EV Industry today killed it, many stocks which I have:
Tesla: +5.23%
SHLL: +28%
AYRO: +22%
SOLO: +40%
IDEX: +42%
WKHS: +46%
NKLA: +6%
Never too late to jump on board. This is where the money is at right now. It's a growing industry.
can someone help me out. got 110,000 shares of vtgdf. my uncle built some rigs for them. was told my stock is worthless but someone keeps buying this. it goes 4ever with no buys and then some out of the blue.
Alrighty now, today was just a day to not look and hope my plays survived and with the DOW hitting 580 to the upside people are back to feeling good. Looking at the trend and the buying vs the selling volume tells me to stay the course so that's what I will do although I must admit trusting the trend is hard to do in this environment.
Taking a look at my PFE (Pfizer) play, this one is a stock I have been shorting since June 10 when it was at 34.85, so we are at the end of the trend here and on my chart it looks like I'm losing money on this one but in reality I did make a little bit out of this one so far and if it pops back down soon I will start to exit. That or I'll get stopped out.
DATE TIME STOCK
TICKERSHARES BEGIN
BUY/SELL
PRICETOTAL
IN PLAYSTOP
LOSS
PRICEALLOWABLE
LOSS TOTALALLOW
LOSS
% TOTALTODAY'S
CLOSE
PRICEGAIN/LOSS
SO FAREND
SHARESEND
BUY/SELL
PRICEEND
GAIN/LOSSEND
%
GAIN/LOSS06/24/20 10.38.36 PFE -1000 32.41 32,410.00 33.27 -860.00 -2.65% 32.62 -210.00 06/26/20 13.51.52 PFE -500 31.86 15,930.00 33.27 -705.00 -4.43% 32.62 -380.00
Now for SLB (Schlumberger) I'm changing my stop price from 20.25 to 19.31. I will also place an advanced order to short another 500 shares if and when it dips below $17.01. The trend is still looking down so I will ride the snap back and see how it goes.
DATE TIME STOCK
TICKERSHARES BEGIN
BUY/SELL
PRICETOTAL
IN PLAYSTOP
LOSS
PRICEALLOWABLE
LOSS TOTALALLOW
LOSS
% TOTALTODAY'S
CLOSE
PRICEGAIN/LOSS
SO FAREND
SHARESEND
BUY/SELL
PRICEEND
GAIN/LOSSEND
%
GAIN/LOSS06/24/20 11.00.59 SLB -500 18.60 9,300.00 20.25 -825.00 -8.87% 18.01 295.00 06/26/20 14.00.39 SLB -500 17.58 8,790.00 19.31 -865.00 -9.84% 18.01 -215.00
For T (AT&T) I'll be looking to add to my short position for another 500 shares if it goes below Friday's low of 28.81. The trend is going down with this one so again I will be looking to build a bigger short position unless I get stopped out.
DATE TIME STOCK
TICKERSHARES BEGIN
BUY/SELL
PRICETOTAL
IN PLAYSTOP
LOSS
PRICEALLOWABLE
LOSS TOTALALLOW
LOSS
% TOTALTODAY'S
CLOSE
PRICEGAIN/LOSS
SO FAREND
SHARESEND
BUY/SELL
PRICEEND
GAIN/LOSSEND
%
GAIN/LOSS06/24/20 11.03.47 T -500 29.43 14,715.00 30.87 -720.00 -4.89% 29.91 -240.00
My short of the financial ETF XLF is looking pretty good even on a day where the market makes an almost 600 point gain. I'm going to change my stop price from 25.15 to 23.79, and also place an advanced order to short another 1000 shares if it dips below 22.45.
DATE TIME STOCK
TICKERSHARES BEGIN
BUY/SELL
PRICETOTAL
IN PLAYSTOP
LOSS
PRICEALLOWABLE
LOSS TOTALALLOW
LOSS
% TOTALTODAY'S
CLOSE
PRICEGAIN/LOSS
SO FAREND
SHARESEND
BUY/SELL
PRICEEND
GAIN/LOSSEND
%
GAIN/LOSS06/24/20 14.15.51 XLF -500 23.06 11,531.00 23.79 -364.00 -3.16% 22.83 116.00 06/26/20 11.10.22 XLF -1000 22.79 22,790.00 23.79 -1,000.00 -4.39% 22.83 -40.00
My MCD (Mcdonalds) short is experiencing a snap back situation just like most of my plays today but the trend is still looking good so we will hold and place an advance order to short another 50 shares when it goes below 177.03.
DATE TIME STOCK
TICKERSHARES BEGIN
BUY/SELL
PRICETOTAL
IN PLAYSTOP
LOSS
PRICEALLOWABLE
LOSS TOTALALLOW
LOSS
% TOTALTODAY'S
CLOSE
PRICEGAIN/LOSS
SO FAREND
SHARESEND
BUY/SELL
PRICEEND
GAIN/LOSSEND
%
GAIN/LOSS06/24/20 10.44.59 MCD -50 182.00 9,100.00 189.85 -392.50 -4.31% 182.80 -40.00
LMT (Lockheed Martin) had a pretty good day no doubt piggy backing off of the Boeing news and riding the wave higher. It is already half way to my stop price which was pretty generous. I suspect that the trend here will help and it shall return to profitability for me so I'll put in an advanced order to short another 50 shares under 350.23.
DATE TIME STOCK
TICKERSHARES BEGIN
BUY/SELL
PRICETOTAL
IN PLAYSTOP
LOSS
PRICEALLOWABLE
LOSS TOTALALLOW
LOSS
% TOTALTODAY'S
CLOSE
PRICEGAIN/LOSS
SO FAREND
SHARESEND
BUY/SELL
PRICEEND
GAIN/LOSSEND
%
GAIN/LOSS06/24/20 14.14.54 LMT -100 360.10 36,010.00 379.25 -1,915.00 -5.32% 367.50 -740.00
Well my short for KBE (Small bank ETF) is in the same situation as all the other stocks I have. Sticking with the trade and placing an advanced order to short 500 shares at 29.35.
DATE TIME STOCK
TICKERSHARES BEGIN
BUY/SELL
PRICETOTAL
IN PLAYSTOP
LOSS
PRICEALLOWABLE
LOSS TOTALALLOW
LOSS
% TOTALTODAY'S
CLOSE
PRICEGAIN/LOSS
SO FAREND
SHARESEND
BUY/SELL
PRICEEND
GAIN/LOSSEND
%
GAIN/LOSS06/26/20 11.11.58 KBE -500 29.75 14,875.00 33.81 -2,030.00 -13.65% 30.78 -515.00
AXP (American Excess) is still looking good today and this one has a strong trend in my favor. I'll be adding to my short position when it goes below 92.51 for another 150 shares.
DATE TIME STOCK
TICKERSHARES BEGIN
BUY/SELL
PRICETOTAL
IN PLAYSTOP
LOSS
PRICEALLOWABLE
LOSS TOTALALLOW
LOSS
% TOTALTODAY'S
CLOSE
PRICEGAIN/LOSS
SO FAREND
SHARESEND
BUY/SELL
PRICEEND
GAIN/LOSSEND
%
GAIN/LOSS06/24/20 10.55.15 AXP -100 96.93 9,693.00 101.95 -502.00 -5.18% 94.52 241.00
Christ this seems like a lot of stuff, but now on to the gold miners and my long positions.
Kind of surprised with the GLD (Gold Spider Trust) basically nothing happened today, hell look at the volume and you can see nobody bought and nobody sold. It is like this stock took a long weekend. I'm gonna wait on this one until the volume returns.
DATE TIME STOCK
TICKERSHARES BEGIN
BUY/SELL
PRICETOTAL
IN PLAYSTOP
LOSS
PRICEALLOWABLE
LOSS TOTALALLOW
LOSS
% TOTALTODAY'S
CLOSE
PRICEGAIN/LOSS
SO FAREND
SHARESEND
BUY/SELL
PRICEEND
GAIN/LOSSEND
%
GAIN/LOSS06/24/20 15.23.14 GLD 15 166.09 2,491.35 157.79 -124.50 -5.00% 166.63 8.10
A little more action today with GDX (Gold Miners ETF), placing an advanced order to buy another 70 shares at 37.53.
DATE TIME STOCK
TICKERSHARES BEGIN
BUY/SELL
PRICETOTAL
IN PLAYSTOP
LOSS
PRICEALLOWABLE
LOSS TOTALALLOW
LOSS
% TOTALTODAY'S
CLOSE
PRICEGAIN/LOSS
SO FAREND
SHARESEND
BUY/SELL
PRICEEND
GAIN/LOSSEND
%
GAIN/LOSS06/24/20 15.57.34 GDX 70 34.70 2,429.00 32.97 -121.10 -4.99% 35.56 60.20
AUY (Yamana Gold) is still treading water so when it gets to 5.67 I'll hit it for another 500 shares long.
DATE TIME STOCK
TICKERSHARES BEGIN
BUY/SELL
PRICETOTAL
IN PLAYSTOP
LOSS
PRICEALLOWABLE
LOSS TOTALALLOW
LOSS
% TOTALTODAY'S
CLOSE
PRICEGAIN/LOSS
SO FAREND
SHARESEND
BUY/SELL
PRICEEND
GAIN/LOSSEND
%
GAIN/LOSS06/24/20 15.16.25 AUY 500 5.11 2,555.00 4.85 -130.00 -5.09% 5.28 85.00
AU (Anglogold) is consolidating quite nicely and looks like it is ready to pop. I'll be hitting this one for another 200 shares long if it can get above 29.41.
DATE TIME STOCK
TICKERSHARES BEGIN
BUY/SELL
PRICETOTAL
IN PLAYSTOP
LOSS
PRICEALLOWABLE
LOSS TOTALALLOW
LOSS
% TOTALTODAY'S
CLOSE
PRICEGAIN/LOSS
SO FAREND
SHARESEND
BUY/SELL
PRICEEND
GAIN/LOSSEND
%
GAIN/LOSS06/24/20 15.18.46 AU 100 28.17 2,817.00 26.76 -141.00 -5.01% 29.01 84.00
Here is the complete sheet complete with totals on the top of the chart.
195,436.35 -10,695.10 -1,490.70 STOCKS DATE TIME STOCK
TICKERSHARES BEGIN
BUY/SELL
PRICETOTAL
IN PLAYSTOP
LOSS
PRICEALLOWABLE
LOSS TOTALALLOW
LOSS
% TOTALTODAY'S
CLOSE
PRICEGAIN/LOSS
SO FAREND
SHARESEND
BUY/SELL
PRICEEND
GAIN/LOSSEND
%
GAIN/LOSSTOTAL
GAIN/LOSSTOTAL
%
GAIN/LOSSPARTIAL 1
SHARESPARTIAL 1
BUY/SELL
PRICEPARTIAL 1
GAIN/LOSSPARTIAL 1
%
GAIN/LOSSPARTIAL 2
SHARESPARTIAL 2
BUY/SELL
PRICEPARTIAL 2
GAIN/LOSSPARTIAL 2
%
GAIN/LOSSPARTIAL 3
SHARESPARTIAL 3
BUY/SELL
PRICEPARTIAL 3
GAIN/LOSSPARTIAL 3
%
GAIN/LOSS06/24/20 10.38.36 PFE -1000 32.41 32,410.00 33.27 -860.00 -2.65% 32.62 -210.00 06/24/20 10.44.59 MCD -50 182.00 9,100.00 189.85 -392.50 -4.31% 182.80 -40.00 06/24/20 10.55.15 AXP -100 96.93 9,693.00 101.95 -502.00 -5.18% 94.52 241.00 06/24/20 11.00.59 SLB -500 18.60 9,300.00 20.25 -825.00 -8.87% 18.01 295.00 06/24/20 11.03.47 T -500 29.43 14,715.00 30.87 -720.00 -4.89% 29.91 -240.00 06/24/20 14.14.54 LMT -100 360.10 36,010.00 379.25 -1,915.00 -5.32% 367.50 -740.00 06/24/20 14.15.51 XLF -500 23.06 11,531.00 23.79 -364.00 -3.16% 22.83 116.00 06/24/20 15.16.25 AUY 500 5.11 2,555.00 4.85 -130.00 -5.09% 5.28 85.00 06/24/20 15.18.46 AU 100 28.17 2,817.00 26.76 -141.00 -5.01% 29.01 84.00 06/24/20 15.23.14 GLD 15 166.09 2,491.35 157.79 -124.50 -5.00% 166.63 8.10 06/24/20 15.57.34 GDX 70 34.70 2,429.00 32.97 -121.10 -4.99% 35.56 60.20 06/26/20 11.10.22 XLF -1000 22.79 22,790.00 23.79 -1,000.00 -4.39% 22.83 -40.00 06/26/20 11.11.58 KBE -500 29.75 14,875.00 33.81 -2,030.00 -13.65% 30.78 -515.00 06/26/20 13.51.52 PFE -500 31.86 15,930.00 33.27 -705.00 -4.43% 32.62 -380.00 06/26/20 14.00.39 SLB -500 17.58 8,790.00 19.31 -865.00 -9.84% 18.01 -215.00
If you read through all of this shit congratulations get yourself a beer. Right now it looks like a little pain for me but all in all I still think we are on a downward trend that will play out over the next couple of weeks. The FED is in here trying to keep things afloat, but I just don't see any buying on the up days and I sure do see a lot of selling on the down days. I expect it to be a tough slog to get the market to go down, but that is what I see coming for the near future.
Last edited by Slurry Pumper; 06-29-20 at 05:01 PM. Reason: I see I screwed up the slb chart a little, but phuck it you'll get the idea.
Good info Slurry, appreciate you making the time to post. Good luck!
Looks like tomorrow could be a big day for IDEX. PC at 1pm. Wouldn’t be surprised to see it get back up to $3.
Speaking of EV destroying it today, forgot to mention BLNK. Another EV boomer.
Last edited by navyblue81; 06-29-20 at 07:07 PM.
they just said that there is a cure for covid on oan. that it will be here in 3 weeks and it is leronimab.
KTOV needs that PR tomorrow