1.04K
General
xXxZealandxXx
·
04-10
$Tesla Motors(TSLA)$   《The spice from the Dip》 Yeah I'm  feeling pretty confident on TSLA Stabilizing the fall trend, now with RoboTaxi and what appears do be aconfirmed cancel on model 2 ... Reuter hehe ya relentless pricks [Tongue]  kidding... well done, we needed to know wheather Elon thought hard with Model 2 and realise Comp to strong for building demands of Low Cost EV as of now... "Back seated" till 2025 apparent giving new views of Model 3. 《Just MY thoughts》 Since the strong and ambitious comp from China EV makers might/may have pushed RoboTaxi before model 2  and was waiting to unveail before annoucing a cancellation as that could have sent TSLA sky rocket downwards.. A Low cost wi
$Tesla Motors(TSLA)$ 《The spice from the Dip》 Yeah I'm feeling pretty confident on TSLA Stabilizing the fall trend, now with RoboTaxi and what appe...
TOPfizzik: The way you break down the RoboTaxi and Model 2 plans, very insightful one.
6
Report
336
General
812
Selection
nerdbull1669
·
04-10

Monetary Policy Decision Key To Market Performance

Last night trading ended with a mixed performance, with major indices floating around the previous day close level. This could be due to investors awaiting the March Consumer Price Index release. We saw a significant dip occurred in mid-morning, driven by a pullback in mega-cap stocks. A late afternoon rally helped the S&P 500 and Nasdaq Composite to close near their morning highs. But Dow Jones Industrial Average affected by $Boeing(BA)$ decline after reports of its lowest first-quarter deliveries since Q2 2021 and a Federal Aviation Administration investigation into the 787 Dreamliner came in, Dow end the day slightly lower. Increase Selling Pressure On Several High-Performing Stocks There is increased selling pressure seen on several high-per
Monetary Policy Decision Key To Market Performance
TOPTaurus Pink: [Proud] [Proud] [Proud]
1
Report
1.11K
Selection
Futures_Pro
·
04-10

"The Gold breakout to the round number 2400 will continue this week! "

Spot gold briefly moved higher, setting a new all-time high at $2,356.06 per ounce on Monday. The breakout to the round number 2400 will continue this week!After reducing their gold holdings at the turn of the century, central banks are once again increasing their holdings of gold, and with great vigour.Geopolitical tensions have also intensified will further push up gold prices.Therefore, the downside risk of gold prices is limited, and the upside is still very large. The possibility of gold prices reaching $3,000 or $3,500 per ounce is much greater than the possibility of falling back to $1,600.The current strategy suggests that we still maintain the M buy idea, and when the subsequent price retracement occurs, buy on the low side of the main, should not enter the sell order.Lower attent
"The Gold breakout to the round number 2400 will continue this week! "
TOPFutures_Pro: Gold prices yesterday continued to rebound to close the sun, creating a new high point, although charged high fall form, there is a certain rebound top expectations, but also still running above the 5-day average, the chart indicators signal no obvious signs of weakness, then in the decline to below the 5-day average, the gold price is expected to hit the expectations and power of the 2400 U.S. dollars near. Preliminary intraday point reference: gold: below the attention of 2342 near support, and 2334 near support; above the attention of 2365 near resistance, and 2374 near resistance; gold trend is still temporarily up trend control-oriented trend! Operation continue to buy mainly! Strategy: Buy: 2345-48 T/P:2365-70 S/L according to personal habits set! Image
3
Report
1.57K
General
Terra Incognita
·
04-10
I opened $SMCI 20240419 1020.0 CALL$  ,SMCI: sold naked call on SMCI at revised strike price of $1020 and expiring in 10 days on 19th April. Premium collection during this period is 1.35%. Selected a lower strike at $1020 for better premium collection and that the stock had dropped by $50 from the last few trading days and therefore allowing the margin of safety of about $120 dollars away. For a volatile stock like SMCI, the ATR is already at 83 so 2 strong up days will pretty much will result in losing trade. Nevertheless, I’m still net short on SMCI and this trade is of similar convictions.
SMCI CALL
04-10 00:57
US20240419 1020.0
SidePriceRealized P&L
Sell
Open
13.95--
Closed
SUPER MICRO COMPUTER INC
I opened $SMCI 20240419 1020.0 CALL$ ,SMCI: sold naked call on SMCI at revised strike price of $1020 and expiring in 10 days on 19th April. Premium...
TOPHardy Mond: For a volatile stock like SMCI, too risky to short..
1
Report
848
General
Callum_Thomas
·
04-10

3 Key Factors are going to determine the path of Industrial Metals

Image3 Key Factors are going to determine the path of that chart above...Global: Reacceleration vs RecessionChina: Stimulus vs DownturnThematics: Capex boom1)On Reacceleration vs RecessionRecently seeing more evidence for the former-leading indicators turning up-manufacturing PMIs rebounding-global trade volume recession endingBasically we are seeing a good old fashioned hard cyclical upturn, bolstered by the inventory cycle2)On China Stimulus vs DownturnIt's complicated:-the property downturn remains entrenched--this is not good for commodities-but: a pain point seems to be activated--February saw a -50bp RRR cut and -25bp rate cutStimulus is coming...3)On ThematicsA multi-pronged Capex Boom is underway-clean energy transition and EVs-infrastructure investment-reshoring and factor buildin
3 Key Factors are going to determine the path of Industrial Metals
TOPyansuji: This article is so on point, can help you make some serious bank lor.
1
Report
843
General
Long_Equity
·
04-10

Here's how each sector performs in SPX

I've just calculated the average 10 year return on capital and 10 year share price growth for every company in the $S&P 500(.SPX)$ $SPDR S&P 500 ETF Trust(SPY)$ .Here's how each sector performs. Interesting to see some correlation between ROC and price growth.Not all sectors produce winners.ImageI completely agree:Scalability (tech) and network effects (consumer) tend to produce greater operating leverage and higher returns on capital.The price is often near-term volatility, but the long-term payoff can be stellar.https://twitter.com/long_equity/status/1777699037753327651
Here's how each sector performs in SPX
Comment
Report
1.05K
General
pretiming
·
04-10

Russell2000 is navigating Limited Rises and Selling Pressure

$iShares Russell 2000 ETF(IWM)$ $ProShares Ultra Russell2000(UWM)$ $ProShares UltraPro Short Russell2000(SRTY)$ $ProShares Short Russell2000(RWM)$ $ProShares UltraPro Russell2000(URTY)$ $ProShares UltraShort Russell2000(TWM)$ The current trend indicates a rebound with characteristics of limited or temporary rises, suggesting a selling strategy during upward movements due to increased selling pressure. However, during periods of temporary strengthening in buying pressure, selling may be less effective. If there's a potential for the trend to
Russell2000 is navigating Limited Rises and Selling Pressure
Comment
Report
1.13K
General
Selling For Premium
·
04-10

Option Strategies: MARA& WDFC

Hello everyone! Today i want to share some option strategies with u!1. $Marathon Digital Holdings Inc(MARA)$ getting close to 17, which is its 200EMA. Looks to be establishing a base around this 17-18 level. Opened a long trade on it to play a post-halving price pump if it happens. Also got Apr 19 17p in play that am happy to take assignment on if it happens. This will add to our long position. - BTO Jun 21 exp 31 strike callsImageImage2.Kicking off this earnings week with an optionselling trade on $WD-40(WDFC)$ . Sold-to-open Apr 19 exp 200/195 put credit spread. That 200 level was a previous consolidation level leading up to earnings in Oct 2023. So, gonna take a position there even though the 200EMA is
Option Strategies: MARA& WDFC
TOPskippix: The way you break down the option strategies for MARA and WDFC is super clear.
1
Report
156
Selection
Mrzorro
·
04-10
Options Market Statistics: Intel Shares and Options Rise After Unveiling Latest AI Chip Amid Intensifying Competition with Nvidia $Tesla Motors(TSLA)$   shares rose by 2.25%, closing at $176.88. Its options trading volume was 1.82 million. Call contracts account for 51.2% of the total trading volume. The most traded calls are contracts of $170 strike price that expire on Apr. 12th. The total volume reaches 88,501 with an open interest of 16,579. The most traded puts are contracts of a $160 strike price that expires on Apr. 12th; the volume is 80,347 contracts with an open interest of 19,214. Tesla shares already had been sinking before the company reported anemic quarterly delivery figures on April 2. Days
Options Market Statistics: Intel Shares and Options Rise After Unveiling Latest AI Chip Amid Intensifying Competition with Nvidia $Tesla Motors(TSL...
TOPfluffix: Wah, this content is really informative!
2
Report
5.16K
Selection
Daily_Discussion
·
04-10

🚀Show us your tips for making a fortune on the market!

Hi, Tigers!Welcome to Daily Discussion! This is the place for you to share your trading ideas and win coins!​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​Click here to join the Topic & Win coins >>​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​[Rewards]We will reward you with 50 Tiger Coins when you share your knowledge about stocks and markets here, depending on quality and originality.[Winners Announcement:9 Apr]1.Here are the 9 Tigers whose post has the best quality & interaction yesterday: @JC888 @ZEROHERO<
🚀Show us your tips for making a fortune on the market!
TOPkoolgal: 🌟🌟🌟Many Thanks @Daily_Discussion for your wonderful Tiger Coins 😍😍😍. Congratulations to all my Dear Tiger Friends who have also won too 💐💐💐
9
Report
1.72K
Selection
TrendSpider
·
04-10

Trend Charts: TSLA, WFC, SMCI, QQQ, AAPL, AMC, AMD& NVDA

Hello everyone! Today I want to share some technical analysis with you! Hope it can help you!The stocks are as follow: $NVIDIA Corp(NVDA)$ This is the first lower high we've seen from NVIDIA on the daily chart in quite some time. NVDA Keep an eye on that 50 SMA around $808, we have not visited it since December 2023. 🔎Image $Advanced Micro Devices(AMD)$ bear flag setup following a trendline breakdown, retest & continuation... It's not looking great fam. Image $AMC Entertainment(AMC)$ A moment of silence for the AMC apes. 🪦💐Image $Apple(AAPL)$ Triangle & Mini Triangle. Image $In
Trend Charts: TSLA, WFC, SMCI, QQQ, AAPL, AMC, AMD& NVDA
TOP从早到晚: So NVDA is still going to fall to around 800? Will Super Micro follow suit?
2
Report
2.61K
Selection
koolgal
·
04-10

Google Hits All Time High With USD 2 Trillion In Sight

🌟🌟🌟$Alphabet(GOOG)$  $Alphabet(GOOGL)$  hits its all time high on Tuesday as it rides the AI wave to a new valuation of USD 1.95 Trillion.   This puts Google within 3% of reaching a USD 2 Trillion market capitalisation.   Only $Apple(AAPL)$  $Microsoft(MSFT)$  and $NVIDIA Corp(NVDA)$  are in that league. Google reached an All Time High of USD 159.89 per share and closed at a record clos
Google Hits All Time High With USD 2 Trillion In Sight
TOPBarcode: Congratulations on your perseverance and now gain! That would have been scary to see it drop so low. Well done 👍👍👍😃
16
Report
42.76K
General
CYberviRus
·
04-09
$Intel(INTC)$  recent price retracement might be viewed as a buying opportunity by some investors. The stock may have entered a bullish order block, a price zone where significant buying activity previously occurred. This historical support level could act as a springboard, propelling the price upwards once again. $Pinduoduo Inc.(PDD)$  investors witnessed a bloodbath in recent weeks as the stock price plummeted, leaving a long, menacing bearish candlestick on the weekly chart. Fueling the decline was a surge in trading volume. This surge indicates a significant increase in selling activity, suggesting that investors are losing confidence i
$Intel(INTC)$ recent price retracement might be viewed as a buying opportunity by some investors. The stock may have entered a bullish order block,...
5
Report
32.32K
General
kenneth77
·
04-09
$Marathon Digital Holdings Inc(MARA)$ Be fearful when others are greedy and be greedy when others are fearful. Mara is worth 5 billions now. Any fund that purchased half of Mara get access to 1.5billion bitcoin and cash. Halving cause price to rise due to supply and demand. But rising price become too expensive to buy. Next halving is 4 years aways. Companies that servived like Mara tend to benefit with rising price, generating bitcoin without buy from open markets and fund get revenue of more than half a billion yearly for the next 4 years.  Thoughts. Why not the big sell down if funds and investors are leaving. 
$Marathon Digital Holdings Inc(MARA)$ Be fearful when others are greedy and be greedy when others are fearful. Mara is worth 5 billions now. Any fu...
7
Report
2.44K
Hot
koolgal
·
04-09
🌟🌟🌟My best performing ETF is $Energy Select Sector SPDR Fund(XLE)$ .  This ETF tracks the performance of US Oil Giants like $Exxon Mobil(XOM)$  $Chevron(CVX)$ and Warren Buffett's favourite oil company $Occidental(OXY)$  I have invested in XLE before the Ukraine war and held it till now.  Due to the demand of oil exceeding supply, XLE has jumped recently.  There is also the geopolitical conflict in the Middle East that has caused oil prices to go up.  What I like best about XLE is regular dividends paid every 3 months.  The current dividend yie

【🎁有獎話題】埃克森美孚逆襲!你認為能源股可以PK科技股嗎?

@虎港通
小虎們,在生成式AI持續火爆的情況下,以“算力沙皇”英偉達為首的AI科技股,今年以來取得了比較亮眼的漲幅。[Cool]但值得注意的是,在全球地緣政治不斷升級、歐佩克減產等多重因素的作用下,標普500能源板塊的漲幅表現已經超過了科技板塊,能源股可以PK科技股了嗎?科技股還香嗎?一起來跟虎港通看看~~~[Sly]綜合性石油與天然氣板塊近期上漲埃克森美孚帶動能源股崛起!在科技股“大亂鬥”的時候,能源股正在不聲不響地跑贏科技股。[Surprised]根據市場數據統計,年初至今,標普500能源板塊以累漲17.08%的表現,超過了科技板塊的11.36%。科技巨頭們的表現自從英偉達的財報公佈之後,就開始分化了,其中Meta Platform、英偉達、微軟和谷歌母公司Alphabet漲幅表現不錯,蘋果和特斯拉這兩位“難兄難弟”則一路向下。[Cool]上週,美股市場經歷了一些動盪,而能源板塊的表現依舊是讓人稱讚。而在這裏,就不得不提及一位大家熟悉的老牌能源巨頭——埃克森美孚。3月,埃克森美孚錄得超過11%的漲幅。股價在4月也依舊延續漲勢,上週累計漲幅超過4.5%。4月5日,公司股價在盤中創下122.14美元/股的歷史新高。根據Windows數據顯示,今年以來,埃克森美股股價已經累計上漲超過22%,如果我們將他與美股七巨頭的股價漲幅做一個對比的話,他在七巨頭中排名第四,僅次於英偉達和Meta Platform,與亞馬遜不相上下,超過了微軟、谷歌、蘋果和特斯拉。[Sly]埃克森美孚在七巨頭排名第四 圖源:華爾街見聞以埃克森美孚為首的能源股漲幅之所以能夠超過科技股,主要原因在於:全球經濟表現超預期,石油需求比較旺盛;中東衝突等地緣政治不確定性引起的供應鏈受阻。上週,布油時刻5個月以來首次突破90美元/桶的關口,今年以來,美油和布油價格都有一個明顯的漲幅,此外,3月初,多個歐佩克和歐佩克產油國決定把
【🎁有獎話題】埃克森美孚逆襲!你認為能源股可以PK科技股嗎?
🌟🌟🌟My best performing ETF is $Energy Select Sector SPDR Fund(XLE)$ . This ETF tracks the performance of US Oil Giants like $Exxon Mobil(XOM)$ $Chev...
TOP不死鸟.: Thank you for sharing 👍
20
Report
31.01K
Hot
Shyon
·
04-09
Long or Short? Personally I found out long is easier than short. The risk of short is way too big for me. The biggest lost if you long is 100% total lost, however, the lost can be 200 300 500 1000% during a short. Sound scary right?  A general sharing, short selling is a trading strategy where investors speculate on a stock's decline. Short sellers bet on, and profit from a drop in a security's price. Traders use short selling as speculation, and investors or portfolio managers may use it as a hedge against the downside risk of a long position. Timing is crucial when it comes to short selling. Stocks typically decline much faster than they advance, and a sizable gain in the stock may be wiped out with an earnings miss or other bearish development. Conversely, entering the trade too ea
Long or Short? Personally I found out long is easier than short. The risk of short is way too big for me. The biggest lost if you long is 100% tota...
TOPAqa: Thanks for sharing. Liked and shared.
15
Report
6.90K
Selection
OptionsDelta
·
04-10
$Nvidia (NVDA)$ not breaking down through 870 is one thing, but actually breaking down is another matter. Tuesday's open failing to hold triggered a mini downward chain reaction, with NVDA's decision level reaching 850. The safest put selling level ahead of April 19th over the next two weeks has shifted to 800. The recent sideways trading has also impacted longer-dated option positioning - some June/July far-dated calls, especially those with strikes above 1100, have seen closing sales or new sell openings. As for the $200 million guy's 880 calls, as long as the stock price reaches above 1024 by June 21st, he can break even.Current put option open interest over 10,000 contracts ranked:$NV
$Nvidia (NVDA)$ not breaking down through 870 is one thing, but actually breaking down is another matter. Tuesday's open failing to hold triggered ...
TOPOptionsDelta: $NVIDIA Corp(NVDA)$ direction felt unclear yesterday, with two main trading paths emerging: either bet that Nvidia will not fall to 800 over these next two weeks, or bet that it will decline to 800. My thinking on the former is to wager that it doesn't fall below 850 this week and doesn't breach 800 next week. Because 825 is a support level and 750 is another support level. Then the sell put options for expirations over the next two weeks has three strike price choices: 850, 800, 750 - you can choose the one fitting your risk appetite. The contrasting second way to trade is to bet the stock slides towards 800 over the next two weeks, which also gives rise to several strategies, such as three: buy put, sell put, or sell call. Buying put means purchasing the 800 strike put outright here. A sell put trade involves waiting for the stock to drop around 800 to sell those puts. The sell call is to sell calls struck above 950, though the 950 sell-call trader closed that position recently - but 950 remains an overhead resistance level. If the stock does challenge 850 over these next two weeks, it's not wrong to sell call options, but it's best to couple that with some long call protection too.
5
Report
 
 
 
 

Most Discussed

 
 
 
 
 

7x24

 
 
 
 
 
 
 
 
 
 
 
 
 
 
 

Company: TTMF Limited. Tech supported by Xiangshang Yixin.

Email:uservice@ttm.financial