oceanbleu
$MAMA Current strategy per my most recent post is to acccumulate a position long below 13.4 as close to pivot as possible (12.48 pivot). So fare I have an avg entry at 12.7$. If this is valid accumulation in past week, the 12.48 will be respected and it will eventually close above 13.7 on daily and make it back up to 17.1$+. If 12.48$ fails, there is a high risk of a move sub 11$.
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