ONLY A MATTER OF TIME BEFORE $78.20 IS CRACKED FOR GOOD. UP COMING EARNINGS ON THE 15TH COULD BE THE CATALYST.
I LIKE THE COMPANY BUT DEFINITELY SOME DOWN SIDE RISK IN THE SHORT TERM. W% MAY BE TOPPED OUT. PROFIT TAKING WILL HELP PUSH THIS LOWER. A PULL BACK TO THE 9 DAY $26.10 BEFORE GOING TO $25.50. SUPPORT 1 IS AT $25.09.
TIME TO GET SHORT VOLATILITY? POPPED OVER RESISTANCE ONLY TO GIVE BACK.
CAN WE GET A BOUNCE OFF THE 200 DAY??
A great stock to sell premium while holding a longer term position. Heading back to the 400's easily in my opinion.
FEELS LIKE WE ARE JUST GETTING STARTED HERE. LONG CALLS.
LONG BAC INTO NEXT WEEK. APR + WEEKLY CALLS. LOOKING FOR A BOUNCE OFF THE CLOUD. WILLIAMS %R IS LOW BUT TURNING UP - WILL STAY LONG @ -50 AND RIDE UP TO 100.