All for last week. BSE,CTP,DEV,IRI,PGL,PSC,RCE,SLS, I didn't add DEV to my watchlist, looks too choppy, PGL looks like a takeover.
PSC with a very similar setup to RAC, just a few weeks behind if it goes down to test the 65 ema. Has a better volume profile IMO. If we get the David Hunter "melt up", these are the setups I'll be over weight for my TA portfolio, there will be money made IMO.