Earnings momentum in BOX. Strong EBITDA/Margin growth.
Can't go to 0 quick enough
Backfilling
Continuation Setup
Breaking out overnight
Long setup after removed from Dow Jones. Holding trend.
Into earnings
Nice bottoming setup
Nice ER play setup
Tight coil, watching XLU and Interest rates
Daily TD Buy setup off the 50/100 day moving average
Prices staging a comeback too?
Long term loser. Heavy balance sheet. No revenue growth.
Making a comeback?
As rates rise, this is setup nicely
Has now clear AVWAPs from the lows and IPO
Keeps bouncing between AVWAPs
Has that coiled spring look!