Trading Strategy: Long: Tilray (TLRY) *Sent intraday Tuesday* Ideal Entry: 12.81 Stop-loss Option: 12.07 Target: 16.30 Risk Rating: 4.8 Trade Setups Triggered: Long Setups: TLRY Short Setups: None Setups Waiting to Trigger: Long Setups: None Short Setups: None Active Trades: Long: PSQ, TLRY Short: None Trades/Setups Removed/Closed: NT=Never Triggered, 1/2=Half position, 1/3=Third position Long: CAT (2/3) Short: None Trading Notes: No additional trading
Trading Strategy: Trading Notes: I don't know how many have noticed, but both $SPY and $QQQ have seen closes lower than where they opened in the last 6 of 7 trading sessions, despite five of those sessions trading higher overall on $SPY. That tells me that during that time period, investors are closing out of
Trading Strategy: Long: Take Two Interactive (TTWO) *Sent intraday Friday* Ideal Entry: 189.01 Stop-loss Option: 177.48 Target: 214.00 Risk Rating: 3.8 Trade Setups Triggered: Long Setups: TTWO Short Setups: None Setups Waiting to Trigger: Long Setups: None Short Setups: None Active Trades: Long: CAT (2/3), IWM (1/3), PSQ, TTWO Short: None Trades/Setups Removed/Closed: NT=Never Triggered, 1/2=Half position, 1/3=Third position Long: DY (1/2)
Trading Strategy: Trading Notes:Â Yesterday was a market filled with mediocrity and indifference due mainly to the bond market being closed (Veteran's Day) and low volume in equities. I'm still playing it cautious here, as I am not willing to add more short/bearish exposure beyond the current $PSQ position I have, and have not seen enough
Trading Strategy: Trading Notes:Â I went through my scans and watch-lists, and couldn't find a stock that I wanted to go with this morning. There are a handful of stocks that I am watching closely, that include: $TTD, $NEE, $TECK, $LSPD, $UPS and $TTWO, but it is more important here to see how the market handles
Trading Strategy: Long: ProShares Short QQQÂ ETF (PSQ) *Sent Tuesday & Based off of $QQQ Chart* Ideal Entry:Â 11.03 Stop-loss Option:Â 10.64 Target:Â 12.02 Risk Rating:Â 4.0 Long: Halliburton (HAL) *See notes below* Ideal Entry:Â 25.23 Stop-loss Option:Â 24.11 Target:Â 28.00 Risk Rating:Â 3.6 HAL:Â If my ideal entry is triggered in the first 30 minutes of a trade setup, I will not enter
Trading Strategy: Long: Halliburton (HAL) *See notes below & entry price adjusted* Ideal Entry:Â 25.23 Stop-loss Option:Â 24.11 Tacrget:Â 28.00 Risk Rating:Â 3.6 HAL:Â If my ideal entry is triggered in the first 30 minutes of a trade setup, I will not enter the trade. Instead, I will enter a trade after the first 30 minutes on a break of
Trading Strategy: Long: Halliburton (HAL) *See notes below* Ideal Entry:Â 25.31 Stop-loss Option:Â 24.11 Tacrget:Â 28.00 Risk Rating:Â 3.6 HAL:Â If my ideal entry is triggered in the first 30 minutes of a trade setup, I will not enter the trade. Instead, I will enter a trade after the first 30 minutes on a break of the highs of the
Trading Strategy: Long: Halliburton (HAL) *See notes below* Ideal Entry:Â 25.31 Stop-loss Option:Â 24.11 Tacrget:Â 28.00 Risk Rating:Â 3.6 HAL:Â If my ideal entry is triggered in the first 30 minutes of a trade setup, I will not enter the trade. Instead, I will enter a trade after the first 30 minutes on a break of the highs of the
Trading Strategy: Long: Halliburton (HAL) *See notes below* Ideal Entry:Â 25.31 Stop-loss Option:Â 24.24 Tacrget:Â 28.00 Risk Rating:Â 3.6 HAL:Â If my ideal entry is triggered in the first 30 minutes of a trade setup, I will not enter the trade. Instead, I will enter a trade after the first 30 minutes on a break of the highs of the