1) $PVAC Earnings Beat (5.79) Mostly bagholders will want to cash out on this at the open
Stock Gapping up +2.00 this is nothing more than a nice fade into the conference call in 30mins back to $6-$6.50 and under once the call begins would cover and let it pop back up, To long it, I would wait for a move to $7.50 at the open with volume than solid move to $8-$8.50 then watch for topping on it then fade it

2) $PSTI FDA Clears Pluristem application Phase 2 Covid-19 (8.49) IMO Pump and Dump
Stock Gapping up +2.10 do NOT LONG this unless volume push at the open to $10.66+ then look for quick move to $11-$11.50 then top it off if this small pops and lower lows set in fast should be an all-day fader on it

3) $CWH Earnings Beat (10.81) Typically likes to gap-fill see be aware of that
Stock Gapping up +3.00 like to see sell off a gap ill back to $11-$11.25 and under then bottom curl then slow move to the upside, if this pops at the open long it at $14.50 for a quick move to $15-$15.50 then top it off and short it, in the end, this should pop and fade

4) $HLF Earnings Beat (36.97) Citi raises PT to $56 from $49 (@BanktheTrade)
Stock Gapping up +4.50 do NOT LONG unless pop at the open towards $43 then quickly move to $45-$46 then watch for topping on it then slow gap-fill pullback for 4-5 points or more if this pulls at the open to $38 and under bottom curl, it then slowly move to the upside

5) $APPN Earnings Miss (53.23)
Stock Gapping down -7 do NOT LONG this unless pop at the open through $49.50 then quickly move to $51 then top it off then all day slow fader back to lows if this snaps $47 at the open watch a pull to $43-$45 and under then bottom curl it then slow all day move to the upside

6) $IPHI Earnings Beat (98.97)
Stock Gapping up +16 do NOT BUY unless pop at the open towards $116 then quickly move to $120+ then watch for topping on it then slowly move all day to the downside on profit-taking, if this pulls at the open I would short it at $112 for confirmation then take it down to $105-$107 area for bottom curl then slow move to the upside should be fun

7) $ROKU Mixed Earnings (137.50)
Stock Gapping down -10 be careful with this I would love to see push at open to $128 then long it to $130-$132+ then grind out, the better play for us is if this pulls at the open hard to $120-$122 and under then watch for nice bottom curl then solid 5-8 point move to the upside should be fun

8) $TTD Earnings Mixed (322.50) Needham out with $370 PT I like that for nice upside gap fill
Stock Gapping down -29 do not BUY unless pop at the open to $302 area then look for a nice push to $305-$310 then slow fader for the day, if this pulls at the open watch the $285-$288 and under then bottom curl it then slowly move to the upside

9) $SHOP Prices 1.85 Million at $700 “BLOCK” (722.76) Rosenblatt upgrades stock to $860
Stock Gapping down -22 BE CAREFUL for me I would love nice pop at the open to $710-$715 area then grind it out a slow move to the upside, HOWEVER, the last Block #Offering they did the stock sold off for 3 days and decimated accounts, I know I was one of them playing it long, so be careful if this snaps $698-$700 mostly likely will continue to sell off to $675 and under

10) $TSLA another day to play (780.04)
Stock Gapping up +12 do NOT BUY unless pop at the open to $795 then quick push to $800-$805 then gap-fill sell off back down to $775-$780 and under if this sells off and dumps at the open to $775-$780 and under watch for the bottom curl then slow all day move back to $795-$800

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Notable Calls:

$STZ Downgrade to SELL MKM Partners to $147 from $216 (164.77) Gapping down -3 like to see a small sell-off at the open towards $158-$159 and under then quick 4-5 point short cover then top it off then all day slow bleeder back down to lows, IF this pops and gap fills to $163-$164 would simply scale in short for an all day slow fader to $158 and under

$NVDA Gapping up on Market and #Earnings coming up (304.87) Gapping up +4 like to see small pop at the open towards $310-$311+ top if off then look to gap fill it right back down to $305-$306 bottom curl it then slows all day move to the upside back through pre-market highs

 

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