My penny stock portfolio :)
Hey everyone,
Wanted to share my current penny stock holdings - partly to get some insights, but also to discuss thoughts and maybe find others riding the same wave. Today’s red day makes for some great buying opportunities :)
I always invest 1k in every penny play.
Lower-risk plays (for me)
$WULF - A crypto mining play. Currently in a strong financial position and undergoing rehabilitation. Analysts have set high price targets for the coming months.
$XAIR - Popped up here recently, but I got in last month. I see this as a strong long-term biotech play.
$ELEV - One of my favorites. Look at its price chart over the last few years - had two big spikes, and I caught both. I believe a third jump is coming soon on news.
$RVPH - A solid biotech stock with a good background for a mid-term hold.
$VERU - Riskier, but it's at a bottom right now. Could see a massive jump when the next news hits.
$DPRO - Wrote about them recently, though it unfortunately turned into a small pump-and-dump. Still see long-term potential here.
$HIVE - Another crypto miner like WULF, but carries slightly more risk.
$RZLV - A riskier play, but I believe it has strong upside on future news.
$OPTT - Currently bag-holding, but the latest news makes me very bullish for the mid/long term.
$RANI - At a low price right now. I see long-term potential if they execute well.
$NKTR - Recently bought in. Looks like a strong long-term biotech play with solid fundamentals.
$QSI - Initially bought as a joke when the quantum hype started, but I’m still up 300%. After digging deeper, I actually see strong upside potential, so I’m holding.
$MVST - Bag-holding from an unsuccessful average-up. Nice tech, but I’ll likely sell for a small profit.
$LAES - Same story as MVST. Holding long-term and planning to sell next year.
$COSM - Really bullish on their future. They’ve had some fantastic news recently.
$RVSN - Made good money with them before. Recently rejoined for another ride until either major news or the March report.
$BAER - Solid company. Currently on my second swing trade with them.
$VIGL - Been green every day for the last two weeks after a huge drop.
Riskier plays:
$NA - No idea why I bought this, but somehow still up. Extremely risky.
$GRYP - Bag-holding for a few weeks, likely selling on the next green day.
$WLDS - Holding for a few weeks now. They’ve got promising new tech, but it's still highly risky despite starting sales. Probably holding for a few more weeks.
$IPA - Super risky, but I’m hopeful for a future reward.
$FLYE - Feels like an old-school business model. Bought in on the last pump-and-dump, still holding. Planning to sell on the next news pop.
$IINN - Rejoined today. The price looks primed for an upward move.
$LITM - Got in at a good price. Waiting for the next news to sell.
$RECAF - Similar to LITM but bought in at a bad price. Holding and waiting for news.
What do you guys think? Anyone else holding some of these?