4.50 IF IT CAN HOLD BUT 4 WOULD BE BETTER RISKING 3.90 AND GOAL WOULD BE TO SELL BACK TOWARDS 5
WSRC INND GDVM WINR SHMP - ARE SOME OTHER OTC STOCKS TO WATCH, VOLUME IS LOW AND THEY NEED NEWS TO RUN, POTENTIAL FGDS ON SHMP AND WINR, WSRC INND AND SHMP ARE FORMER RUNNERS SO THESE WILL BE THE ONES I WATCH FOR ANY POTENTIAL SPIKING, WINR I THINK IS DEAD NOW, GDVM JUST KEEP GOING BUT CLOSED NEAR ITS LOWS SO COULD HAVE A MORNING PANIC BUT I WONT BANK ON IT
FNGR
HISTORY OF CHART? MORE OF A BAG-HOLDER CHART
RESISTANCE? 9
SUPPORT? 8, 6
WHAT DAILY CHART PATTERN IS IT? SUPERNOVA
WHAT NUMBER IN THE FRAMEWORK? 3
WHATS THE NEWS - PUMPED UP BEING ARTICLES AND PR’S OR SOMETHING MEANINGFUL? NO NEWS
WHATS THE FLOAT/MC? 278 MILL MC, 42 MILL FLOAT
WHAT SECTOR IS IT - IS IT IN A HOT SECTOR, COMMODITIES? TELECOMS
FORMER RUNNER? NO
RECENT RUNNER? YES
WHATS THE VOLUME LIKE? DOES THE VOLUME CORRESPOND WITH THE CHART PATTERN? BLOW OFF TOP
WHERE DID IT CLOSE? AT ITS HIGHS
CHOPPY? NORMALLY SPIKES AND FAILS
OVERALL MARKET? BOUNCED NICELY OFF IT LOWS
EXCHANGE? NASDAQ
INTRADAY PATTERN? STAIRSTEP
ANY SHORTS? YES GETTING SQUEEZED
LATE IN THE PATTERN? NO
KEY LEVELS? 10, 8, 6
ENTRY ? 5.80-6
RISK ? 5.80 IDEALLY
EXIT ? 7 - 7.30
BEAT
HISTORY OF CHART? BAD SUSHI
RESISTANCE? 4.20 UPWARDS
SUPPORT? 3.80, LOW 3’S
WHAT DAILY CHART PATTERN IS IT? POTENTIAL NUMBER 4 BUT CHOPPY
WHAT NUMBER IN THE FRAMEWORK? POTENTIAL 4
WHATS THE NEWS - PUMPED UP BEING ARTICLES AND PR’S OR SOMETHING MEANINGFUL? PATENT NEWS AND PUMPING
WHATS THE FLOAT/MC? 33 MILL MC, 4 MILL FLOAT SO LOW FLOAT
WHAT SECTOR IS IT - IS IT IN A HOT SECTOR, COMMODITIES? HEALTHCARE
FORMER RUNNER? NO
RECENT RUNNER? YES
WHATS THE VOLUME LIKE? DOES THE VOLUME CORRESPOND WITH THE CHART PATTERN? NO VOLUME
WHERE DID IT CLOSE? UNCHANGED BUT RED
CHOPPY? YES VERY
OVERALL MARKET? BOUNCED NICELY OFF ITS LOWS
EXCHANGE? NASDAQ
INTRADAY PATTERN? JUST CHOPPY
ANY SHORTS? YES PROBABLY PILING IN
LATE IN THE PATTERN? NO
KEY LEVELS? 3
ENTRY ? 3
RISK ? 2.90
EXIT ? 3.50
GTII
HISTORY OF CHART? FORMER SUPERNOVA
RESISTANCE? 7, 9
SUPPORT? 5.50, 5, 4.50, 4
WHAT DAILY CHART PATTERN IS IT? SUPERNOVA
WHAT NUMBER IN THE FRAMEWORK? 3
WHATS THE NEWS - PUMPED UP BEING ARTICLES AND PR’S OR SOMETHING MEANINGFUL? NO NEWS JUST SHORTS GETTING SQUEEZED
WHATS THE FLOAT/MC? 1.72 BILL MC, 200 MILL FLOAT
WHAT SECTOR IS IT - IS IT IN A HOT SECTOR, COMMODITIES? SHELL CORP
FORMER RUNNER? YES
RECENT RUNNER? YES
WHATS THE VOLUME LIKE? DOES THE VOLUME CORRESPOND WITH THE CHART PATTERN? HOLDING NEAR HIGHS WELL
WHERE DID IT CLOSE? MIDRANGE
CHOPPY? NO
OVERALL MARKET? BOUNCED NICELY OFF THE LOWS
EXCHANGE? OTC
INTRADAY PATTERN? AFTERNOON FADE BUT BOUNCED INTO THE CLOSE
ANY SHORTS? YES LOTS
LATE IN THE PATTERN? NO
KEY LEVELS? 4, 7
ENTRY ? 4
RISK ? 3.90
EXIT ? 4.50, 5
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