rifqonr
I bought my positions today June 15, 2023 The reasons: 1. Low-risk entry point 2. The stock offers the first buyable base after an IPO 3. It has a very tight pivot level/line of the least resistance 4. High relative strength stock 5. Entry point at low cheat level 6. I got an 80% win rate on a primary base setup 7. Reference case: Google's IPO
I bought my positions today June 15, 2023 The reasons: 1. Low-risk entry point 2. The stock offers the first buyable base after an IPO 3. It has a very tight pivot level/line of the least resistance 4. High relative strength stock 5. Entry point at low cheat level 6. I got an 80% win rate on a primary base setup 7. Reference case: Google's IPO
I bought my positions today June 19, 2023 The reasons: 1. Low-risk entry point 2. The stock offers the first buyable base after an IPO 3. It has a very tight pivot level/line of the least resistance 4. High relative strength stock 5. Entry point at cheat area The flaws: 1. The general market is still in correction 2. Lack of volume on the breakout today The...
I bought my positions today April 26, 2023 The reasons: 1. Low-risk entry 2. Cup and handle pattern 3. The stock up 100% more before forming this cup and handle 4. High relative strength stock 5. Constructive basing period 6. The stock is in its first base breakout
I have my positions now March 24, 2023 The reasons: 1. Low-risk pivot point 2. The stock offers the first buyable base after an IPO 3. It skyrockets up 100% immediately after it went public 4. High relative strength, outperforming the general market 5. The stock is moving on its own universe, marching to its own drummer 6. A decent shakeout, weeding out week...
I bought my positions today March 9, 2023 The reasons: 1. Low-risk pivot point 2. The stock offers the first buyable base after an IPO 3. Low-cheat level (it is preferable for IPO base) 4. High relative strength 5. IPO breakout is working fine this far Flaws: 1. Stock closed squat 2. Lack of volume on the breakout So far, it acting normal. I like to see some...
I bought my positions today April 5, 2023 The reasons: 1. Low-risk pivot point ; 2. The stock is up >100% in less than 8 weeks; 3. Corrected the least during the pause, less than 25% correction; 4. Volume dries up as a sign of less supply coming to the market; and 5. It breakouts with huge volumes. The flaw: Stock squatted on the closing day
I bought my positions today March 28, 2023 The reasons: 1. Low-risk pivot point 2. A quintessential VCP setup 3. The stock has very tight and crisp buy point 4. Volume dries up as indication of less supply coming to the market 5. The stock closes good after the breakout today 6. High relative strength I bought it perfectly today, and the stock immediately...
I bought my positions today March 28, 2023 The reasons: 1. Low-risk pivot point 2. This is the first buyable base after an IPO 3. Long base VCP setup 4. Volume dries up as indication of less supply coming to the market 5. 1 - 2 punch with huge volume on the breakout 6. The weekly-base looks even more attrative The flaws: 1. The stock still has to absorb a lot...
I bought my positions today March 30, 2023 The reasons: 1. Low-risk pivot point 2. The stock offers the first buyable base after an IPO 3. Explosive run, up +300% after the IPO 4. The correction/pause has VCP characteristics 5. Volume dries up, indicating supply stopped coming to the market Flaws: 1. Stock closed squat 2. Lack of volume on the breakout So...
I bought my positions today March 13, 2023 The reasons: 1. Low-risk pivot point 2. The stock reset its pivot level 3. The pivot point has an inside day 4. High volume on the breakout 5. High relative strength I re-enter my position back today after the stock reset its pivot point into more constructive price action.
I bought my positions today February 14, 2023 The reasons: 1. Low-risk pivot point 2. The stock offers the first buyable base after an IPO 3. IPO base on low cheat entry 4. High volume breakout The flaws: 1. The stock still needs to encounter a big supply on the left side 2. Stock squatted to pivot level I like to see some follow-through in the upcoming days.
I bought my positions today February 24, 2023 The reasons: 1. Low-risk pivot point; 2. The stock is up >100% in less than 8 weeks; 3. Corrected the least during the pause, less than 25% correction; 4. Volume dries up as a sign of less supply coming to the market; and 5. It breakouts with huge volume. This stock is more like a power play on top of a power...
I bought my positions today February 8, 2023 The reasons: 1. Low-risk pivot point 2. The stock offers the first buyable base after an IPO 3. IPO base on low cheat entry 4. High relative strength 5. High volume breakout I bought the final position today as I have accumulated my position incrementally beforehand.
I bought my positions today The reasons I buy: 1. Low-risk entry 2. The stock is up >100% in less than 8 weeks 3. Corrected the least during the pause, less than 25% 4. Recent IPO stock The stock doesn't affect by the general market, a strong sign of a leader.
I bought my positions today January 25, 2023 The reasons: 1. Low-risk entry 2. The stock offers its first buyable base after an IPO 3. Ascending bases from IPO 4. High relative strength The flaw: We're in a hard-penny environment, and the general market is still correcting.
I bought my position today February 3, 2023 The reasons: 1. Low-risk entry 2. Coming from a textbook low cheat setup 3. Recent IPO stock 4. High relative strength The market has started to work fine. I can tell it from my last 4 profitable trades.
I bought my positions today January 19, 2023 The reasons: 1. Low-risk entry 2. Cup and handle pattern 3. High relative strength stock 4. Constructive basing period 5. Outstanding fundamental basis. The flaw: The general market is declining, the breakouts are prone to failure.