Short Squeeze QuantSignals V3 Screener 2025-11-06
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💰 SHORT SQUEEZE SIGNALS
Generated: November 06, 2025 at 10:45 PM
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📊 5 Total Opportunities • ✅ 0 Ready to Trade • ⏸️ 5 Monitor
────────────────────────────────────────────────────────────────────────────────
┌─ #1 ⏸️
MRNA • Score: 31/100 • WAIT
│
│ 📅 DTE: 14-28 days
│ 🟡 Risk Level: Medium Risk (6/10)
│
│ 📰 Catalyst: SI: 17.2%, Float: 20.2%, Borrow: 15.0%, DTC: 6.1
│ 📊 Setup: 📊 Elevated Short Interest (17.2%, +5.0 pts) | 💵 Elevated Borrow Cost (15%, +4.0 pts) | ⏰ High Days to Cover (6.1d, +6.0 pts)
│ 🎯 Target: Low squeeze potential - monitor for catalyst
│ 📈 Options: CALL options for squeeze play - strike based on resistance levels
│
│ 💡 Wait - Weak squeeze signals
│ ⚠️ Risk: WARNING: Stock falling (-10.4%), squeeze setup not triggered
└───────────────────────────────────────────────────────────────────────────────
┌─ #2 ⏸️
OPEN • Score: 19/100 • WAIT
│
│ 📅 DTE: 14-28 days
│ 🔴 Risk Level: High Risk (7/10)
│
│ 📰 Catalyst: SI: 21.3%, Float: 25.1%, Borrow: 15.0%, DTC: 0.7
│ 📊 Setup: 📈 High Short Interest (21.3%, +9.0 pts) | 💵 Elevated Borrow Cost (15%, +4.0 pts) | ⚡ Volume Accelerating (1.7x, +3.0 pts)
│ 🎯 Target: Low squeeze potential - monitor for catalyst
│ 📈 Options: CALL options for squeeze play - strike based on resistance levels
│
│ 💡 Wait - Weak squeeze signals
│ ⚠️ Risk: WARNING: Stock falling (-15.6%), squeeze setup not triggered
└───────────────────────────────────────────────────────────────────────────────
┌─ #3 ⏸️
SOUN • Score: 14/100 • WAIT
│
│ 📅 DTE: 14-28 days
│ 🔴 Risk Level: High Risk (7/10)
│
│ 📰 Catalyst: SI: 23.5%, Float: 27.6%, Borrow: 15.0%, DTC: 1.5
│ 📊 Setup: 📈 High Short Interest (23.5%, +9.0 pts) | 💵 Elevat
Image
ed Borrow Cost (15%, +4.0 pts) | ⚡ Volume Accelerating (1.6x, +3.0 pts)
│ 🎯 Target: Low squeeze potential - monitor for catalyst
│ 📈 Options: CALL options for squeeze play - strike based on resistance levels
│
│ 💡 Wait - Weak squeeze signals
│ ⚠️ Risk: WARNING: Stock falling (-19.2%), squeeze setup not triggered
└───────────────────────────────────────────────────────────────────────────────
┌─ #4 ⏸️
GME • Score: 10/100 • WAIT
│
│ 📅 DTE: 14-28 days
│ 🔴 Risk Level: High Risk (7/10)
│
│ 📰 Catalyst: SI: 14.6%, Float: 17.1%, Borrow: 10.0%, DTC: 8.1
│ 📊 Setup: 💵 Elevated Borrow Cost (10%, +4.0 pts) | ⏰ High Days to Cover (8.1d, +6.0 pts)
│ 🎯 Target: Low squeeze potential - monitor for catalyst
│ 📈 Options: CALL options for squeeze play - strike based on resistance levels
│
│ 💡 Wait - Weak squeeze signals
│ ⚠️ Risk: WARNING: Low short interest (14.6%)
└───────────────────────────────────────────────────────────────────────────────
┌─ #5 ⏸️
ACHR • Score: 10/100 • WAIT
│
│ 📅 DTE: 14-28 days
│ 🔴 Risk Level: High Risk (7/10)
│
│ 📰 Catalyst: SI: 11.8%, Float: 13.9%, Borrow: 7.0%, DTC: 1.2
│ 📊 Setup: Extreme Volatility (86%, +8.0 pts) | 🔄 Elevated Turnover (6.3%, +2.0 pts)
│ 🎯 Target: Low squeeze potential - monitor for catalyst
│ 📈 Options: CALL options for squeeze play - strike based on resistance levels
│
│ 💡 Wait - Weak squeeze signals
│ ⚠️ Risk: WARNING: Low short interest (11.8%)
└───────────────────────────────────────────────────────────────────────────────
────────────────────────────────────────────────────────────────────────────────
📖 QUICK GUIDE:
✅ ENTER NOW → High probability setup, optimal timing, low-medium risk
⏸️ WAIT → Monitor for better entry or catalyst resolution
🟢 Low Risk → Heat 1-3 (stable, far from catalysts)
🟡 Med Risk → Heat 4-6 (moderate volatility)
🔴 High Risk → Heat 7-10 (near catalysts, high volatility)
💎 Position Sizing: 2-5% per trade • Max 2-3 concurrent positions
🎯 Exit Strategy: Take profit
at 50% max gain or stop at 2x loss
════════════════════════════════════════════════════════════════════════════════
💡 Short Squeeze Mechanics
• Forced Covering: High short interest + price rise = forced buybacks
• Gamma Squeeze: Options activity amplifies upward momentum
• FOMO Effect: Retail participation accelerates the squeeze
• Timing is Critical: Squeezes are explosive but short-lived
⚠️ Risk Management
• Short squeezes are extremely high-risk, high-reward plays
• Use strict position sizing (max 1-3% per position)
• Set tight stop losses (8-12% below entry)
• Take profits aggressively - squeezes reverse quickly
• Never hold through earnings or major catalysts
💡 Remember: Squeeze timing is unpredictable. Only risk capital you can afford to lose.
════════════════════════════════════════════════════════════════════════════════
💰 SHORT SQUEEZE SIGNALS
Generated: November 06, 2025 at 10:45 PM
════════════════════════════════════════════════════════════════════════════════
📊 5 Total Opportunities • ✅ 0 Ready to Trade • ⏸️ 5 Monitor
────────────────────────────────────────────────────────────────────────────────
┌─ #1 ⏸️
│
│ 📅 DTE: 14-28 days
│ 🟡 Risk Level: Medium Risk (6/10)
│
│ 📰 Catalyst: SI: 17.2%, Float: 20.2%, Borrow: 15.0%, DTC: 6.1
│ 📊 Setup: 📊 Elevated Short Interest (17.2%, +5.0 pts) | 💵 Elevated Borrow Cost (15%, +4.0 pts) | ⏰ High Days to Cover (6.1d, +6.0 pts)
│ 🎯 Target: Low squeeze potential - monitor for catalyst
│ 📈 Options: CALL options for squeeze play - strike based on resistance levels
│
│ 💡 Wait - Weak squeeze signals
│ ⚠️ Risk: WARNING: Stock falling (-10.4%), squeeze setup not triggered
└───────────────────────────────────────────────────────────────────────────────
┌─ #2 ⏸️
│
│ 📅 DTE: 14-28 days
│ 🔴 Risk Level: High Risk (7/10)
│
│ 📰 Catalyst: SI: 21.3%, Float: 25.1%, Borrow: 15.0%, DTC: 0.7
│ 📊 Setup: 📈 High Short Interest (21.3%, +9.0 pts) | 💵 Elevated Borrow Cost (15%, +4.0 pts) | ⚡ Volume Accelerating (1.7x, +3.0 pts)
│ 🎯 Target: Low squeeze potential - monitor for catalyst
│ 📈 Options: CALL options for squeeze play - strike based on resistance levels
│
│ 💡 Wait - Weak squeeze signals
│ ⚠️ Risk: WARNING: Stock falling (-15.6%), squeeze setup not triggered
└───────────────────────────────────────────────────────────────────────────────
┌─ #3 ⏸️
│
│ 📅 DTE: 14-28 days
│ 🔴 Risk Level: High Risk (7/10)
│
│ 📰 Catalyst: SI: 23.5%, Float: 27.6%, Borrow: 15.0%, DTC: 1.5
│ 📊 Setup: 📈 High Short Interest (23.5%, +9.0 pts) | 💵 Elevat
Image
ed Borrow Cost (15%, +4.0 pts) | ⚡ Volume Accelerating (1.6x, +3.0 pts)
│ 🎯 Target: Low squeeze potential - monitor for catalyst
│ 📈 Options: CALL options for squeeze play - strike based on resistance levels
│
│ 💡 Wait - Weak squeeze signals
│ ⚠️ Risk: WARNING: Stock falling (-19.2%), squeeze setup not triggered
└───────────────────────────────────────────────────────────────────────────────
┌─ #4 ⏸️
│
│ 📅 DTE: 14-28 days
│ 🔴 Risk Level: High Risk (7/10)
│
│ 📰 Catalyst: SI: 14.6%, Float: 17.1%, Borrow: 10.0%, DTC: 8.1
│ 📊 Setup: 💵 Elevated Borrow Cost (10%, +4.0 pts) | ⏰ High Days to Cover (8.1d, +6.0 pts)
│ 🎯 Target: Low squeeze potential - monitor for catalyst
│ 📈 Options: CALL options for squeeze play - strike based on resistance levels
│
│ 💡 Wait - Weak squeeze signals
│ ⚠️ Risk: WARNING: Low short interest (14.6%)
└───────────────────────────────────────────────────────────────────────────────
┌─ #5 ⏸️
│
│ 📅 DTE: 14-28 days
│ 🔴 Risk Level: High Risk (7/10)
│
│ 📰 Catalyst: SI: 11.8%, Float: 13.9%, Borrow: 7.0%, DTC: 1.2
│ 📊 Setup: Extreme Volatility (86%, +8.0 pts) | 🔄 Elevated Turnover (6.3%, +2.0 pts)
│ 🎯 Target: Low squeeze potential - monitor for catalyst
│ 📈 Options: CALL options for squeeze play - strike based on resistance levels
│
│ 💡 Wait - Weak squeeze signals
│ ⚠️ Risk: WARNING: Low short interest (11.8%)
└───────────────────────────────────────────────────────────────────────────────
────────────────────────────────────────────────────────────────────────────────
📖 QUICK GUIDE:
✅ ENTER NOW → High probability setup, optimal timing, low-medium risk
⏸️ WAIT → Monitor for better entry or catalyst resolution
🟢 Low Risk → Heat 1-3 (stable, far from catalysts)
🟡 Med Risk → Heat 4-6 (moderate volatility)
🔴 High Risk → Heat 7-10 (near catalysts, high volatility)
💎 Position Sizing: 2-5% per trade • Max 2-3 concurrent positions
🎯 Exit Strategy: Take profit
at 50% max gain or stop at 2x loss
════════════════════════════════════════════════════════════════════════════════
💡 Short Squeeze Mechanics
• Forced Covering: High short interest + price rise = forced buybacks
• Gamma Squeeze: Options activity amplifies upward momentum
• FOMO Effect: Retail participation accelerates the squeeze
• Timing is Critical: Squeezes are explosive but short-lived
⚠️ Risk Management
• Short squeezes are extremely high-risk, high-reward plays
• Use strict position sizing (max 1-3% per position)
• Set tight stop losses (8-12% below entry)
• Take profits aggressively - squeezes reverse quickly
• Never hold through earnings or major catalysts
💡 Remember: Squeeze timing is unpredictable. Only risk capital you can afford to lose.
Free Signals Based on Latest AI models💰: QuantSignals.xyz
คำจำกัดสิทธิ์ความรับผิดชอบ
ข้อมูลและบทความไม่ได้มีวัตถุประสงค์เพื่อก่อให้เกิดกิจกรรมทางการเงิน, การลงทุน, การซื้อขาย, ข้อเสนอแนะ หรือคำแนะนำประเภทอื่น ๆ ที่ให้หรือรับรองโดย TradingView อ่านเพิ่มเติมใน ข้อกำหนดการใช้งาน
Free Signals Based on Latest AI models💰: QuantSignals.xyz
คำจำกัดสิทธิ์ความรับผิดชอบ
ข้อมูลและบทความไม่ได้มีวัตถุประสงค์เพื่อก่อให้เกิดกิจกรรมทางการเงิน, การลงทุน, การซื้อขาย, ข้อเสนอแนะ หรือคำแนะนำประเภทอื่น ๆ ที่ให้หรือรับรองโดย TradingView อ่านเพิ่มเติมใน ข้อกำหนดการใช้งาน
