one of the brokerages keeps putting a buy side hammer on PCLN
Docqb
· 1 year ago
that means bias is to the upside
Docqb
· 1 year ago
Beanie,
kudos on PCLN, you da man !! lol btw what's ur target for today ?
beanieville
· 1 year ago
i don't really know. Hopefully the market doesn't tank.
The upgrade was kinda weak, 25% upside from by one analyst.
Another target still in the 160's.
This stock is headed higher in the longer term for sure.
I'm holding mine into the close, watching the first 30 minutes hod, and the lod . Obviously it needs to stay above 143 to see more buying.
Docqb
· 1 year ago
yup, that's what i got..... thanks
troyhouse
· 1 year ago
So how many PCLN bagholders do we have on here?
TV107
· 1 year ago
see that selloff in pcln at close its just not a normal stock normally a high % mover would close near highs on earnings day(especially since we didnt collapse at the close in gen markets)
TV107
· 1 year ago
i dont trade CSIQ but the swings the last 4 days are nuts maybe i should add it to my solar basket
zstock
· 1 year ago
CSIQ is an EPS earnings Monster. They report next week, so they'll probably go down. JASO reports next week, I think.
Van G
· 1 year ago
JASO reports before the bell on Monday morning
it closed very close to the HOD
troyhouse
· 1 year ago
Billy Bob, NYX is pumped and dumped here...move on to PCLN before it gets the same treatment...
TV107
· 1 year ago
well at least u got a new shorting opportunity for oils and coal and steel
TV107
· 1 year ago
crazy close along with fdx warning made it nuttier
TV107
· 1 year ago
lets go...3:00pm charge north!!!!
TV107
· 1 year ago
look at that reversal in CNQ on earnings should show that commodities need a break
TV107
· 1 year ago
sold out of everything...dont like the market final 40 minutes
TV107
· 1 year ago
just went i say that, we break thru
patience ...ugh
TV107
· 1 year ago
hopefully this market gets a push to futures settlement at 1392 4 pts away
TV107
· 1 year ago
hope u guys bought mgm under 50 bucks...they'll probably pump it more on fast money tonight on buyout rumors
troyhouse
· 1 year ago
beanie said "PCLN is so $200 i can smell it."
But when, in 2 days, 2 months, or 2 years?
troutslanding
· 1 year ago
pcln smells like burnt rubber...
TV107
· 1 year ago
stp earnings may 22 42 is a good buy as a run into earnings
maybe start buying june calls
TV107
· 1 year ago
the market has died 10 cent range on spy for well over an hour
TV107
· 1 year ago
UBB down to 143...it was a crock of %#@$ that it was 160 the other day
beanieville
· 1 year ago
NYX is a daytrading buy at 71
TV107
· 1 year ago
nyx is oversold into earnings day territory im jumping in
arun21
· 1 year ago
ENER a successful short!
TV107
· 1 year ago
option volume in mgm is too strong for stock to be below 50
TV107
· 1 year ago
lookls like they are buying financials and selling hard metals and commodities this morning
TV107
· 1 year ago
this market has no lift i envision under 138 on spy in afternoon
TV107
· 1 year ago
keep these commodity shorts over the weekend rewarded monday morning
beanieville
· 1 year ago
C upgrade of FSLR to 450 is too low, at least mine was a decent $500! lol
TV107
· 1 year ago
so when i first got on my pc, i see fslr up premarket
so i say to myself it has to be a contract, with futures so bad, an upgrade cant do it that much but then i see CITIGROUP AND 450 ARE U KIDDING ME???
yao ming
· 1 year ago
tv107, did you happen to see the citi's earnings estimates? for 2008 and 2009? thank you
TV107
· 1 year ago
no dont have access to that but im sure it will be posted on yahoo message boards sometime today
at least the fluff of 285 is off and its 281-282 now
troyhouse
· 1 year ago
so Beanie, you never posted your timeline for PCLN to reach 200$, is it 2 days, 2 months or 2 years?
Or let me guess, you might have already dumped it...
oh well , I just tried the link, doesn't link to solar part. however there are about 10,000 other TV shows to watch.
zstock
· 1 year ago
I looked at the XY chart for PCLN, and it definetly says to short sell it. So if PCLN is still above 143 in 3 days, I'll try it. Where's Lisa? She was asking me about when to short PCLN.
pete
· 1 year ago
beanie,
any thoughts on POT?
zstock
· 1 year ago
GDX OIH puts. I had 35% profit, this morning. Now they are 10% losses... dang
trend
· 1 year ago
I think REV is a good buy below .90. The company is doing well and it is very cheap.
zstock
· 1 year ago
REV is Hot chart---great looking penny$1 stock. Nice 15% price channel
trend
· 1 year ago
No commodity is safe except oil. Even oil is not scarce on the market. Stay away from commodity as Beanie said. Gold is okay for now or can go down to $800.
zstock
· 1 year ago
if gold gets to $800, then surely I can get my $770 target, that i figured out a feew days ago. Threw out the notes (actually, it's in that pile of papers over there somewhere) , I still remember the number. That's good.
TV107
· 1 year ago
good thing i covered my steel shorts in the morning you could see the strength as it was dropping that i knew it would recover late in the day
vodka_tonic
· 1 year ago
how did u short steel ? individual stocks or some etf ?
TV107
· 1 year ago
my favorite steel plays to trade are MTL, CLF and sometimes X i dont usuaully follow AKS or NUE or STLD MT is also a good stock in the sense that because it trades on London exchange there is a tight bid/ask in the premarket if u ever want to get out of the trade i also follow the ETF SLX
vodka_tonic
· 1 year ago
cool, good to know.
bam
· 1 year ago
Beanie, volume has dried up on PCLN. not very impressive on a stock that has 30% of its float short, don't you agree?
beanieville
· 1 year ago
Nothing wrong with it....it's the general market that's slowing things down.
beanieville
· 1 year ago
PCLN is so $200 i can smell it.
Docqb
· 1 year ago
i like the smell of FSLR long term better.....
beanieville
· 1 year ago
yeah... i like FSLR alot more.
TV107
· 1 year ago
there wasnt much of a trade on pcln today unless u bought the 10am dip i didnt touch it today be careful with pcln i trade it a lot and it has a mind of its own doesnt follow nasdaq futures that well
Docqb
· 1 year ago
watch the close
TV107
· 1 year ago
most likely it will trade like DECK has done after earnings rise a bit then go below todays closing levels after a week or so (similar price ranges)
beanieville
· 1 year ago
MA is a swing short. 285.8
lilme
· 1 year ago
Beanie, thank you for PCLN, made my day!!! Have a grand weekend. Ciao
Billy Bob
· 1 year ago
How about NYX ?
beanieville
· 1 year ago
PCLN should stay up....after all, it has a 30% short interest. Kinda how AMZN got from 50 to 100 last year.
beanieville
· 1 year ago
I'm raising PCLN price target to $200
Docqb
· 1 year ago
I calculated right at that on earnings and guidance
troyhouse
· 1 year ago
timeframe, please? do a favor on your readers and post timelines instead of blanket targets
Mike
· 1 year ago
Beanieville, your calls are wrong all the time. Do not play like a clown. Please, please, please.
Docqb
· 1 year ago
Beanie,
I went back to March and started checking your calls, you have been absolutely tearing it up !!! you go bro !!!!
beanieville
· 1 year ago
go PCLN go!!!!!!!!!!!!
Van G
· 1 year ago
beanie, excellent call on PCLN this morning
do u still think that a 25 point gain (up to around the $150's) is in-play for today ?
i'm looking for a daytrade exit point
you're the man, beanie
beanieville
· 1 year ago
ENER overnite daytrading short is profitable this morning. You're on your own. Could see 45-47 today, but no guarantees. I can't really tell ya when to take profits on the overnites.
zstock
· 1 year ago
overnight Franfurt--looks bad. dow futures down 59, and AIG wiped out europe banks and Toyata wiped out Japan. 7 out of 8 Frankfurt US Adr's down. market set to open lower and probably stays low all day. Also pre-market C could announce $400 Bil core assets up for sale, = BAD
TV107
· 1 year ago
yay!!! nice gap down finally i went short a lot at the close then boom aig and then boom oil over 125
zstock
· 1 year ago
the week before options expire MAY. I got a bad feeling that the correction might start this week. The market has corrected (10% to 15%), In MAY in the past, the week before options expire. Next week Retail stores report. WMT on Tuesday. Also reporting, (80%) of the companies reporting are making less this Q1 than last Q1. some companies are reporting losing quarters of up to (-1.92)
beanieville
· 1 year ago
The end of commodities is near. Stay away.
zstock
· 1 year ago
I bought puts on OIH and GDX today. does that count?
zstock
· 1 year ago
If you think the Rally continues, till the end of MAY and part way into June, you might be right ( doubtful)
beanieville
· 1 year ago
....
zstock
· 1 year ago
****
vodka_tonic
· 1 year ago
!!!!!
zstock
· 1 year ago
lol
Mike
· 1 year ago
If you wanna make money, short PCLN/FSLR and buy MA, do the opposite of what Beanie said.
Van G
· 1 year ago
beanie -
JASO reports on Monday before the bell
any thoughts on playing it over the weekend into Monday's earnings ?
TV107
· 1 year ago
the estimate is too low so they should beat but the real play was to buy at the open this morning
TV107
· 1 year ago
but its dragging up my stp that i loaded the boat on at $42
Van G
· 1 year ago
so is it worth holding JASO shares into Monday in your opinion ?
or does it look like a "buy the rumor, sell the news event" ?
Timmy
· 1 year ago
REXX reports at 1030
meme111
· 1 year ago
Looks like stp is still slowly working it's way down.
Billy Bob
· 1 year ago
Beanie, Is this a fade the open day?
beanieville
· 1 year ago
yes but let's see if it goes lower....wait for the actual turn before jumping in
do you know what a "hammer" is ?
kudos on PCLN, you da man !! lol btw what's ur target for today ?
The upgrade was kinda weak, 25% upside from by one analyst.
Another target still in the 160's.
This stock is headed higher in the longer term for sure.
I'm holding mine into the close, watching the first 30 minutes hod, and the lod . Obviously it needs to stay above 143 to see more buying.
its just not a normal stock
normally a high % mover would close near highs on earnings day(especially since we didnt collapse at the close in gen markets)
maybe i should add it to my solar basket
it closed very close to the HOD
along with fdx warning made it nuttier
should show that commodities need a break
patience ...ugh
4 pts away
But when, in 2 days, 2 months, or 2 years?
42 is a good buy as a run into earnings
maybe start buying june calls
10 cent range on spy for well over an hour
im jumping in
i envision under 138 on spy in afternoon
rewarded monday morning
so i say to myself it has to be a contract, with futures so bad, an upgrade cant do it that much
but then i see CITIGROUP AND 450
ARE U KIDDING ME???
dont have access to that
but im sure it will be posted on yahoo message boards sometime today
at least the fluff of 285 is off and its 281-282 now
Or let me guess, you might have already dumped it...
http://netforbeginners.about.com/gi/dynamic/off...
any thoughts on POT?
you could see the strength as it was dropping that i knew it would recover late in the day
i dont usuaully follow AKS or NUE or STLD
MT is also a good stock in the sense that because it trades on London exchange there is a tight bid/ask in the premarket if u ever want to get out of the trade
i also follow the ETF SLX
i didnt touch it today
be careful with pcln
i trade it a lot and it has a mind of its own
doesnt follow nasdaq futures that well
rise a bit then go below todays closing levels after a week or so
(similar price ranges)
I went back to March and started checking your calls, you have been absolutely tearing it up !!! you go bro !!!!
do u still think that a 25 point gain (up to around the $150's) is in-play for today ?
i'm looking for a daytrade exit point
you're the man, beanie
finally
i went short a lot at the close then boom aig and then boom oil over 125
I got a bad feeling that the correction might start this week.
The market has corrected (10% to 15%), In MAY in the past,
the week before options expire.
Next week Retail stores report.
WMT on Tuesday.
Also reporting, (80%) of the companies reporting are making less this Q1 than last Q1.
some companies are reporting losing quarters of up to (-1.92)
JASO reports on Monday before the bell
any thoughts on playing it over the weekend into Monday's earnings ?
but the real play was to buy at the open this morning
or does it look like a "buy the rumor, sell the news event" ?