Hot sectors
- Biotech NASDAQ Low floats
Market thoughts- Bull market bounce
My Patterns I Can Only Trade: *Keep an eye on multi-time frames to set up with the daily chart*
OTC's: NO TRADES
LISTED:
- FGD Bounce #5 PSFW - $15 risk TOS
*All must have news, low float (1-40), low market cap (less than 500m), search for potential dilution, big % gainer, big volume, higher odds if former runner, what is the overall market environment, check recent history. Trade the most volatile, liquid, big % gainers, most action, and plan the pattern and trade ahead of time with a thesis and follow your plan.
Watchlist - FGD Bounce until I have $1,000 profits ($15 full-size risk, starter $5):
*
NUZE,
*MNPR,
*PHUN,
*
ARBB,
*DJT,
*
GRI second green day
,
*BIVI,
*NIVF,
*
ITRM, *
GNLN,
NXU,
VRAX,
EFSH,
UPXI,
IBRX large float,
FFIE ,
Other notable stocks to watch:
*
GLYC possible multi day breakout,
*NXL possible multi day breakout,
VSTE FRD,
MIRA FRD,
ASPI another red day,
GLUE another red day,
LTBR another red day,
TVGN crash,
DRUG waiting for a crash,
CAPR possible multi day breakout,
ATGL needs a crash,
SAVE large float/crash,
HCTI possible multi day breakout,
SGMO possible multi day breakout,
GNPX waiting for a crash,
ENSC,
OTCs
LISTED
MAXN- 15m float, 132m mkt cap, Technology sector, Solar co., Singapore, NASD, Maxeon Solar technologies. 22m shares traded on the breakout day with 636k traded daily on average, no news, no recent history of volume or big % gains. High for dilution and low on cash.
VSTE- 2m float, 68m mkt cap, Technology sector, Solar co., Australia, NASD, VAST Renewables Ltd., 56m shares traded on the FGD with 18k traded daily on average, history of one day run and dones, partnered to bring CSP powered Methanol and SAF to the U.S. negative on cash.
MIRA- 9m float, 32m mkt cap, Mira Pharmaceuticals Inc., Healthcare sector, Drug manufacturers co., USA, NASD, 16m shares traded on the FGD with 1m traded daily on avg., pain management trials excel, multi day runner, has a recent history of a big % gain and huge volume one day run and done.
ASPI- 41m float, 472m mkt cap, Basic Materials sector, Chemicals co., USA, NASD, ASP Isotopes Inc., 24% of the float is short, 51m shares traded on the breakout day with 1m shares traded daily on average, enters agreement to build a facility, history of multi day runs but no volume like its traded now.
GLYC- 59m float, 31m mkt cap, Healthcare sector, Biotech co., USA, NASD, Glycomimetics Inc., traded 1.3 billion shares on the FGD with an average daily traded of 1m. Announced National Cancer Institute Phase 2/3 study of Uproleselan did not meet primary endpoint, did not meet agreement with Crescent Biopharma, very low on cash. No history of big volume or big % gains but has a history of multi day runs.
LTBR- 12m float, 179m mkt cap, Lightbridge Corp., Industrials sector, electrical equipment & parts co., USA, NASD, increased trading volume compared to the daily average 15x, no history, no news, no dilution,
GNLN- 0.66m float, 2m mkt cap, Consumer Defensive sector, Tobacco company, USA, NASD, Greenlane Holdings Inc., 54m shares traded on the FGD with 1m shares traded daily on average, no news, history shows it has ran from the 1's to the 20's in one day, has had big % gains and big volume, can run again. High for dilution.
HCTI- 3m float, 7m mkt cap, Healthcare sector, Health information services co., USA, NASD, 146m traded on the FGD with 657k shares traded daily on average, history of 2 multi week breakouts with big % gains and big volume, trading more volume now than in its history, no news. Negative on cash, pump and dump.
GLUE- 44m float, 581m mkt cap, Healthcare sector, Biotech co., USA, NASD, Monte Rosa Therapeutics Inc., no history of big volume or big % gains. 94m shares traded on the FGD with 347k shares traded daily on average, announced global license agreement with Novartis to advance T and B cell modulating, good filing results.
SGMO- 198m float, 424m mkt cap, Healthcare sector, Biotech co., USA, NASD, Sanagmo Therapeutics, history of multi day runs and multi day breakouts, no significant difference in volume from daily average, no news, high potential dilution and negative on cash, pump and dump.
UPXI- 0.76m micro float, 8m mkt cap, Communication services sector, Internet content and information co., USA, NASD, Super Spiker from 3 to 15, 32m shares traded on the FGD with 176k traded daily on average, no history of runs or big volume, negative on cash, to take advantage of stock manipulation with fractional share roundup with reverse stock split.
ARBB- 15m float, 18m mkt cap, Technology sector, Information technology services, Malaysia, NASD, former runner, usually has a FGD then no follow through, 308m shares traded on the FGD with 143k traded daily on average. No news.
ITRM- 21m float, 42m mkt cap, Healthcare sector, Biotech co., Ireland, NASD, former runner and multi day breakout with no volume. 103m shares traded on the FGD with 317k traded daily on average, high for dilution and very low on cash.
IBRX- 159m float, 4B mkt cap, multi day runner history of a multi day run and volume, resistance in the 10's
MNPR- 1m float, 114m mkt cap, Healthcare sector, Biotech co., Monopar Therapeutics Inc., USA, Announced agreement with Alexion, Astra Zeneca rare disease for late stage Wilson disease drug candidate. NASD, former runner, former big FGD bouncer, 600% FGD runner from 5 to 35. Multiple times in its history of big volume. High for dilution and downtrend/going low on cash. 19m shares traded on the FGD with 800k on average traded daily.
NXU- 11m float, 7m mkt cap, Industrials sector, Electrical equipment and parts co., USA, NASD, NXU Inc., 391m shares traded on the FGD that ended red on the day with 260k traded daily on average, announced a proposed merger, high for dilution and low on cash.
NXL- 8m float, 22m mkt cap, Nexalin Technology Inc., Healthcare sector, Medical Devices co., USA, NASD, 29m shares traded on the multi day breakout with 248k traded daily on average, multiple examples of multi day runs and PSFW, announced planned clinical trial utilizing gen-3 halo headset in partnership with UC San Diego & San Diego VA, negative on cash, pump and dump.
ATGL- 4m float, 147m mkt cap, Technology sector, Software-Infrastructure co., Alpha Technology Group Ltd., Hong Kong, NASD, no news, volume is not significant, former runner.
VRAX- 4m float, 10m mkt cap, Healthcare sector, biotech co., United Kingdom, NASD, 90m shares traded on the FGD that ended red on the daily chart with 4m shares traded daily on average. Announced to commercialize ImmuneSelect profiling solutions in UK and Ireland. Increasing dilution.
SAVE- 108m float, 337m mkt cap, Spirit airlines, Industrials sector, Airlines co., USA, NYSE, 77m shares traded on the multi day breakout, 6m traded daily on average. 33% of the float is short,
PHUN- 11m float, 32m mkt cap, Technology sector, Software-application co., USA, NASD, former MEME stonk sympathy play runner, trading high volume compared to its daily average of 1m, trading 40m and 60m on the multi day breakout. To attend at hospitality show in San Antonio, to present at LD Micro Main event XVII, High for dilution.
ENSC- 14m float, 8m mkt cap, Healthcare sector, Biotech co., USA, NASD, 735m shares traded on the FGD with an average daily traded of 2m, history of one big run with big volume and big % gain, multi month resistance stopped the present run, no news. High for dilution. Good on cash.
BIVI- 5m float, 26m mkt cap, Healthcare sector, Biotech co., USA, NASD, 52m shares traded on the fgd and 147m traded on the second green day breakout with 3m on average traded daily, 3 examples in its history of a multi day run and PSFW, announced pricing of registered direct offering. High for dilution. Closed their direct offering.
GNPX- 2m float, 3m mkt cap, healthcare sector, biotech, USA, NASD, no history of big volume or big % gains. High for dilution and negative on cash, pump and dump. 281m shares traded on the FGD with 623k traded daily on average.
GRI- 2m float, 3m mkt cap, healthcare sector, biotech, USA, NASD, 116m shares traded on the FGD ended red on the daily chart with 1m shares traded daily on average. announced exercise of warrants. High for dilution. No history of big volume or big % gains.
EFSH- micro float, 3m mkt cap, trading abnormally high volume, Industrials sector, AMEX, USA, Highly dilutive and negative on cash.
NUZE- 2m float, 11m mkt cap, Consumer Defense sector, Packaged foods co., USA, NASD, 275m shares traded on the FGD compared to the 3m shares daily on average. Established offices in multiple regions around the world to expand its global business. Highly dilutive.
ATNF- 500k micro float, 3m mkt cap, Healthcare sector, Biotech co., USA, NASD, traded 89m shares on the first big volume and big % gainer day with 66k shares traded daily on average. CEO issued a letter to stockholders on newly acquired gaming technology. High for dilution. History of one big green day with volume and big % gain. Multi month breakout at 4.80.
DRUG- 2.8m float, 170m mkt cap, Healthcare sector, Biotech, USA, NASD, 3,000% month and 2,000% runner on second green day. Traded 100m shares on the second green day breakout with 400k shares traded on average daily. No news. Low on cash. No dilution. Ran from 2.75 to 60 in one day. History of one big green day with volume but failed. No history of the trading it is having currently. Multi green day runner.
NIVF- 4m float, 19m mkt cap, Healthcare sector, Health information co., Taiwan, NASD, 138m shares traded on the breakout day with only 1m traded daily on average. No history of big volume or big % gains.
TVGN- 20m float, 233m mkt cap, Healthcare sector, Biotech, USA, NASD, increased trading volume, CEO expresses optimism about the company's breakthrough. No history of big volume of big % gains.
DJT- 75m float, 4.6B mkt cap, communication services sector, Internet content and information co., USA, NASD, 46m shares traded on the breakout day with 10m shares traded daily on average. Announced Trump's stock surge after Elon Musk speech at Trump Rally.
CAPR- 27m float, 494m mkt cap, healthcare sector, biotech, USA, NASD, 27% of the float is short, 1m shares traded on average daily with 15m shares traded on the multi day breakout, announced its release of biologics license application to treat a muscular dystrophy disease. No history of runs or big volume. Recently trading a lot of volume.
FFIE- 12m float, 88m mkt cap, consumer cyclical, auto manufacturers, USA, NASD, former runner/supernova/PSFW, traded 150m shares and only 3m traded daily on average
Not able to trade everyday due to work. When I do get my chances, I will be prepared every night before and the morning of the trading day. Studying and watching the markets, staying in tune with the market until my time to trade more often. Looking back at my watchlist at the end of the trading day to see how my plans went. I must create a trade plan, execute the pattern I'm comfortable with, and cut losses quickly when I make a trade. I will set my goal and a thesis of what the stock will do. Along with the Trader Checklist and P.R.E.P.A.R.E. before every trade. If I don't or can't, then I'm not allowed to make the trade. I will have the discipline to only trade the patterns I am comfortable and most profitable with which are Multi Day Breakouts, and FGD bounces.
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