π
1. PL (Planet Labs)
β
Massive Pre-Market Gap + Earnings Guide Up
Breakout Level: π Pre-Market High
Support Zone: π‘οΈ Prior highs + gap fill region
Why A+:
π₯ +17% pre-market surge on upbeat Q3 results + raised full-year guidance π.
π Strong gap with real earnings catalyst
β‘ Momentum profile looks clean β classic gap-and-go candidate
π§ Heavy news flow + volume accumulation pre-open
β‘
2. GEV (GE Vernova)
β
Continuation Momentum from Major Upgrade
Breakout Level: π RSR Highs / recent breakout point
Support Zone: π‘οΈ Gap support + VWAP zone
Why A+:
π One of 2025βs standout movers with strong order backlog & raised outlook.
π‘ J.P. Morgan raised price target; Oppenheimer upgrade
π₯ Structural strength + momentum ready for follow-through
β‘
3. TSLA (Tesla)
β
Technical Rebound + Robotics Momentum
Breakout Level: π Above key resistance level
Support Zone: π‘οΈ Prior consolidation lows
Why A+:
π Structural breakout candidate identified in momentum screens.
π Mixed broader tech tape, but TSLAβs robotics segment showing renewed breakout potential
β‘ Clean technical setup β watch volume at open
πͺ
4. WULF (TeraWulf)
β
High Short Interest + Breakout Pressure
Breakout Level: π Above recent trading congestion high
Support Zone: π‘οΈ Gap support / short squeeze zone
Why A+:
β‘ High short interest β potential squeeze dynamics + technical strength.
π Crypto-related catalysts remain in play
π Volatility profile = edge for disciplined setups
π
5. CVNA (Carvana)
β
Index Inclusion & Flow-Driven Price Action
Breakout Level: π Above recent consolidation + S&P inclusion pivot
Support Zone: π‘οΈ Key MA cluster
Why A+:
π S&P 500 inclusion continues to fuel institutional buying interest.
π‘ Structural relevance β index flows can sustain moves
π Good volume backdrop vs peers
π
MARKET CONTEXT (FOR DEC 12)
Market sentiment is mixed due to earnings and macro news, with tech earnings driving divergent moves and AI names showing rotation pressures.
π§
JARVIS SETUPS β STRATEGIC TAKEAWAYS
- π PL β primary gap + news powerhouse set that needs volume confirmation.
- π GEV & TSLA β structural breakout continuation setups.
- β‘ WULF β momentum + short squeeze potential (higher risk, higher reward).
- π CVNA β flow-driven index inclusion momentum.
π
RISK MANAGEMENT (NON-NEGOTIABLE)
β οΈ Always use defined stop-loss orders
β οΈ Donβt over-leverage β especially on high-beta setups
β οΈ Confirm real-time volume and opening range behavior before entries
π
JARVIS A+ SETUPS SUMMARY
Strongest Gap + News: π’ PL
Best Structural Breakouts: π‘ GEV, TSLA
Momentum + Squeeze: π΅ WULF
Index Flow Play: π£ CVNA