active "PRE-JUMP" TRADE signals

The stocks below are those we have issued a trade alert signal on. You should be getting updated alerts via email or Twitter, depending on your member level.
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OVER 50% PROFIT For October and Climbing

CURRENT TRADE SIGNALS 
(SCROLL TO SEE ALL CURRENT TRADES IN PLAY & SPREADSHEET)

MANU

Manchester United plc

Earnings Release Date: 11/15-20 (UNCONFIRMED)
Target Entry Date: 10/27/17   (18/share)
Approx Exit Date: 11/11/17

PROBABILITY OF PROFIT GRADE: A

OPEN: 18.10

LNG

Cheniere Energy, Inc.

Earnings Release Date: 11/14/17 (CONFIRMED)
Target Entry Date: 10/27/17    (44.60/SHARE)
Approx Exit Date: 11/11/17

PROBABILITY OF PROFIT GRADE: A

OPEN: 44.77

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YPF Sociedad Anonima (YPF)

Earnings Release Date: TBA (UNCONFIRMED)
Target Entry Date: 10/27/17  (24.05/share)
Appx Exit Date: 11/11/17

PROBABILITY OF PROFIT GRADE: B

OPEN: 24.05

NO 4TH TRADE SIGNAL THIS WEEK

RESEARCH  here before you place any positions. 

How We Pick & Trade These Events

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OPEN TRADES IN PLAY:

TRANSOCEAN, INC (RIG)

OPEN: 10/20/17    (10.65/share)
Appx Exit Date: 11/07/17

GOODRICH (GDP)

OPEN: 10/20/17    (10.15/share)
Appx Exit Date: 11/07/17

BOOT BARN, INC (BOOT)

OPEN: 10/13/17    (8.15/share)
Appx Exit Date: 11/07/17

CLOSED TRADES SPREADSHEET

TARGET COMPANY  (SYMBOL)

8point3 Energy Partners (CAFD)
Comtech Telecommunications (CMTL)
Blackhawk Network Holdings (HAWK)
Barracuda Networks (CUDA)
Adtran (ADTN)
National Bank Holdings Co (NBHC)
T-Moble US, inc (TMUS)
I-ROBOT Corporation (IBOT)
Boot Barn Holdings, Inc. (BOOT)
Transocean, Inc [RIG}
AK Steel HLDS (AKS)
OCH-ZIFF CAPITAL MGT (OZM)
GoDaddy, Inc (GDDY)
Elf Beauty, Inc (ELF)
Continental Resources, Inc (CLR)
Goodrich Petroleum (GDP)

RELEASE /CONFIRMED

10/04/2017     YES
09/27/2017     NO
10/10/2017     YES
10/10/2017     YES
10/17/2017     YES
10/19/2017     NO
10/23/2017    YES
10/24/2017    YES
10/25/2017    YES
TBD
TBD
TBD
NA
NA
11/07/2017   YES
TBD

APPROX EXIT

09/29/2017
09/25/2017
10/09/2017
10/09/2017
10/14/2017
10/18/2017
10/20/2017
10/20/2017
TBD
TBD
TBD
TBD
CLOSED
CLOSED
11/07/2017
11/06/2017

OPEN     ⁄     PRICE

9/18/2017     /14.57
9/20/2017     /20.44
9/25/2017     /43.30
9/26/2017     /23.64
10/02/2017   /24.00
10/02/2017   /35.61
10/06/2017   /61.68
10/06/2017   /75.01
10/09/2017   /8.15
10/13/2017   /10.65
10/16/2017   /5.61
10/13/2017   /3.29
10/20/2017  /44.48
10/20/2017  /20.50
10/20/2017  /37.15
10/20/2017  /10.15

CLOSE    ⁄     PRICE

09/29/2017     /15.10
09/21/2017     /20.55
10/09/2017     /44.15
10/04/2017     /25.23
10/16/17          /24.25
10/16/2017     /36.25
10/19/2017     /61.87
10/24/2017    /79.85
OPEN
OPEN
10/30/2017     /6.12
10/30/2017     /3.92
CLOSED
CLOSED
10/30/2017     /40.00
OPEN

PROFIT/LOSS

6.10%
.05%
1.97%
6.7%
.01%
-010%
.03%
6.5%


9.1%
19.14%
3.4%
9.7%
7.67%

NOTES

A
B
B
B
A
A
A
C
C
C

B
B
B
B

Notes: A= trade was normal and we exited on the target date as published. B=the target released early or take profit was early  (based on our trajectory and other news) and we had to issue a trade alter to alter our planned close time. C= our data suggested to stay in the trade longer (though this is a personal trading decision, the rule is to still close prior to release date (if this is an earnings reporter)

DISCLAIMER YOU SHOULD READ: Hypothetical performance results have many inherent limitations, some of which are described below. No representation is being made that any account will, or is likely to achieve profits or losses similar to those shown. In fact, there are frequently sharp differences between hypothetical performance results and the actual results subsequently achieved by any particular trading program. One of the limitations of hypothetical performance results is that they are generally prepared with the benefit of hindsight. In addition, hypothetical trading does not involve financial risk, and no hypothetical trading record can completely account for the impact of financial risk in actual trading. For example, the ability to withstand loss or adhere to a particular trading program in spite of trading losses are material points (both psychological and financial) which can adversely affect actual trading results.

There are numerous factors related to the markets in general or to the implementation of any specific trading program which cannot be fully accounted for in the preparation of hypothetical performance results and all of which can adversely affect actual trading results. Trading volatile events can be one of the riskiest forms of investments available in the financial markets and suitable for only sophisticated individuals and institutions. The possibility exists that you could sustain a substantial loss of funds and possibly all of your account, therefore you should not invest money that you cannot afford to lose. Nothing in this presentation is a recommendation to buy or sell stocks, futures or currencies and StockJumpers or any of its affiliates are not liable for any loss or damage, including without limitation, any loss of profit which may arise directly or indirectly from the use of StockJumpers reports or reliance on such information. Before deciding to participate in the markets, you should carefully consider your investment objectives, level of experience and risk appetite.

UPDATE: 10/24/2017 [GDDY] CLOSING TRADE: $46/SHARE (TAKE PROFIT – 3.4%)

UPDATE: 10/24/2017 [RIG] PROFIT TARGET: $11/SHARE

UPDATE: 10/25/2017 OCH-ZIFF CAPITAL [OZM] PROFIT TARGET: $3.8/SHARE

UPDATE: 10/25/2017 [GDP] PROFIT TARGET: $12/SHARE

UPDATE: 10/26/2017 [ELF] CLOSING TRADE: $22.50/SHARE  (TAKE PROFIT – 9.7%)