$Carbon Revolution(CREV.US$ Hope its not some BS news. Just need it to be a catalyst.
This came out yesterday: The recognition from Automotive News highlights Carbon Revolution's position as a leading global manufacturer of lightweight advanced technology automotive carbon fiber wheels.
This came out yesterday: The recognition from Automotive News highlights Carbon Revolution's position as a leading global manufacturer of lightweight advanced technology automotive carbon fiber wheels.
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$Destiny Tech100(DXYZ.US$ They made a new comapany that ended lockup for half of the shares. These are probably short shares and if so then they will have to cover for them first. Then the stock will fall to a new low. And if they werent short shares then the stock is going to keep falling to a new low.
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$OneMedNet(ONMD.US$ Borrow rate has increased everyday the last 15 days. The new support is .52. When it reached its new support of .50 it ran to 2.13 or 300% gains. Short share volume hit its lowest amount yesterday which means they arent able to profit selling that amount of shares with its high borrow rate and its better to go ahead and cover.
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$Zapp Electric Vehicles(ZAPP.US$ After it RS it ran up from 2.80 to 6.45. The next day 3.80 to 6.15. The day after that 3.80 to 5.01. Since then it has pulled back again to 2.78 and beat the previous days high. This usually indicates a price reversal as long as it stays above 2.60 tomorrow then it should run back up to 6.40 at least.
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Why isnt Level 2 data dispersed freely all the time? Is it because the information being widely dispersed would lower the Nasdaqs profit percentages a couple of points? Nasdaq has a net income of over a billion dollars a year which it could consider necessary in order to maintain its talent level but seems a bit excessive for that. Or is charging for the data necessary in order to have a little fall back cushion in the case of a negative unforeen event?
Two stocks th...
Two stocks th...
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$Carbon Revolution(CREV.US$ Even if its just 1 share I would buy and hold for 3-9 days starting Monday. They have news on May 1st. And shorts will probably cover before that. 300,000 in volume can run it as high as $200.00 which is why having 1 share at 14.00 could pay out big time. Im wanting to get 100 shares at 13.95 with a sell set at $85.00 for 75 of them and Ill hold the other 25 to see if it goes to $200. This would net a profit of around $10,000.
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$Mobix Labs(MOBX.US$ Has been a solid stock for awhile. Lots of government military contracts. A rise to a new high will happen sooner or later.
$DIH Holdings(DHAI.US$ High volume on Friday has it with only 3 resistance points left starting at 1.84 but 2.09 is the break point and 3.29 is the last one before CB to 5.02 happens.
$Massimo(MAMO.US$ Has bounced off the 4.50 resistance twice now. There will not be a 3rd time. Look for a dip to about 3.95 and ...
$DIH Holdings(DHAI.US$ High volume on Friday has it with only 3 resistance points left starting at 1.84 but 2.09 is the break point and 3.29 is the last one before CB to 5.02 happens.
$Massimo(MAMO.US$ Has bounced off the 4.50 resistance twice now. There will not be a 3rd time. Look for a dip to about 3.95 and ...
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$Sunshine Biopharma(SBFM.US$ Confirmed uptrend. You only lose your money if you sell. Im still holding half a mine waiting for 200% gains.
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