1. $1-20, <20mil shares, 9:30-10:30am, study top 2~3 gapper in premarket (us hotspot -> premarket)
2. simulator for a month, $500 account
3. hot keys
4. biggest gapping + highest relative volume stock + pullback pattern (1min/5min)
5. 75% accuracy with average winners being twice the size of average losers.
6. level 2 data, if a huge buy exist, stock price will pop, also don't trade stock that has big spread
7. ema9/20/200 form alligator indicator
8. relative volume and turn over rate
my strategy based on MITQ0422
1. select stock premarket: gapper(10% < <50%) + relative volume, mark 'fomo' high and high
2. buy: when price above vwap/ema9 + breakout high in 1.
3. sell: when vwap + ema9 drop
MITQ_422_Infra - in165, out163, top182
ERYP_0425_Pre - in195, out185, top196 (不要设自动止损,premarket不会触发,手动,cut losses quickly)
GMDA_0426_Pre - in375, out360
AFIB_0427_Pre - in 1.28, out 1.2
moomoo:
volume: volume for today
turnover ratio:成交股/流通股
can switch between premarket/intraday/postmarket
equity = balance + P/L
margin level = equity/used margin
margin call level: a margin level when call is made, usually 100%, meaning资产不低于保证金,when margin call level is reached, you can not open new position
stop out level: broker will force liquidation, in gotocoin it's 50%
used margin: 已用保证金