159.01MMarket Cap12.18P/E (TTM)
3.950High3.800Low6.61KVolume3.830Open3.880Pre Close25.81KTurnover0.51%Turnover Ratio15.28P/E (Static)41.30MShares4.66052wk High8.77P/B5.01MFloat Cap2.90052wk Low--Dividend TTM1.30MShs Float4.660Historical High--Div YieldTTM3.87%Amplitude2.900Historical Low3.903Avg Price1Lot Size
potsy52 : Webull/ by only (1) analyst shows a PT/ low,medium,& high all at $300 / just thought it interesting
Mcsnacks H TupackOP potsy52: Because they aren't sure if there will be enough volume. The float is like 50,000 shares with 2000 of those available. If it gets a good start on Monday then hopefully the news that comes out on Wednesday will be the topper to drive it. With so little volume and price action I figure that an institutional investor is ready to cover and sell when the lockup expires. Or at least have it run up again so they can use some more of their shares to short it.
Mcsnacks H TupackOP potsy52: And it's a small order I'm buying to hold to see if anything happens in the next ten days. The last 2 weeks I've been picking 10 stocks on the weekend then I buy all the ones that start premarket in the green. And then I hold until at least 2 hours after the market opens. Then I buy 2 stocks at noon that have good chart outlooks going into close. An hour before close I sell one and then buy another to hold until the following day. Tuesday at open I sell all stocks that are down over 10% or are up over 30%. Then I don't buy any until noon again.
It's worked the last two weeks. Could be just a fluke but every stock I bought in the first two hours after open the first two weeks of April I had losses. Not a single stock I bought had gains. But I noticed after that the stocks I bought all had gains.
potsy52 : Appreciate you keeping me up to speed on your picks/ I have to swing trade mostly
Mcsnacks H TupackOP potsy52: Better profits at swing trading and a higher success rate.
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