Real estate is my favorite asset class
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Bought back into MMAT with 5000 shares at 3.22. Stop loss under $2. Earnings report today after market. Possible partnership announcements with Samsung, VW, Tesla following. Blackrock bought 4.4m shares along with other institutions. Senate just passed an infrastructure bill which allocates 50B into Non-ITO Semiconductors. Guess who is the only public traded company in that industry and holds most of the patents? Yessir.
Deadline for short covering pre-merger is today as well. The float (tradeable shares/supply) is 45 million, won't take much to move this. GME float is 58m, AMC 448M.
May be a longer term hold depending on how it plays out today. But it's a possible 6 figure trade risking 6-7k
Thoughts on PINS or ABNB?
Aaaannnnd I'm back in SPCE
Also just checked PFE.... cringe, I held that for a while and sold for peanut gains, now it's up bigly
It's a long term play for me now. Earnings weren't terrible for a pre-revenue company, 200% y/y growth, zero debt, 150m cash. Got my average down to 3.10 with 10k shares, now it's just a waiting game for them to release a PR or partnership announcements to get the ball rolling. Currently up 2.5k but we're not in this for peanuts. LFG
AHPI short term play. Entered today $9.08, Stop loss under $8.80, target 11-12. Hold time is 1 day - 2 weeks. If stopped out will get back in at 7.70-8.
Thanks, I do see that on other sites. I usually go off finviz which shows 45m https://finviz.com/quote.ashx?t=mmat
Will need to confirm but either way a lower float just adds more "thrust" and doesn't take away from the play.
You guys should get comfortable reading annual and quarterly reports.
mmat revised annual filing.
Attachment 101318
I can read a report, I just was looking into his stock and even Yahoo had the float at much much higher.
Either way a good tip, as it seems freshvibes has a decent chunk invested and a 45m float vs 220m as he said is a big difference in torque for any kind of squeeze
MMAT 280MM shares out.
Noted on the float count. I had a pretty lofty target ($50) but looks like I'll have to lower it a bit. Again, longer term hold so I'm risking all short term gains on it.
NURO closed out my position from yesterday at 10.04. Last sell was at 11.88 for a 15% gain.
Opened a starter position in VRPX @ 14.75. Will add down to $13.80 looking for an average between $14 - 14.50. Stop is under $13.70, target $17 - $20, hold time 1 day - 2 weeks.
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Decent push so far today, closing over $10. Hoping for a continuation tomorrow so I can get out
LNK.CN should maybe probably shoot back up after they got in shit published in a CBC story for having a mining operation that was too noisy and too close to fancy houses in Sturgeon County.
Edit - or go way down. Because stonks. Price at time of this post was 42.5¢
Good morning,
Meme stocks seen a nice push yesterday, could be back in play again. AMC is my personal favorite to trade, keeping an eye on all dips for an entry. Right now I'm watching 43 and 40 levels for a hold. $72 is all time highs so we have some room to run. Expecting a slap there if it reaches so that's a no brainer profit taking area.
AMC/GME are leading the way so far, but keep an eye on the laggards SNDL/WKHS etc to follow suite.
Anyone putting money on SPRT?
Looks like a short squeeze is starting.
Good morning,
AHPI still holding up. Moving my stop under 9.40. +5% if stopped or +30% give or take if it hits target.
Opened a half position in AMC at 43.78. Risk is under 43. My entry is a bit high off support so I'm keeping it small for now. Would like to see it test and hold 43 before I add any more. $50 is the obvious short term price target but definitely could get to $70s if it can find some legs.
VRPX hit 21.40s this morning. Easy 30% + gainer if I had a full pos. Oh well, moving on.
WORX got my eye on this one at the 2.50-2.60 area. Risk at 2.35, target $3-3.25
AMC I was a bit early as suspected. Got stopped for -3%. Still watching for a re-entry