$メタ・プラットフォームズ(META.US)$– Meta is falling short of its goals for its flagship metaverse product "Horizon Worlds", according to internal documents seen by the Wall Street Journal. The product has less than 200,000 monthly active users, compared with an initial goal of 500,000 by the end of this year and a revised year-end goal of 280,000. Meta rose 1.6% in the premarket. $ゴールドマン・サックス・グループ(GS.US)$– Goldman plans to combine its various businesses into three divisi...
Barclays Bank believes that Archaea Energy, a pure renewable natural gas supplier, has great growth potential in a favorable macro environment. Compared with other renewable energy sources, RNG(Renewable Natural Gas) provides an attractive cost for carbon emission reduction. Barclays gave an overweight rating with a target price of $26. Key takeaways: 1. High-quality development projects and wise acqu...
When you are producing results that you dont want, you have to rethink your strategy. Focus on deeper research into the stocks. Eliminate the mistakes. The quick trades that are on hope and not on extensive DD have to be taken out of the equation. Designing a plan and a list of which trades are best suited for that day. Dont get distracted by what other stocks are doing. With that in mind I used all bullish candle signals, short interest, resistance and support points, RSI, ER projections, analyst coverage, target prices, short interest rate, shares available, float available, and even the numbers market managers use to signal which way to move the stock price.36 hours later and these are the stocks that passed. $Adagio Therapeutics(ADGI.US)$is my top pick. Was only affected because of bad Pfizer pill publicity. Low float means on monday will move up fast. Too many shorts sellers joined in and will want to cover quick on monday. 1.$Ever-Glory International(EVK.US)$at breakout. Borrow rate is 94.11%. buy in 3.25 sell 8.00 2.$Color Star(CSCW.US)$at breakout. borrow rate 21%. buy in .68c sell . 97c. 3.$フェイト・セラピューティクス(FATE.US)$support 59.07 resistance 61.84, 63.07, 64.61. TP 108.00. Short interest is 17.77%. 4.$Zymergen(ZY.US)$buy in 11.07 sell at 14.00. 100,000 short shares available. Borrow rate is 15.37% 5.$シフト4・ペイメンツ(FOUR.US)$45% of float shorted(21 million share). PT- 108.89. Projected ER beat of 160% YOY. buy in 60.32 sell at 78.00 6.$ディアメディカ・セラピューティクス(DMAC.US)$Buy in 4.60 sell at 7.17. 7.$Archaea Energy Inc(LFG.US)$ 8.$Advanced Emissions(ADES.US)$ 9.$バートラ(VTSI.US)$ 10.$イノベート(VATE.US)$ 11.$BiondVax制药(BVXV.US)$ 12.$アリメラ・サイエンシーズ(ALIM.US)$ $Codiak BioSciences(CDAK.US)$has a gap up to 18.85. Can run if it breaks 19.14. buy in 16.78. sell 19.00 for about 15%. I also made portfolios so i could keep up with the top 30 stocks I found that had positive outlooks. Never put money on the line until you have a plan of action. That means know what you’re buying and selling, how much you’re going to trade and when you’re going to trade it. Always be looking to trade smarter not faster. Emotions cloud your judgement, use facts and figures to guide your decision-making processes. Maintain discipline dont start thinking maybe I should see if this works. Having money at the forefront of your mind will make you do reckless things, like taking tiny profits in fear of losing what you’ve already won, or jumping straight in so you don’t miss a move. Instead, focus on sticking to your strategy and let your strategy focus on making you money. Your decisions=Your responsibility. Dont blame anyone or anything. Too many traders lose and then proclaim the market was out for them. By not taking responsibility you won’t learn from your mistakes. Whatever happens, point the finger at yourself, in a constructive way. Was i patient enough? How can you stop it happening again? Are my trades too risky?Do you need to amend your trading plan? And most important. If the strategy isn’t working, don’t keep throwing money at it. Go back to the drawing board and think again.
Mcsnacks H Tupackスレ主Cat army:
Fine. Had lost a good size investment so I had to step back and re-evaluate what I was doing wrong. I was taking to many Risk and investing way to fast. Wasn’t using a plan or sticking to it. Any time your losses reach 40% you stop, step back, and look at what is wrong. Then you fix it. Add more charts, remove anything not being used, write down your steps for the day and the week. Be able to invest and walk away. Being hyperfocused on the market makes you make moves and decisions you know you shouldn’t make.
Archaea Energy Incに関するコメント
Stocks making the biggest moves premarket:
$ゴールドマン・サックス・グループ(GS.US)$ – Goldman plans to combine its various businesses into three divisi...
コラムFor the first time, Barclays covers and strongly values it! What exactly does Archaea Energy do?
Key takeaways:
1. High-quality development projects and wise acqu...
コラムTop upgrades and downgrades on 6/17: RBLX, AXP, CVS, GRAB and more
• $アメリカン・エキスプレス(AXP.US)$ : Baird Upgrades to Outperform from Neutral - PT $175
• $アゼク(AZEK.US)$ : BofA Securities Upgrades to Buy from Neutral
• $キャピタル・ワン・ファイナンシャル(COF.US)$ : Baird Upgrades to Outperform from Neutral - PT $145
• $フィフス・サード・バンコープ(FITB.US)$ : Baird Upgrades to Outperform from Neutral - PT $44
• $M&Tバンク(MTB.US)$ : Baird Upgrades to Outperform from Neutral - PT $200 (from $175)
• $ネクステラ・エナジー・パートナーズ(NEP.US)$ : RBC Cap...
コラムToday's pre-market stock movers: AMZN, AAPL, MA, CVX and more
• $GTY Technology(GTYH.US)$ +118.1% (entered into a definitive agreement to be acquired by GI Partners )
• $フィンチ・セラピューティクス(FNCH.US)$ +68.33% (announces removal of FDA clinical hold on CP101 IND)
• $ザイムワークス(ZYME.US)$ +42.34% (confirms receipt of non-binding proposal from All Blue Falcons for $10.50 per share in cash)
• $ハブ・グループ(HUBG.US)$ +16.3% (earnings reports)
• $ランセウス・ホールディングス(LNTH.US)$ +14.2% (earnings reports)
• $モホーク・インダストリーズ(MHK.US)$ +13.7% (e...
コラムToday's pre-market stock movers: GME, GAN, HYZN and more
• $ファースト・アドバンテージ(FA.US)$ +5.59%, $ゼネラル・ミルズ(GIS.US)$ +3.06%, $プリビア・ヘルス・グループ(PRVA.US)$+1.1% (also names new CFO).
Other news:
• $ゲームストップ(GME.US)$ +12.1% (continued strength; RC Ventures (Ryan Cohen) increases active stake to 11.9%)
• $オーロラ・カンナビス(ACB.US)$ +7.6% (acquires Terra Fa rm a for $38 mln)
• $オペラ(OPRA.US)$ +4.9% (sells 42.35% ownership interest in Nanobank for $127,1 mln)
• $モルフォシス(MOR.US)$ +2.8% (MOR and INC...
Move too Fast and you Stumble
$Adagio Therapeutics(ADGI.US)$ is my top pick. Was only affected because of bad Pfizer pill publicity. Low float means on monday will move up fast. Too many shorts sellers joined in and will want to cover quick on monday.
1. $Ever-Glory International(EVK.US)$ at breakout. Borrow rate is 94.11%. buy in 3.25 sell 8.00
2. $Color Star(CSCW.US)$ at breakout. borrow rate 21%. buy in .68c sell . 97c.
3. $フェイト・セラピューティクス(FATE.US)$ support 59.07 resistance 61.84, 63.07, 64.61. TP 108.00. Short interest is 17.77%.
4. $Zymergen(ZY.US)$ buy in 11.07 sell at 14.00. 100,000 short shares available. Borrow rate is 15.37%
5. $シフト4・ペイメンツ(FOUR.US)$ 45% of float shorted(21 million share). PT- 108.89. Projected ER beat of 160% YOY. buy in 60.32 sell at 78.00
6. $ディアメディカ・セラピューティクス(DMAC.US)$ Buy in 4.60 sell at 7.17.
7. $Archaea Energy Inc(LFG.US)$
8. $Advanced Emissions(ADES.US)$
9. $バートラ(VTSI.US)$
10. $イノベート(VATE.US)$
11. $BiondVax制药(BVXV.US)$
12. $アリメラ・サイエンシーズ(ALIM.US)$
$Codiak BioSciences(CDAK.US)$ has a gap up to 18.85. Can run if it breaks 19.14. buy in 16.78. sell 19.00 for about 15%.
I also made portfolios so i could keep up with the top 30 stocks I found that had positive outlooks. Never put money on the line until you have a plan of action. That means know what you’re buying and selling, how much you’re going to trade and when you’re going to trade it.
Always be looking to trade smarter
not faster. Emotions cloud your judgement, use facts and figures to guide your decision-making processes.
Maintain discipline dont start thinking maybe I should see if this works.
Having money at the forefront of your mind will make you do reckless things, like taking tiny profits in fear of losing what you’ve already won, or jumping straight in so you don’t miss a move. Instead, focus on sticking to your strategy and let your strategy focus on making you money.
Your decisions=Your responsibility.
Dont blame anyone or anything. Too many traders lose and then proclaim the market was out for them. By not taking responsibility you won’t learn from your mistakes. Whatever happens, point the finger at yourself, in a constructive way. Was i patient enough? How can you stop it happening again? Are my trades too risky?Do you need to amend your trading plan?
And most important. If the strategy isn’t working, don’t keep throwing money at it. Go back to the drawing board and think again.
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