Today's video: https://screencast-o-matic.com/watch/cYViF0vvmPWith no big news coming overnight, the market is in wait and see mode, although certain areas are very strong today. Strength is in tech, software, select commodities and retail. Stocks in play include BYND, OKTA, LMT, CYBR, TWTR, FCX, DIS, ZM, NVDA and BIDU. Yesterday I listened up positions by tasing profits in BIDU and ULTA and exiting UBER. Also took a speculative bearish position in gold by going long inverse ETF DGLD. I may add a position today, but it will be on the small side of my risk parameters. Note that even though we currently have 4 positions, 2 are in green with stops moved up. So risk at this point is only a combined 1.6% for the 4 positions.How to use new site*: https://youtu.be/DwVI21S9cb8Focus List: FAANG, NVDA, TSLA, BABA, LK, ERX, RIG, SBUX, LMT, KTOS, VEC, UWT, AJRD, COUP, ROKU, OKYA, CRWD, PAYC, TWLO, TEAM, LULU, M, KSS, NAIL, KBH, BIDU, BABA, HUYA, IQ, DGLDPotential Runner Shorts: AAPL, TSLA, NVDA, BABA, LKKey long leveraged ETFs (if reversal): TQQQ, TNA, LABU, ERX, SOXL, FAS, BRZU, NAIL, YINNCurrent Positions: Added DGLD. Still holding CGC, AMZN and FB
Market Speculator Part-Time | Swing Trade Report
Paul
Singh
•
January 7, 2020

