1) $VRAY announce collaboration with MDT +75 Million Offering (3.40)
Stock Gaping up stupid +1.50 IMO this is nothing more then a pop and gap fill back down to $3.70 and under, I would NOT be a buyer unless we see $5 hit at the open with a huge buyer otherwise look for lower lows to set in then look for the all day fader to commence
2) $CARA MIXED Top Line results for Phase 2 (25.88)
Stock Gaping down -5.10 I’d like to see more of a pull at the open towards $18-$19 then bottom curl then shorts to come in an cover 2-3 points then grind out, more this pulls at the open better the range for us to the upside, IF this gets through $22 long it for a quick 1-2 points then short it for an all day fader
3) $QURE Goldman out with a BUY rating and $98 PT (54.78) I WILL BE PLAYING THIS TODAY
Stock Gaping up +9.00 I would take small short (NIBBLE) at $64 room to $66 at the open more it pops better the fade look for this to snap $62 then look for gap fill to $56-$57 and under on it, Remember the more this rips the better the fade for us to the downside
4) $ZM Gaping down on NO NEWS + upcoming Earnings on the 5th (68.93)
Stock Gaping down -2.40 let this slide a little more to the downside would love to see this pull a little more at the open to $63-$65 then bottom curl then bounce it, should be fun for quick points, if this pops at the open back to $68-$69 are scale in short and fade it for 2-3 points to the downside, I would prefer the pullback on it
5) $DOCU Gaping down on Market pulling BUT!!! RBC out with a $93PT raise into #ER (69.92)
Stock Gaping down -2.40 would take small long at $67 area room to $65 and build a position on this, I love the call and would consider BUYING 70-75 weekly calls on this call b #RBC a tope Tier 1 analyst loves this stock into Earnings I think any pullback today is a BUYING opportunity into Earnings on the 5th
6) $COUP Earnings Mixed (148.94) gave upside guidance
Stock Gaping down -9.10 would nibble LONG at $139 on this stock with room to $137 to add on any pullback I like to see this stock push back to $144-$145+ area then top it off then slow grinder back down to lows, MORE this pulls at the open better the range for us to the upside for some nice points
7) $SPLK Gaping down on Market pulling (148.04)
Stock Gaping down -4.04 I would nibble some LONG here at $144 room to $142 pull at the open I like this pullback as a BUYING opportunity once we get through $146 we should gap fill and push a little more, THE more this sells off at the open better the range for us for an nice upside move
8) $TTD Gaping down on Market pulling (227.39)
Stock Gaping down -6.39 would like to see small pop at open to $224-$226 then a nice pullback sell off to $217-$218 area or under then bottom curl then slow grind back to highs, IF this dumps right at the open watch careful the $217-$218 area and give it room to $215 then look for the bottom curl then shorts will come in and start to cover and buyer will lean in and buy the weakness
9) $NFLX Market pulling stock down (309.99)
Stock Gaping down -7.70 I want to play this today, would like to see a little more PULL at the open towards $298-$299 area and under then scale in long and let shorts cover and squeeze it back up to $305-$306 area then top off then slow fader back to lows, If this pops at open let it squeeze a little more watch the $304 area you can chase it for quick 1-2 points to $306+ then scale in short and fade it
10) $SHOP Market pulling stock down (330.84) I WILL BE PLAYING THIS TODAY
Stock Gaping down -10.10 would nibble small long here at $321 area room for a nice pullback to $318 if it comes then bottom curl shorts will come in and cover this back to $325-$327 top it off then slow fader back to pre-market lows, if this snaps hard at the open let it, in the end this will be bought up on weakness so when you start, keep it small more it pulls better the range for the upside, remember Yesterday the $312 area bounced to $330++++
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Notable Calls:
$NVDA Market pulling this baby down today VERY NICE (209.25) Gaping down -8 would nibble small long at $201.85 area room to $199 if it comes, I would love to see this short cover squeeze back to $204-$205 then top it off then slow grinder back to lows, more this pulls better the range for us to the upside, once this pushes through $203-$205-$206 will come quick then be done with it to the long side
$KOD 250 million file for Offering (51.05) Gaping down -4 would love the stock to push at the open towards $51-$53 the top off then grind lower for most of the day, if this snaps at the open hard to $42-$44 I would be a buyer on that weakness and the stock should short cover rip for quick 5-7 points then be done with it. THIS WILL BE A QUICK PLAY FOR US, SO IF YOU CHOOSE THIS BE READY FOR THE MOVE”