MU – recent earnings winner , closing in on all time highs, risk based of 92.60 – Long Setup
BFRI- squeezed well into the close, like the action so far, and how the offering was soaked, watching this vs 11.40-.60 and then 10.70 where the squeeze started to pick up volume
AMC- looking short vs the 20ema which is turning down, risk vs 30.18
QCOM- looking vs 179.80 for potential next leg continuation
HUT- watching weak open vs 8.50 – Long Setup
DOGZ- watching for couple days of consolidation vs 6.50-6.75 for potential next leg
PDD- dependent on China really want to see recent lows toward 54 hold and closing above 10ema
UPST- vs 145.79 for long setup
NAUT- long vs 5.50
CRWD- going to monitoring potential long vs 204 area bigger picture, 208 area for Monday
BA- looking vs 201
MARA- looking weak open vs 36
HCP- looking weak open vs 86.29 this is sitting on right below ipo high print
RIVN- looking for 98-100 to get rejected and more downtrend
Thanks Josh👍