1) $APDN positive production tests of antibodies in animals (6.63)
Stock Gapping up 100% Thick, strong, nice buys, do NOT BUY unless pop at open to $13.25 with a buyer then look for solid move to $14.50-$15.50+ then we should see topping on it if small pop and lower lows set in and we break $11 at the open would love to see slow all day fader to $8-$8.50 and under should be fun

2) $CODX Covid-19 Test have been approved in Mexico (13.47) Well I would hope so?!
Stock Gapping up +1.30 Typically anything $CODX says gets dumped and sold off, so IMO only way I would buy this is if it pushes through $14.75+ at the open then quick push to $15-$15.50 then top it off then slow fader on it back to $13.50 and under, if small pop at the open and lower lows set in look to short it back to $13

3) $RLMD initiated with a BUY rating with SunTrust with $75 PT (39.40) #SWING IDEA
Stock Gapping up +6.60 no volume just MM’s pushing it up, like to see push at the open to $48-$50+ area then look for the idea gap-fill pullback to $41.50-42 and under then watch for bottom curl then slow move all day to the upside back through pre-market highs, if we get lucky and this snaps and gap fills right at the open to $40 and under I WOULD BE A BUYER FOR SWING TOWARDS $50-$55 IN THE COMING WEEK

4) $TSN Earnings Disaster (60.01)
Stock Gapping down -5 do NOT BUY unless pop at open to $56.50+ then watch for gap fill push back to $58.50-$59+ then top it off then all day fader on it, if this snaps below $55 at the open look for a pull to $52.50-$53 and under then watch for bottom curl for 2-3 points to the upside, more this pulls better the range for the upside short-covering move

5) $DIS 2 downgrades ahead of Earnings $125 PT from Morgan Stanley (105.50)
Stock Gapping down -4 love this $102 and under area too long it thinks the stock gap fills back to $104-$106+ area then grinds out if the stock yanks right at the open to $98-$99 I would be a buyer on it for solid 3-4 point move or more to the upside

6) $BA Buffett comments over the weekend about getting out of Airline stocks (133.37)
Stock Gapping down -8 do NOT BUY unless pop at the open through $129 then solid push to $132-$134 then watch for topping then slow fader back to pre-market lows, if this yanks right at the open to $120-$122 and under bottom curl it then slowly move to the upside towards $127+

7) $TTD Gapping down on Market pull (278.90)
Stock Gapping down -6 do not BUY unless pop at open to $276 area then solid move to $280-$285 watches for topping then gap-fill pullback for 5-7 points, if this pulls hard at the open watch the $268-$270 area and under for solid bottom curl on it then nice 10 point move to the upside, just wait for the snap and bottom curl should be fun

8) $NFLX Gapping up on Market down (415.27)
Stock Gapping up +1.25 do not buy unless pop at open to $416.50+ then let it push to $420-$425+ area or more then watch for topping on it then nice 5-8 point gap-fill pullback if this snaps at the open watch the $408-$410 and under for bottom curl then solid 5-7 point move to the upside then grind out

9) $SHOP Gapping up on Market down ahead of earnings (613.64)
Stock Gapping up +14 would nibble the short at $630 area and let this gap fill back to $610-$615 and under then watch for the bottom curl on it, if this yanks right at the open would love to gap fill and take it below then we run it, do NOT BUY unless pop at open to $635 then quick push to $640-$645 then it will begin to fade

10) $TSLA Market gapping down -(701.32)
Stock Gapping down -12 do NOT BUY unless pop at open to $700+ then look for a move back to $710-$715+ then watch for topping then decent 20 points sell-off or more, if this dumps at the open watch the $665-$670 area for a decent bounce, then look for $650-$655 for next bounce look for a bottom around the $625-$635 area today IMO

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Notable Calls:

$NVDA Market gapping down (282.78) Gapping down -2 DO NOT BUY at the open unless pop at open to $282 then solid push to $285-$287 then watch for topping and 4-5 point gap-fill pullback if this yanks right at the open watch the $275-277 area for bottom curl then slow move to the upside should be fun

$RESI announce the termination of the merger agreement with Amherst (10.83) I like this $8-$8.50 to nibble long like to see the stock rebound back to $10 today if the stock pulls at the open to $7.50 and under I would be a buyer on the bottom curl back to $9 Stock STILL has value even though the merger is off the table for now

$PLAY Jefferies files to sell 100mi stock offering (13.33) I would be a buyer anything under $11 a share if it dips to $10 would add to that like to see the stock rebound back to $12-$12.50 more it pulls better the range to the upside

 

 

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