Whew....long work day. Missed the entire trading day...which looks like was a winner for longs on OTC supernova's. Damn, just...damn. All good, hoping to have some time to trade in the morning. Below are a few I'm watching with focus.
TEGR: OTC, Oil/gas. FGD, with news near EOD, HUGE % gainer. Down off its highs, potential for buyers to come in on the bell to buy in; don't overstay. Hopeful for a good panic. Careful, illiquid ugly chart.
LFAP: OTC, LGBTQ/Holdings Co. 2GD with news, large volume, spiker, former runner, former supernova. Watching for a panic.
FERN: OTC, Semiconductors. Multi-day runner, watching for a panic. No news, hoping for a hard pull.
GBHL: OTC, Media. FGD, supernova. No news, watching for a panic in the morning.
PSCO: OTC, IT. 2GD, supernova, hard pull back. Watching for a panic.
MEIL: OTC, Oil/Gas/Green Fuel. Low float OTC squeeze; will be watching for a massive panic tomorrow.
ELRA: OTC, gambling. Multi-day runner on its highs. Will be watching for an intraday panic.
MVNT: OTC, Oil and gas. Multi-day runner. Watching for a panic in the .07s or lower.
VRAY: Listed, Bio tech. FGD, Earnings winner, multi-month breakout level, room to spike.
OPTIONS: Not seeing anything in particular that strikes my fancy, but with multiple red days on most tickers, I'll be watching for news - negative or positive - for massive panics or a FGD run. Friday options depreciate rapidly - will not hold any that expire today unless I'm expecting a quick move for a day trade.