I have a position today
December 14, 2023
The reasons:
1. Low-risk pivot point
2. The stock went up >100% within 8 weeks
3. It corrects only 13%, indicating big institutions are unwilling to unload their position
4. High relative strength, outperforming the general market
5. The stock is moving on its own universe, marching to its own drummer
6. Volume dries up as less supply coming to the market
7. There is decent volume on the breakout
Flaws:
1. It needs to go through some overhead supply on the left side
2. The market is still in a hard-penny environment with only 29% of total stocks above the 200-day MA.
This is my initial position. I want to see it set up a better pivot to add to my positions.