March saw an INSANE non-volatile +303.50% maximum profit potential after stop-outs which was a mere 49.6% comparatively!!! This is assuming every daily pick was bought and traded according to the suggested plan and sold at the next days high. We also saw HUGE runners with ARGS & RN on the 31st (58% & 12%), PLX & AVIR from the 13th for (22% and 11%), FUEL from the 24th (20%), PPHM from the 3rd (18%),FATE on the 10th (17%), and TGTX 2-day call from the 14th (14.5% total gains). Honorable mention also go to SBLK from the 1st (12.5%), and AUPH & VRAY from the 21st (12.5% and 7%). VRAY actually continued until the 28th putting in an extra 45% in gains that I am not including in this months totals. All alerts are automatically posted in our members dashboard immediately upon being sent out through email and text.