Stock Picks for 2022-06-23 via /r/wallstreetbets #stocks #wallstreetbets #investing


Stock Picks for 2022-06-23

https://preview.redd.it/lsbg4euz8c791.png?width=842&format=png&auto=webp&s=3fddf0916d46f90430ac6a92f759393a7a6da99c

https://preview.redd.it/rd9o3uc09c791.png?width=886&format=png&auto=webp&s=dbaeec9614b8f9f49a14a498c8fc3d425005ecfe

Opportunities to go: LONG

AbbVie Inc. (ABBV)

[Healthcare – Drug Manufacturers—General] in United States.

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Odds within the next 7 market days:

Return > 1% 83 : 17

Return > 2% 31 : 19

Return > 3% 2 : 3

Return > 4% 11 : 39

Return > 5% 11 : 89

____________________________________

Capital Allocation.

The following percentages represent the portion of your equity balance that you could allocate in this trade depending on your risk tolerance.

(Assuming a 5% Stop Loss)

High Risk Tolerance: 22%

Medium Risk Tolerance: 11%

Low Risk Tolerance: 7%

____________________________________

Company Stats.

Revenue growth: 4.1%

Earnings growth: 0.261%

Free Cashflow Yield: 0.074.

52 week change: 25.0%

Change from 52 week high: -16.1%

Change from 52 week low: 39.8%

Change from 200 day average: 9.2%

Change from 50 day average: -2.7%

10 day average daily volume: 6332420.

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

Change from 10 day average daily volume: 22.6%.

Centene Corporation (CNC)

[Healthcare – Healthcare Plans] in United States.

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Odds within the next 7 market days:

Return > 1% 87 : 13

Return > 2% 71 : 29

Return > 3% 51 : 49

Return > 4% 8 : 17

Return > 5% 19 : 81

____________________________________

Capital Allocation.

The following percentages represent the portion of your equity balance that you could allocate in this trade depending on your risk tolerance.

(Assuming a 5% Stop Loss)

High Risk Tolerance: 25%

Medium Risk Tolerance: 12%

Low Risk Tolerance: 8%

____________________________________

Company Stats.

Revenue growth: 21.5%

Earnings growth: 0.21%

Free Cashflow Yield: 0.101.

52 week change: 11.1%

Change from 52 week high: -9.0%

Change from 52 week low: 37.2%

Change from 200 day average: 5.4%

Change from 50 day average: -0.9%

10 day average daily volume: 3178650.

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

Change from 10 day average daily volume: -5.3%.

Clovis Oncology, Inc. (CLVS)

[Healthcare – Biotechnology] in United States.

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Odds within the next 7 market days:

Return > 1% 43 : 7

Return > 2% 19 : 6

Return > 3% 16 : 9

Return > 4% 51 : 49

Return > 5% 39 : 61

____________________________________

Capital Allocation.

The following percentages represent the portion of your equity balance that you could allocate in this trade depending on your risk tolerance.

(Assuming a 5% Stop Loss)

High Risk Tolerance: 24%

Medium Risk Tolerance: 12%

Low Risk Tolerance: 8%

____________________________________

Company Stats.

Revenue growth: -16.9%

Free Cashflow Yield: -0.544.

52 week change: -%

Change from 52 week high: -77.0%

Change from 52 week low: 163.8%

Change from 200 day average: -41.6%

Change from 50 day average: 16.1%

10 day average daily volume: 24778000.

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

Change from 10 day average daily volume: 24.3%.

Opportunities to go: SHORT

Eos Energy Enterprises, Inc. (EOSE)

[Industrials – Electrical Equipment & Parts] in United States.

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Odds within the next 7 market days:

Return > 1% 93 : 7

Return > 2% 22 : 3

Return > 3% 41 : 9

Return > 4% 18 : 7

Return > 5% 19 : 14

____________________________________

Capital Allocation.

The following percentages represent the portion of your equity balance that you could allocate in this trade depending on your risk tolerance.

(Assuming a 5% Stop Loss)

High Risk Tolerance: 28%

Medium Risk Tolerance: 14%

Low Risk Tolerance: 10%

____________________________________

Company Stats.

Revenue growth: 1587.0%

Free Cashflow Yield: -1.165.

52 week change: -%

Change from 52 week high: -92.9%

Change from 52 week low: 40.0%

Change from 200 day average: -78.1%

Change from 50 day average: -28.1%

10 day average daily volume: 2416760.

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

Change from 10 day average daily volume: -59.7%.

Robinhood Markets, Inc. (HOOD)

[Technology – Software—Infrastructure] in United States.

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Odds within the next 7 market days:

Return > 1% 24 : 1

Return > 2% 23 : 2

Return > 3% 43 : 7

Return > 4% 77 : 23

Return > 5% 33 : 17

____________________________________

Capital Allocation.

The following percentages represent the portion of your equity balance that you could allocate in this trade depending on your risk tolerance.

(Assuming a 5% Stop Loss)

High Risk Tolerance: 31%

Medium Risk Tolerance: 15%

Low Risk Tolerance: 10%

____________________________________

Company Stats.

Revenue growth: -42.7%

52 week change: -%

Change from 52 week high: -91.2%

Change from 52 week low: 10.0%

Change from 200 day average: -63.9%

Change from 50 day average: -22.2%

10 day average daily volume: 24284750.

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

Change from 10 day average daily volume: -36.6%.

Root, Inc. (ROOT)

[Financial Services – Insurance—Property & Casualty] in United States.

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Odds within the next 7 market days:

Return > 1% 47 : 3

Return > 2% 89 : 11

Return > 3% 83 : 17

Return > 4% 37 : 13

Return > 5% 13 : 7

____________________________________

Capital Allocation.

The following percentages represent the portion of your equity balance that you could allocate in this trade depending on your risk tolerance.

(Assuming a 5% Stop Loss)

High Risk Tolerance: 28%

Medium Risk Tolerance: 15%

Low Risk Tolerance: 10%

____________________________________

Company Stats.

Revenue growth: 24.5%

Free Cashflow Yield: -1.562.

52 week change: -%

Change from 52 week high: -88.4%

Change from 52 week low: 19.8%

Change from 200 day average: -55.6%

Change from 50 day average: -10.6%

10 day average daily volume: 2190190.

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

Change from 10 day average daily volume: 31.0%.

Clever Leaves Holdings Inc. (CLVR)

[Healthcare – Drug Manufacturers—Specialty & Generic] in United States.

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Odds within the next 7 market days:

Return > 1% 19 : 1

Return > 2% 9 : 1

Return > 3% 17 : 3

Return > 4% 3 : 1

Return > 5% 13 : 7

____________________________________

Capital Allocation.

The following percentages represent the portion of your equity balance that you could allocate in this trade depending on your risk tolerance.

(Assuming a 5% Stop Loss)

High Risk Tolerance: 30%

Medium Risk Tolerance: 15%

Low Risk Tolerance: 10%

____________________________________

Company Stats.

Revenue growth: 25.3%

Free Cashflow Yield: -1.637.

52 week change: -%

Change from 52 week high: -92.0%

Change from 52 week low: 9.0%

Change from 200 day average: -71.9%

Change from 50 day average: -23.3%

10 day average daily volume: 390400.

Asset Liquidity Risk: HIGH. Beware of the ask:bid spread.

Change from 10 day average daily volume: -45.0%.

DatChat, Inc. (DATS)

[Technology – Software—Application] in United States.

____________________________________

Odds within the next 7 market days:

Return > 1% 23 : 2

Return > 2% 87 : 13

Return > 3% 81 : 19

Return > 4% 37 : 13

Return > 5% 33 : 17

____________________________________

Capital Allocation.

The following percentages represent the portion of your equity balance that you could allocate in this trade depending on your risk tolerance.

(Assuming a 5% Stop Loss)

High Risk Tolerance: 28%

Medium Risk Tolerance: 14%

Low Risk Tolerance: 9%

____________________________________

Company Stats.

Revenue growth: -%

Free Cashflow Yield: -0.2.

52 week change: -%

Change from 52 week high: -93.9%

Change from 52 week low: 9.7%

Change from 200 day average: -71.8%

Change from 50 day average: -21.9%

10 day average daily volume: 170150.

Asset Liquidity Risk: HIGH. Beware of the ask:bid spread.

Change from 10 day average daily volume: -4.3%.

U.S. Well Services, Inc. (USWS)

[Energy – Oil & Gas Equipment & Services] in United States.

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Odds within the next 7 market days:

Return > 1% 23 : 2

Return > 2% 87 : 13

Return > 3% 79 : 21

Return > 4% 17 : 8

Return > 5% 56 : 43

____________________________________

Capital Allocation.

The following percentages represent the portion of your equity balance that you could allocate in this trade depending on your risk tolerance.

(Assuming a 5% Stop Loss)

High Risk Tolerance: 28%

Medium Risk Tolerance: 14%

Low Risk Tolerance: 9%

____________________________________

Company Stats.

Revenue growth: -19.1%

Free Cashflow Yield: -0.88.

52 week change: -%

Change from 52 week high: -76.6%

Change from 52 week low: 97.4%

Change from 200 day average: -33.5%

Change from 50 day average: 23.5%

10 day average daily volume: 1747560.

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

Change from 10 day average daily volume: 885.6%.

Full Truck Alliance Co. Ltd. (YMM)

[Technology – Software—Application] in China.

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Odds within the next 7 market days:

Return > 1% 23 : 2

Return > 2% 87 : 13

Return > 3% 79 : 21

Return > 4% 71 : 29

Return > 5% 61 : 39

____________________________________

Capital Allocation.

The following percentages represent the portion of your equity balance that you could allocate in this trade depending on your risk tolerance.

(Assuming a 5% Stop Loss)

High Risk Tolerance: 28%

Medium Risk Tolerance: 14%

Low Risk Tolerance: 9%

____________________________________

Company Stats.

Revenue growth: 68.1%

Free Cashflow Yield: 0.121.

52 week change: -%

Change from 52 week high: -58.2%

Change from 52 week low: 115.3%

Change from 200 day average: -12.1%

Change from 50 day average: 37.7%

10 day average daily volume: 14268470.

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

Change from 10 day average daily volume: -60.5%.

Blend Labs, Inc. (BLND)

[Technology – Software—Application] in United States.

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Odds within the next 7 market days:

Return > 1% 91 : 9

Return > 2% 83 : 17

Return > 3% 73 : 27

Return > 4% 3 : 2

Return > 5% 49 : 51

____________________________________

Capital Allocation.

The following percentages represent the portion of your equity balance that you could allocate in this trade depending on your risk tolerance.

(Assuming a 5% Stop Loss)

High Risk Tolerance: 27%

Medium Risk Tolerance: 14%

Low Risk Tolerance: 9%

____________________________________

Company Stats.

Revenue growth: 164.4%

Free Cashflow Yield: -0.073.

52 week change: -%

Change from 52 week high: -86.4%

Change from 52 week low: 11.7%

Change from 200 day average: -66.8%

Change from 50 day average: -24.1%

10 day average daily volume: 2105670.

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

Change from 10 day average daily volume: -6.4%.

Compass, Inc. (COMP)

[Technology – Software—Application] in United States.

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Odds within the next 7 market days:

Return > 1% 23 : 2

Return > 2% 17 : 3

Return > 3% 3 : 1

Return > 4% 16 : 9

Return > 5% 13 : 12

____________________________________

Capital Allocation.

The following percentages represent the portion of your equity balance that you could allocate in this trade depending on your risk tolerance.

(Assuming a 5% Stop Loss)

High Risk Tolerance: 28%

Medium Risk Tolerance: 14%

Low Risk Tolerance: 9%

____________________________________

Company Stats.

Revenue growth: 31.0%

Free Cashflow Yield: 0.219.

52 week change: -%

Change from 52 week high: -77.8%

Change from 52 week low: 10.4%

Change from 200 day average: -55.6%

Change from 50 day average: -28.9%

10 day average daily volume: 4970550.

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

Change from 10 day average daily volume: -14.3%.

Fangdd Network Group Ltd. (DUO)

[Real Estate – Real Estate Services] in China.

____________________________________

Odds within the next 7 market days:

Return > 1% 23 : 2

Return > 2% 43 : 7

Return > 3% 77 : 23

Return > 4% 13 : 7

Return > 5% 27 : 23

____________________________________

Capital Allocation.

The following percentages represent the portion of your equity balance that you could allocate in this trade depending on your risk tolerance.

(Assuming a 5% Stop Loss)

High Risk Tolerance: 28%

Medium Risk Tolerance: 14%

Low Risk Tolerance: 9%

____________________________________

Company Stats.

Revenue growth: -87.0%

Free Cashflow Yield: 1.437.

52 week change: -%

Change from 52 week high: -95.7%

Change from 52 week low: 19.2%

Change from 200 day average: -73.3%

Change from 50 day average: -33.7%

10 day average daily volume: 161890.

Asset Liquidity Risk: HIGH. Beware of the ask:bid spread.

Change from 10 day average daily volume: -54.5%.

Inpixon (INPX)

[Technology – Software—Application] in United States.

____________________________________

Odds within the next 7 market days:

Return > 1% 47 : 3

Return > 2% 89 : 11

Return > 3% 41 : 9

Return > 4% 73 : 27

Return > 5% 61 : 39

____________________________________

Capital Allocation.

The following percentages represent the portion of your equity balance that you could allocate in this trade depending on your risk tolerance.

(Assuming a 5% Stop Loss)

High Risk Tolerance: 28%

Medium Risk Tolerance: 15%

Low Risk Tolerance: 10%

____________________________________

Company Stats.

Revenue growth: 33.0%

Free Cashflow Yield: -0.168.

52 week change: -%

Change from 52 week high: -90.1%

Change from 52 week low: 15.7%

Change from 200 day average: -73.8%

Change from 50 day average: -32.5%

10 day average daily volume: 5735830.

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

Change from 10 day average daily volume: -34.1%.

Tilray Brands, Inc. – Class 2 (TLRY)

[Healthcare – Drug Manufacturers—Specialty & Generic] in United States.

____________________________________

Odds within the next 7 market days:

Return > 1% 93 : 7

Return > 2% 87 : 13

Return > 3% 79 : 21

Return > 4% 17 : 8

Return > 5% 56 : 43

____________________________________

Capital Allocation.

The following percentages represent the portion of your equity balance that you could allocate in this trade depending on your risk tolerance.

(Assuming a 5% Stop Loss)

High Risk Tolerance: 28%

Medium Risk Tolerance: 14%

Low Risk Tolerance: 10%

____________________________________

Company Stats.

Revenue growth: 22.6%

Free Cashflow Yield: -0.003.

52 week change: -%

Change from 52 week high: -83.3%

Change from 52 week low: 6.3%

Change from 200 day average: -58.1%

Change from 50 day average: -31.3%

10 day average daily volume: 23687060.

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

Change from 10 day average daily volume: -36.4%.

Submitted June 23, 2022 at 11:18AM by cambridge_probs
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