A stock thats been consolidating the last few weeks and one i believe might be an M&A target.
Long above 22.25 with SL below 21.10 for morea aggressive targets but 20 for more conservative traders.
I'd take a lower allocation and keep a deeper SL and double up above 23.25 which would be the real breakout.
Long above 22.25 with SL below 21.10 for morea aggressive targets but 20 for more conservative traders.
I'd take a lower allocation and keep a deeper SL and double up above 23.25 which would be the real breakout.