My picks for 8/31 via /r/wallstreetbets #stocks #wallstreetbets #investing


My picks for 8/31

https://preview.redd.it/1mnaniwl21l91.png?width=1008&format=png&auto=webp&s=745e2fd50dcb39a3efeff2de93dd466f41d6a64c

Remember to trade responsibly, these are all probabilities after all, not certainties.

Cenovus Energy Inc (CVE) – LONG

[Energy – Oil & Gas Integrated] in Canada.

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Odds within the next 7 market days:

Return > 1% 16 : 9

Return > 2% 3 : 2

Return > 3% 5 : 4

Return > 4% 1 : 1

Return > 5% 9 : 11

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Capital Allocation.

The following percentages represent the portion of today's basket

(Assuming a 5% Stop Loss) and $5000 basket size

Percent of basket: 21%

Units to Trade: 55

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Company Stats.

Revenue growth: 80.2%

Earnings growth: 10.115%

52 week change: 126.2%

Change from 52 week high: -24.4%

Change from 52 week low: 130.1%

Change from 200 day average: 12.7%

Change from 50 day average: 3.8%

10 day average daily volume: 6950420.

Asset Liquidity Risk: LOW. Pay attention of the ask:bid spread.

Change from 10 day average daily volume: -6.9%.

Crescent Point Energy Corporati (CPG) -SHORT

[Energy – Oil & Gas E&P] in Canada.

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Odds within the next 7 market days:

Return > 1% 7 : 13

Return > 2% 31 : 69

Return > 3% 7 : 18

Return > 4% 1 : 3

Return > 5% 23 : 77

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Capital Allocation.

The following percentages represent the portion of today's basket

(Assuming a 5% Stop Loss) and $5000 basket size

Percent of basket: 9%

Units to Trade: 58

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Company Stats.

Revenue growth: 50.7%

Earnings growth: -0.841%

52 week change: 118.2%

Change from 52 week high: -29.9%

Change from 52 week low: 130.6%

Change from 200 day average: 11.7%

Change from 50 day average: 4.6%

10 day average daily volume: 11267000.

Asset Liquidity Risk: VERY LOW. Pay attention of the ask:bid spread.

Change from 10 day average daily volume: 6.6%.

DISH Network Corporation (DISH) – SHORT

[Communication Services – Telecom Services] in United States.

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Odds within the next 7 market days:

Return > 1% 8 : 17

Return > 2% 7 : 18

Return > 3% 1 : 3

Return > 4% 11 : 39

Return > 5% 1 : 4

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Capital Allocation.

The following percentages represent the portion of today's basket

(Assuming a 5% Stop Loss) and $5000 basket size

Percent of basket: 12%

Units to Trade: 34

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Company Stats.

Revenue growth: -6.2%

Earnings growth: -0.226%

52 week change: -61.3%

Change from 52 week high: -63.0%

Change from 52 week low: 5.9%

Change from 200 day average: -35.9%

Change from 50 day average: -5.6%

10 day average daily volume: 3184210.

Asset Liquidity Risk: LOW. Pay attention of the ask:bid spread.

Change from 10 day average daily volume: -9.6%.

Equitrans Midstream Corporation (ETRN) – SHORT

[Energy – Oil & Gas Midstream] in United States.

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Odds within the next 7 market days:

Return > 1% 33 : 67

Return > 2% 28 : 71

Return > 3% 13 : 37

Return > 4% 23 : 77

Return > 5% 1 : 4

____________________________________

Capital Allocation.

The following percentages represent the portion of today's basket

(Assuming a 5% Stop Loss) and $5000 basket size

Percent of basket: 12%

Units to Trade: 65

____________________________________

Company Stats.

Revenue growth: -5.7%

Earnings growth: 1.549%

52 week change: 3.8%

Change from 52 week high: -19.9%

Change from 52 week low: 57.2%

Change from 200 day average: 10.4%

Change from 50 day average: 17.5%

10 day average daily volume: 2855080.

Asset Liquidity Risk: LOW. Pay attention of the ask:bid spread.

Change from 10 day average daily volume: -5.9%.

Pinterest, Inc. (PINS) – SHORT

[Communication Services – Internet Content & Information] in United States.

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Odds within the next 7 market days:

Return > 1% 27 : 73

Return > 2% 23 : 77

Return > 3% 1 : 4

Return > 4% 17 : 83

Return > 5% 3 : 17

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Capital Allocation.

The following percentages represent the portion of today's basket

(Assuming a 5% Stop Loss) and $5000 basket size

Percent of basket: 19%

Units to Trade: 43

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Company Stats.

Revenue growth: 18.5%

52 week change: -%

Change from 52 week high: -66.7%

Change from 52 week low: 36.1%

Change from 200 day average: -15.8%

Change from 50 day average: 5.9%

10 day average daily volume: 11405460.

Asset Liquidity Risk: VERY LOW. Pay attention of the ask:bid spread.

Change from 10 day average daily volume: -15.6%.

Range Resources Corporation (RRC) – SHORT

[Energy – Oil & Gas E&P] in United States.

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Odds within the next 7 market days:

Return > 1% 8 : 17

Return > 2% 7 : 18

Return > 3% 1 : 3

Return > 4% 21 : 79

Return > 5% 9 : 41

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Capital Allocation.

The following percentages represent the portion of today's basket

(Assuming a 5% Stop Loss) and $5000 basket size

Percent of basket: 14%

Units to Trade: 22

____________________________________

Company Stats.

Revenue growth: 114.1%

52 week change: -%

Change from 52 week high: -15.4%

Change from 52 week low: 120.5%

Change from 200 day average: 20.2%

Change from 50 day average: 5.3%

10 day average daily volume: 3621310.

Asset Liquidity Risk: LOW. Pay attention of the ask:bid spread.

Change from 10 day average daily volume: 29.9%.

Submitted August 31, 2022 at 12:41PM by cambridge_probs
via reddit https://ift.tt/QNnFCur