Had to work my real job today to support my passion of trading. Kept me from overtrading, though - so no complaints. I definitely need help in that area, although today was a fantastic day for opportunities in options and OTC land.
I had two OTCs in mind for trading off the bell - QNTA and BPSR (at the last minute). Although I should have changed gears and traded BPSR with the news, I chose QNTA for the panic, which turned into a fake bounce. Skimmed for a few dollars, then re-tried on the 2d panic but cut losses. My last trade was shorting ATNX in AH...large float, nice spike that was stuffed at $5 key level and low volume with horrible chart. Was able to short from 4.86 to the double bottom at 4.62. Small gain, but I'm trying to improve my short trading experience with less risky shorts. Plus e-trade had shares available...bonus. Very happy with that trade.
BPSR: OTC, Biotech. FGD on this former runner with news of starting process for NASDAQ. Probably meaningless at this level, but great price action and reaction to the news. Will keep an eye for a double bottom to spike this again off the bell.
MEIL: OTC, Oil/Gas/Green Fuel. Low float OTC squeeze today, MULTIPLE Green weeks, supernova to new multi-year highs. Will be watching for a panic, history of multi-day runner.
GVSI: OTC, Shoes. Nice kicks, GVSI…another good run and holding of the breakout on its FGD. Will be watching for continued spiking in the morning, but am hoping for a panic down to .03.
DSCR: OTC, Mining, Pot, Crypto. FGD, Huge Float, but trading 3X its average volume. Enormous breakout to near 52 week highs. Will likely breakout in premarket for a gap up and possible continuation. Would LOVE a panic though.
WARM: OTC, EV technology. Consolidating near its 52 week highs. Will be watching for news and volume for this to attempt a breakout. Still just watching this one.
IBIO: Listed, Bio tech. Former runner, Former supernova, FGD, Large Float, LOTS of bagholders. Popped in AH on news of a lawsuit win and ended on an attempted spike towards the B/O level. Will be watching for continued volume in the morning, but more likely will get stuffed.
REED: Listed, Beverages. FGD, not a hot sector, but great volume on a very ugly market day. Will watch for continued volume to come in for a breakout of resistance.
LEDS: Listed, Semiconductors. FGD, SUPER Low Float, former runner, supernova. Will be watching for continued interest after the reverse came in; but similar price action from past supernova event. Hot sector.
Options: Lots of potentials (despite massive losses on many significant tickers)
TSLA (always watching)
BYND (earnings on Thursday)
Good luck to all.