JM GTR (@jamil_riff) 's Twitter Profile
JM GTR

@jamil_riff

Menebus kesalahan

ID: 273475744

calendar_today28-03-2011 15:26:10

9,9K Tweet

1,1K Followers

2,2K Following

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$AVO Current Stock Price: $13.30 Contracts to trade: $12.5 AVO May 15 2026 Call Entry: $0.80 Exit: $1.12 ROI: 40% Hold ~23 days

$AVO
Current Stock Price: $13.30 
Contracts to trade: $12.5 AVO May 15 2026 Call 
Entry: $0.80 
Exit: $1.12 
ROI: 40% 
Hold ~23 days
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$ANF Current Stock Price: $78.51 Contracts to trade: $79.0 ANF May 08 2026 Call Entry: $0.55 Exit: $1.10 ROI: 99% Hold ~23 days

$ANF
Current Stock Price: $78.51 
Contracts to trade: $79.0 ANF May 08 2026 Call 
Entry: $0.55 
Exit: $1.10 
ROI: 99% 
Hold ~23 days
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$USFD Current Stock Price: $86.88 Contracts to trade: $87.5 USFD May 15 2026 Call Entry: $1.00 Exit: $1.95 ROI: 95% Hold ~23 days

$USFD
Current Stock Price: $86.88 
Contracts to trade: $87.5 USFD May 15 2026 Call 
Entry: $1.00 
Exit: $1.95 
ROI: 95% 
Hold ~23 days
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$CAPR fading 7.9% AH on nothing obvious hitting my scanner yet, but the tape doesn't feel random. nibbled a feeler at 31.30, stop tight at 30.70. there's a specific reason I'm not sizing this overnight and it's got nothing to do with the percentage.

$CAPR fading 7.9% AH on nothing obvious hitting my scanner yet, but the tape doesn't feel random. nibbled a feeler at 31.30, stop tight at 30.70. there's a specific reason I'm not sizing this overnight and it's got nothing to do with the percentage.
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$INOD Q1 record print ripped 37→62. Been watching since AI data services theme revived last month. Starter premarket 61.20 half-size only. 0.17x avg vol = thin gap. Key test: 9:30 real buyers vs dump sellers.

$INOD Q1 record print ripped 37→62. Been watching since AI data services theme revived last month. Starter premarket 61.20 half-size only. 0.17x avg vol = thin gap. Key test: 9:30 real buyers vs dump sellers.
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$TDIC up 5.9 to 1.25 premarket on 1.25x avg vol, sitting in starter size from 1.19 after the close yesterday. still 97% off the 52w high so this is pure dead-cat territory, not a turnaround story, but the 58% move on the month tells me someone's been accumulating quietly.

$TDIC up 5.9 to 1.25 premarket on 1.25x avg vol, sitting in starter size from 1.19 after the close yesterday. still 97% off the 52w high so this is pure dead-cat territory, not a turnaround story, but the 58% move on the month tells me someone's been accumulating quietly.
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$ARTV in quarter-size from 14.40 on the AlloNK Phase 3 RA alignment, not a big bet because this thing is already up 223 on the 3M and chasing extended biotechs is how I donate to the market.

$ARTV in quarter-size from 14.40 on the AlloNK Phase 3 RA alignment, not a big bet because this thing is already up 223 on the 3M and chasing extended biotechs is how I donate to the market.
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$ATRA gapping down 14% to 8.50 after a 98% month, and I had this on my swing list from the 3M run but something in the last 24h flipped my read on the entry plan.

$ATRA gapping down 14% to 8.50 after a 98% month, and I had this on my swing list from the 3M run but something in the last 24h flipped my read on the entry plan.
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$WEN in from 7.20 quarter-size on the Q1 print, holding for the open to see if 7.40 acts as a shelf or just folds. Volume is dead at 0.05x avg so I'm not trusting the 5% pop yet, this needs real bodies at 9:30 to mean anything.

$WEN in from 7.20 quarter-size on the Q1 print, holding for the open to see if 7.40 acts as a shelf or just folds. Volume is dead at 0.05x avg so I'm not trusting the 5% pop yet, this needs real bodies at 9:30 to mean anything.
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$CTM in from 0.78 quarter-size on the Q1 print, premarket tape actually has bodies for once at 3x avg vol which is rare for a sub-dollar name. 21% pop on real volume after a +19% month tells me someone was already positioned into the print, not just retail piling in at the open.

$CTM in from 0.78 quarter-size on the Q1 print, premarket tape actually has bodies for once at 3x avg vol which is rare for a sub-dollar name. 21% pop on real volume after a +19% month tells me someone was already positioned into the print, not just retail piling in at the open.
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$GRPN in from 17.20 on the Q1 print reaction, trailing stop under 16.80. Order book's 5x heavier on the bid which is why I sized up here Still 58% off the 52w high so plenty of room if this base holds into the close. who else got in on the earnings pop or am I late to this party?

$GRPN in from 17.20 on the Q1 print reaction, trailing stop under 16.80. Order book's 5x heavier on the bid which is why I sized up here
Still 58% off the 52w high so plenty of room if this base holds into the close. who else got in on the earnings pop or am I late to this party?
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$YMAT eyes glued to this one, up 113% on 66x avg vol after the MOU drop for the Texas battery facility financing. $9M cap and 35M shares already traded, this is a momo monster but there's one level on my chart I want to see hold before I size in.

$YMAT eyes glued to this one, up 113% on 66x avg vol after the MOU drop for the Texas battery facility financing. $9M cap and 35M shares already traded, this is a momo monster but there's one level on my chart I want to see hold before I size in.
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$HUBS not touching this 22% bleed yet, B of A downgrade hitting after the Q1 call is a one-two and I want to see where the dust settles.

$HUBS not touching this 22% bleed yet, B of A downgrade hitting after the Q1 call is a one-two and I want to see where the dust settles.
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$TOST in from 24.20 quarter-size, this is a beat that's getting sold and I want to see if 24 holds into the close. EPS and revenue both topped, stock down 18% which tells me guidance or take rate spooked someone on the call.

$TOST in from 24.20 quarter-size, this is a beat that's getting sold and I want to see if 24 holds into the close. EPS and revenue both topped, stock down 18% which tells me guidance or take rate spooked someone on the call.
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$TSSI watching this 32% sell-the-news bleed for a base, not stepping in until 10 holds. Q1 print guided EBITDA to the high end which is why the bid's stacked 7x deeper, buyers know the number was actually fine. Up 37% over 3 months so this is just air coming out.

$TSSI watching this 32% sell-the-news bleed for a base, not stepping in until 10 holds. Q1 print guided EBITDA to the high end which is why the bid's stacked 7x deeper, buyers know the number was actually fine. Up 37% over 3 months so this is just air coming out.