Been AFK for quite a while didn't trade much since December just converted to cash after a few medium L's around Jan.
**I think an obvious disclaimer here is this is contingent on the market/war/fed data not being bad after this. Too fragile right now.
On this one I think we have a really good Supply/Demand area and possible breakout. Pretty decent fundamentals overall. I would be looking mainly for an options play w/ cover or just stock.
OPTION #1 --- BREAKOUT **Only would take trade on retest of breakout. Target 1: 110 Target 2: 122 Target 3: 134 unlikely without news/huge market news.
OPTION #2 --- WEDGE PLAY Assuming breakout fails and it may. I am going to most likely buy the bottom of the wedge/triangle seeing as its a pretty great spot for demand.
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