The reasons: 1. Low-risk entry with a crisp low cheat pivot point 2. The stock went up >100% in less than 8 weeks 3. VCP characteristics during the pause 4. The pause has less than 25% correction 4. Volume dries up as a sign of less supply coming to the market 5. A high alpha stock with a low standard deviation 6. One of the leaders in this type of market environment
The flaws: 1. Stock squats after the breakout 2. The market is still in a hard-penny environment with only 30% of total stocks above the 200-day MA.
This stock is still so strong. I would like to see it calms down for couple days and develop a pivot reset to add more positions.
Trade active
I added to position today, but it closes bad and squats below the breakout.
Trade active
Today, I sold into strength at +18% gains on half.
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