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1) $DPW announce paid off some debt…so stupid (2.88) TOP SHORT FFOR STUPIDITY
Stock gapping up +100% already coming down, imo this is nothing but a pop and all day fader back down to $3.10 and under, Higher it pops with sheep chasing better the range for the downside for all day fader

2) $LCI Earnings Beat (6.03) NOTE: $LCI TENDS TO SELL-OFF THEIR GAINS ON #EARNINGS
Stock gapping up +1.74 would nibble some short at $8.50 give it room to $9+ push at the open once lower lows set in, the stock should sell-off pretty aggressive to $6.75-$7 area and under, typically a lot of bag holders that have been holding will dump right at the open so keep and eye on how quickly this will pull

3) $MOV Earnings Miss (24.97) down thin
Stock gapping down -$5 watch for small gap fill short covering pop at the open towards $22+ scale in short and look for an all day fader to set in, if this yanks at the open watch the $17.50 area for shorts to want to come in and cover and take it through $20+ then top it off then slow fader again

4) $PAHC Earnings Miss (31.57) This should get hurt more today
Stock gapping down -$9 I would like to see small pop at the open towards $25-$27 then watch for topping then look for an all day fader on it towards $20 and under, if this pulls hard at the open watch the $18-$20 spot then look for quick 3-5 point short cover push then top it off then all day fader on it. Stock has range so let’s see how it opens

5) $DY Earnings mixed issues downside guidance (41.19)
Stock gapping up +$4, not sure why this is even up, imo any pop at the open towards $44-$45+ area I would lean into it short, imo this should simply gap fill back down to $40-$41 and under.

6) $TIF missed on everything (82.67)
Stock gapping down -$4.20 I would like to see some more sell-off towards $75-$76 and under at the open before seeing shorts come in and cover, if this pops at the open watch for a move towards $81-$83 top it off then look for an all day fader, typically $TIF likes to get bought up on weakness on #Earnings BUT NOT TODAY!!!

7) $ADSK Disastrous Quarter (150.21) NOTE: NEW TO TRADING DO NOT TOUCH
Stock gapping down -$18 I would love to see small short covering pop at the open towards $137-$139 area then top it off then all day fader on it, if this pulls at the open hard watch the $128-$130 area for shorts to come in and cover for 4-6 quick points, once it pushes you can chase it for 3-4 quick points, I will play this once I see it beginning to squeeze: (NOTE: CEO will be coming on CNBC today to talk about his lousy quarter)

8) $VEEV Earning Beat (163.41) Raises guidance look for decent squeeze at the open
Stock gapping up +3 like to see small pop at the open towards $170-$172 if it comes then watch for topping then quick 3-5 point pullback on it bottom curl then slow move to the upside, this will NOT gap fill all the way. IF and I mean IF by chance the market pulls it and this gap fills, all the way to $164 and under be a BUYER on it

9) $MDB Citi out BIG with $184 PT upgrade prior to #Earnings (150.21)
Stock gapping up +$4 look for continuation on this towards $160 for now, let this pop at open towards $155-$156 short it bring it back down and gap fill it to $152 and under bottom curl then slow all day move to the upside, NOTE INVESTORS are loading up prior to #Earnings looking for that $180 pop like last quarter, so keep in mind not to be scared if it ever dips below $150 to BUY

10) $TTD My favorite on down days always has range (246.11)
Stock gapping down -$2 I would like to see small pop at the open towards $246-$248+ top it off then look for this to fade, today I will be watching the $240 levels hoping it goes below if the market pulls. $240 I will take a starter on it, room to $238 if it comes. NOTE: CEO IS COMING ON CNBC TO PUMP HIS COMPANY AND STOCK TODAY

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Notable Calls:

$NFLX one to watch with market pulling like yesterday’s 4 point bounce we did (291.03) gapping down -$2 like to see small pop at the open towards $290-$292 then top it off if market pulls let this come all the way down to $285 and under and I will be a buyer on it for slow move 3-5 point bounces should be fun, i would love to see this sell-off to $275-$280 but i’m not sure we will get that

$PLAN lots of upgrades and increase PT BUT stock is selling off today (57.71) gapping down -$1.5 I would nibble small long at $56.20 room to $54.80- stock should bounce back towards $57-$58 top it off then slow fader on it, more it pulls watch for buyers to come in pick up the weakness

$MYOV Goldman Sachs out with a BUY rating and $20 PT (7.86) thin gapping up +.50 cents would take some long here at $8.30 and under if you can get some add on weakness at the open look for the stock to run to $10-$11 on this BUY rating PT upgrade imo should be fun

 

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