Daily low float stock picks & alerts.

Joined March 2026
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$NIVF midday. > Float: 568K shares > Volume: 92.5M > Rotation: 161x > SI: 34.21% | DTC: 1 > Price: 43.3% | Range: $0.60-$1.04 161x float rotation on a sub-600K float. 52w high AND low both printed today. 34% SI sounds like squeeze setup. DTC of 1 means shorts cover in a single day's volume. at 92M shares traded that's noise. this isn't a squeeze. it's a float that ceased to exist around 10am.
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subscribers got $IVDA at 8am yesterday. > Alert: 12.5x avg volume premarket, $0.49 vs $0.32 SMA20 > June 15 close: $0.3162 > June 16 high: $0.5695 (52w high) > Volume today: 123M vs 1.41M avg (87x) > Float: 5.0M 66% from close. 87x avg volume on a 5M float. that's float rotation doing the work. screener flagged it before the move.
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$AHMA > Float: 1.96M > SI: 6.84% | DTC: 1 > RVOL: 7.7x (49.5M vs 6.4M avg) > Premarket: 17.6% | $2.27 vs $1.35 close no news catalyst. pure volume. SMA20 at $1.24, SMA50 at $1.19 - both well below current price. screener flagged. not advice.
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8am scan. four names. $CRVO > Float: 5.89M > SI: 4.46% | DTC: 2.86 > Catalyst: $10.5M private placement June 10 at $3.14, CEO board chair participated > Warrants: Series B $3.32, Series C $3.14 overhead > Watch: $3.14 offering price is the level $IVDA > Float: 5.0M > SI: 3.35% | DTC: 1.0 > Catalyst: product launch PR June 15, 4K-bed hospital customer cited > Premarket volume: 17.7M vs 1.41M avg (12.5x) > Watch: $0.49 premarket vs $0.32 SMA20 $BEEM > Float: 19.9M > SI: 6.51% | DTC: 2.51 > Catalyst: European patent granted today (Smart PCC battery tech) > Premarket: 31.4% on 470K shares > Watch: $1.37 SMA20, $1.59 SMA50 both overhead $RKTO (was $HOTH) > Float: 14.85M > SI: 5.41% | DTC: 3.46 > Catalyst: biotech-to-AI-semiconductor rebrand May 28, AMD dev program > Volume today: 165M vs 25.5M avg > Watch: $1.11 SMA200 sitting right overhead not advice. screener output.
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$CVM 424B5 filed after close. > Filing: registered direct, 2.5M shares at $1.00 > Gross proceeds: $2.5M (net ~$2.2M after 7% ThinkEquity fee) > Float pre-filing: 8.12M shares > Splits: 4 total, 1:30 in May 2025 > Going concern: auditors flagged it > Cap: ~$8.5M wire flagged this filing. $100M S-3 shelf on paper. baby shelf rule caps actual capacity at ~$18M remaining. $0 revenue. Multikine Phase 3 is the entire thesis.
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FINRA short interest data is already ~10 days old by the time it's public. threshold list updates daily. FTD file drops twice a month with a 2-4 week lag. the real-time signal is the list, not the SI report. we screen 8K stocks daily for these → link in bio
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$CAST > Float: 15.6M shares > SI: 0.72% (no squeeze math) > RVOL: 17.6x (211M vs 12M 30d avg) > Pre: $4.94 ( 219% vs prior close) > Cap: ~$201M at pre price > Float rotation: 13.5x already in RTH screener flagged. IPO'd March 3. no splits. no shelf. no catalyst on the tape. volume showed up before any news did.
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5 setups for the week ahead. 2 are in Monday's 8am email. 1 free below. $TENX > Float: 512K shares > SI: 154% of float > Warrants: ~50M shares vs 6.24M outstanding > SMA200: $10.93 (watching this level) > Phase 3 topline data: Q3 2026 > $300M shelf went effective April 1 the squeeze math is real. so is the warrant overhang when data drops. other 4 in replies if you want them.
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weekend watchlist - 4 names with structure worth knowing before Monday open. $BYAH > Float: 1.02M | RDO priced $1.50 (1.33M new shares) > Friday vol: 105M - 103x float rotation > Watch: $1.50 offering price as resistance. supply resets Monday. float is now smaller than the RDO. $RUBI > Float: 4.06M | 3 reverse splits in 6 months (1:2,400 cumulative) > June 12: warrant exercise inducement - 7.89M shares at $0.65 incoming > Watch: $0.65 is where supply lands. that's nearly 2x the float in one event. $GELS > Float: 4.46M | cash model negative > June 19: shareholder vote on convertible note tranche 2 conversion > Watch: closed Friday at $0.97. vote approves dilution or it doesn't. one week. $RKTO (was $HOTH) > Float: 14.85M | cash runway: 2.3 months > April warrants at $0.85 are ITM at current price > Watch: $0.85 is where warrant supply starts. $1.00 compliance floor below that. not advice. supply math is the data.
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$SBEV S-1 filed AH Friday - registers 10M shares for C/M Capital resale under a $35M ELOC. $32.2M still available to draw. float: 2.04M shares | cap: sub-$1M FY2025 revenue: $73K. beverage ops abandoned. acquisition target deal expired. draw price: $0.40/share in January → $0.16 by June 1 400M authorized vs 15.4M outstanding - 26:1 reload capacity 3 active compliance violations. 59 days below $1.00 bid. ELOC S-1 resale filings matter for low-float traders: each draw issues shares at a discount to market, the S-1 registration makes those shares immediately sellable. lender supply hits your float on their clock, not yours. wire flagged this S-1.
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$ARAI 8-K filed AH - ATM agreement with Maxim Group, $14.97M capacity via active S-3 shelf (effective June 11). > Float: 3.72M shares | Cap: ~$15.5M > ATM size: $14.97M - nearly 1:1 with market cap > Cash anchor (Mar 31): $8.47M | Burn: ~$977K/mo > Est. runway: ~6.2 months without draws > Price: $0.489. Near 52-wk low ($0.40 floor). three Streeterville debt-to-equity conversions in April added ~14.1M shares for $7.5M in principal. no new cash raised post-anchor. ATM desk is now live on a 3.72M float. wire flagged this 8-K.
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cost to borrow spikes before short interest data does - CTB is live, SI% is 14 days stale. by the time the squeeze narrative hits, the setup already printed. we screen 8K stocks daily for these → link in bio
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subscribers got $PPCB at 8am yesterday. > Prior close: $1.35 > Open: $3.21 ( 138%) > Intraday high: $6.79 ( 403%) > Close: $2.43 ( 80%) > Vol: 174.6M on a 597K float. 292x rotation. catalyst was the $5M buyback announcement. cash model still negative. burn ~$632K/mo. today it's $1.94. buyback math vs burn math - that's what the alert said to watch.
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disclosure of the affiliate structure in the pinned post. BrokerCheck's free.
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$EDHL > Float: 0.53M shares | Cap: ~$10M > SI: 5.15% | DTC: 1 > RVOL: 8.5x (30d avg) | PM: 42% → $8.50 > Split: 1:16 (Feb 9). no shelf, no ATM, no warrants screener flagged. 58M shares traded yesterday on a 533K float. that's 109x float rotation in one session. not advice. float is the data.
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3 names on this morning's watchlist. one of them has a $300M shelf registration on a ~$711K market cap. same week they waived shareholder approval for equity issuance. float under 600K on another. 7 reverse splits. full breakdown drops at 8am.
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screener output - June 12, 8am $BYAH > Float: 1.02M shares | Cap: ~$711K > SI: 1.32% | DTC: 1.07 > Catalyst: $300M F-3 shelf went effective June 9. same week company filed 6-K waiving Nasdaq shareholder approval rules (5635 a/b/c/d). equity issuance no longer requires a vote. > Watch: $1.00 bid compliance, $2.65 June 8 resistance $GELS > Float: 4.46M shares | Cap: ~$14M > SI: 1.73% | DTC: 1.4 > Catalyst: multiple LULD halts June 11-12, 197% today. convertible note shareholder vote June 19 - tranche 2 conversion pending approval. floor: $0.50 VWAP-linked. > Watch: $1.00 compliance cure threshold $PPCB > Float: 597K shares | Cap: ~$2.1M > SI: 5.22% | DTC: 1 > Catalyst: $5M share repurchase announced June 11. 7 reverse splits, most recent 1:25 May 18. cash model negative, burn ~$632K/mo. > Watch: $2.43 current. buyback math vs burn math not advice. structure is the data.
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$SHPH 8-K filed AH - reverse split 1:10, effective today. > Float: 3.09M shares | Cap: ~$3M > Split history: 1:8 (Aug '24) → 1:25 (Jun '25) → 1:10 (Jun '26) > Cumulative 2yr ratio: 1:2,000 > Est. cash: negative. compliance deficiency active since Feb. > Company: was oncology pharma. now mines Dogecoin. three splits in under two years and the float's still under 3M. wire flagged this 8-K.
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RegSHO threshold list entry takes 5 consecutive settlement days with 10K FTDs at ≥0.5% of shares outstanding. exit requires 5 consecutive days below that same threshold. Rule 203(b)(3) buy-ins don't trigger until day 13. the door in is faster than the door out. we screen 8K stocks daily for these → link in bio
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