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BEST RECENT TRADES
TickerClosing DateClose Price+/- ($)+/- (%)
CABA07.01.202017,59,05+107,1
JG31.12.20193,31,15+53,49
KOD22.11.201925.25+44,75+177.23
CLS16.12.201981.89+30.93
NERV27.01.20208,28+4.07+96.67
AXNX22.01.20203211,67+57,40
ALTR04.02.202038.8+10,31+36,19
SSI14.11.20192.07+0,76+36,71
SHOP27.01.2020456+170.25+59.58
DBD10.01.202012+5.22+76.99
GSB28.10.20199.51+2.9+16.5
QGEN18.11.201925.88+15,12+58.42
ENPH24.01.202032.3+14.3+79.44
AEO4.09.201913.9+3,08+22.13
WATCH LIST
TickerEnter PriceType
FEAR & GREED INDEX
The Fear&Greed Index moved back after its heights while SPX is on the historic high, we wait for SPX to move down
SIGNAL: $GEL
GEL
HIGH RISK
Long
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Action ⬆️
Strategy: High risk 📛
Timeframe: D – mid-term
Entry price: 15.51
Stop lower: 14.8
Target: 21.0
Profit/Risk ratio: 8/1

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SIGNAL: $ALLY
ALLY
HIGH RISK
Long
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Action ⬆️
Strategy: High risk 📛
Timeframe: D – mid-term
Entry price: 28.33
Stop lower: 27.5
Target: 32.0
Profit/Risk ratio: 4/1

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SIGNAL: $KOP
KOP
MID RISK
Long
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Action ⬆️
Risk: Mid risk ⚠️
Timeframe: D – mid-term
Entry price: 28.21
Stop lower: 26.8
Target: 40.0
Profit/Risk ratio: 11/1

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SIGNAL: $AEM
AEM
MID RISK
Long
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Action ⬆️
Risk: Mid risk ⚠️
Timeframe: D – mid-term
Entry price: 52.35
Stop lower: 49.8
Target: 62.0
Profit/Risk ratio: 4/1

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SIGNAL: $WLL
WLL
MID RISK
Long
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Action ⬆️
Risk: Mid risk ⚠️
Timeframe: D – mid-term
Entry price: 2.92
Stop lower: 2.5
Target: 6.0
Profit/Risk ratio: 7/1

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SIGNAL: $CARG
CARG
MID RISK
Long
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Action ⬆️
Risk: Mid risk ⚠️
Timeframe: D – mid-term
Entry price: 25.05
Stop lower: 23.8
Target: 36.0
Profit/Risk ratio: 9/1

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SIGNAL: $R
R
MID RISK
Long
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Action ⬆️
Risk: Mid risk ⚠️
Timeframe: D – mid-term
Entry price: 40.12
Stop lower: 38.8
Target: 52.5
Profit/Risk ratio: 9/1

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SIGNAL: $CVU
CVU
MID RISK
Long
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Action ⬆️
Risk: Mid risk ⚠️
Timeframe: D – mid-term
Entry price: 4.87
Stop lower: 4.5
Target: 7.5
Profit/Risk ratio: 7/1

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SIGNAL: $LPSN
LPSN
MID RISK
Long
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Action ⬆️
Risk: Mid risk ⚠️
Timeframe: D – mid-term
Entry price: 34.20
Stop lower: 32.8
Target: 44.0
Profit/Risk ratio: 7/1

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SIGNAL: $ATLC
ATLC
MID RISK
Long
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Action ⬆️
Risk: Mid risk ⚠️
Timeframe: D – mid-term
Entry price: 11.41
Stop lower: 9.8
Target: 18.0
Profit/Risk ratio: 4/1

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SIGNAL: $UI
UI
MID RISK
Long
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Action ⬆️
Risk: Mid risk ⚠️
Timeframe: D – mid-term
Entry price: 142.01
Stop lower: 135.0
Target: 220.0
Profit/Risk ratio: 11/1

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SIGNAL: $SVM
SVM
MID RISK
Long
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Action ⬆️
Risk: Mid risk ⚠️
Timeframe: D – mid-term
Entry price: 4.0
Stop lower: 3.8
Target: 6.0
Profit/Risk ratio: 4/1

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