Clean and simple base breakout Trading above key moving averages and at highs VCP characteristics Entered at 573 with 10% position size Stop loss at 547 Publishing for my own reference. Not an investment/trading adivce.
Missed the base breakout. buying as the price retraces back and turns back up on upside, the way Mark Minervini buys pullback setups Chart detailed out Bought at 345 with 10% position size Stop at day's low or previous day low Publishing for my own reference. Not an investment/trading advice.
VCP characteristics Note the dry up in volume on the right hand side Trading above key moving averages Entry at 1162 with 10% position size Stop at 1116.5 Publishing for my own reference, not an investment/trading advice.
VCP characteristics Breakout on above average volumes Trading above key moving averages Entry at 332 with 10% position size Stop at day low Publishing for my own reference. Not an investment/trading advice.
Cup and handle base breakout with huge volumes, In a Stage 2 Stock is extended from key moving averages which is a concern, but similar patter is observed in the base, where the stock still surged upwards shakeout in base as well good EPS and sales growth in the last three quarters Position sized 10%, bought at 294 Stop below days low Not an investment/trading...
VCP characteristics, volume dry-up along the base Relative strength line new highs Trading above key moving averages Pivot buy at 491 Stop at days low Testing with small size, position size 10% of portfolio Not an investment/trading advise. Publishing for my own reference.
After a failed breakout and being stopped out in last trade, stock retraced and immediately bounce back. RS line new high. VCP characteristics. Pivot entry at 2482. Publishing for my own reference. Not an investment/trading advise.
Clean and a simple base breakout Trading above key moving averages VCP characteristics RS line new high Long at 2450 with 10% position size Stop at 2345 Publishing for my own reference, not an investment/trading advise.
VCP characteristics Strong RS, Relative strength line new highs. Trading above key moving averages Pivot of 304 bought at 302.5. Broke out pivot with good volumes. Stop at days low Testing with position size 10% as smallcap index has broke out of its consolidation and above 21 EMA. Not an investment/trading advise. Publishing for my own reference.
Exhibiting good relative strength. Tight contraction on the right hand side and volume dry up in the last couple of days. Volume surge in shorter time frame. Surged through pivot at 741. Broader market is weak, therefore sizing 10% of portfolio. Bought at 735, will close if breaches day low. Publishing for my own reference. Not an investment/trading advise.
VCP characteristics. Exhibiting strong relative strength. volume dry ups along the base, good buying volumes and trading above key moving averages. Broader market is weak, therefore sizing 10% of portfolio. Buy-Stop order set at 249.75 Publishing for my own reference. Not an investment/trading advise.
Clean and simple base. Broader market is weak. Entered at 345 with previous day low as SL with risk of 1% on portfolio. Stop hit the same day as breakout faded. Portfolio down by 1%. Decided to keep stop loss below days low with position size in terms of % of portfolio allocation rather than fixed amount per trade. This will allow to close positions with minimal...
Tight contractions along the key moving averages. volume dry up on the last contraction. Pocket pivot volumes along the base. Broader market weak, therefore 10% position size, stop loss below days low ~ 3% Publishing for my own reference. Not an investment/trading advise.