eqt pennant bullish scenario to maintain regression trend and retest of 1.0 fib
Lulu weekly resistance reversal down to 385, NASDAQ:LULU
oxy long scenario to 75 - breakout of downtrend + ema cross
CLF upside breakout, bounce off anvwaps to 25 in summer
Potential channel continuation bull case. Defense/aerospace
MDLZ strong weekly bar to break out of downtrend resistance. Bullish scenario to new ATH
Long scenario to 600 JAN 2024 Short scenarios to 380 & 425
jackson financial long idea into earnings. regression channel & fib level. could also set up for a head and shoulders to downside
CLF price changes pushing to downside. looking at sell off to 15.85 and 14.60 for a potential inverse H&S
Long idea on EQT into new year. Natural gas production.. potential downside scenario out of regression channel
AMD into earnings, looking to the short side below fib level
$googl ABCD bullish scenario going into earnings 1hr
spx scenarios nov to 1/1 downtrend? regression channel
btc downtrend scenario to 9k - 12k at volume profile POC
PBF pullback into earnings/post earnings entry 1 at 21 entry 2 at 18.50 STD dev channel / volume profile/Ema
CLF pullback re entries 20% pullback to 27.5 for entry 1 ideal discount entry for long swing or hold @ 24-24.50 on VP & SD channel Support below VP gap
ESTE wedge into earnings, gap up and consolidation to 17.5-19 or down to 12 large gap down below gas dev
crispr tech. crsp long entry, fib and std dev channel