1.15K
General
Tiger V
·
09-05
I opened $NVIDIA Corp(NVDA)$  ,Invested in NVDA due to its unmatched 80% AI chip market share and expanding portfolio in AI products and services. With triple-digit growth, high margins, and the upcoming Blackwell architecture launch, Nvidia is poised to capitalize on the booming AI market, expected to hit $1 trillion by the decade’s end. Strong demand and innovation support a promising outlook.
NVDA
09-05 23:04
USNVIDIA Corp
SidePriceRealized P&L
Buy
Open
107.17+31.94%
Holding
NVIDIA Corp
I opened $NVIDIA Corp(NVDA)$ ,Invested in NVDA due to its unmatched 80% AI chip market share and expanding portfolio in AI products and services. W...
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785
General
KMTC
·
09-05
I opened 2.0 unit(s) $NVDA CUSTOM 241115 PUT 99.0/PUT 102.0$  ,Underlying condition/hope was that Nvda would hold 100 . On the other hand, this premium is too juicy to pass on. In case it closed in the money , breakeven is at 91.7.
NVDA Custom
09-05 22:44
US99.0/102.0
SidePrice | FilledRealized P&L
Credit
Open
-4.30
2
--
Holding
NVDA CUSTOM 241115 PUT 99.0/PUT 102.0
I opened 2.0 unit(s) $NVDA CUSTOM 241115 PUT 99.0/PUT 102.0$ ,Underlying condition/hope was that Nvda would hold 100 . On the other hand, this prem...
Comment
Report
784
General
AyKing
·
09-05
I opened $SPY VERTICAL 241018 PUT 550.0/PUT 520.0$  ,SPY looks bearish and Sep is seasonally a bearish period. Hence, I have decided to open this trade to “protect” my portfolio.
SPY Vertical
09-05 22:56
US550.0/520.0
SidePriceRealized P&L
Debit
Open
6.60--
Holding
SPY VERTICAL 241018 PUT 550.0/PUT 520.0
I opened $SPY VERTICAL 241018 PUT 550.0/PUT 520.0$ ,SPY looks bearish and Sep is seasonally a bearish period. Hence, I have decided to open this tr...
Comment
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2.03K
General
Terra Incognita
·
09-05
I opened $CAVA Group Inc.(CAVA)$  ,CAVA: short some additional CAVA share on the way down. The initial batch are about 5% in the money. Stock was up >20% upon good earning released and is up by 70% since its recent 5th Aug low. Volume is also high. Looking at overall bearish US consumer market and few restaurant chains were less than spectacular. Short small position on CAVA for a possible swing trade on overbought position.
CAVA
09-05 23:20
USCAVA Group Inc.
SidePriceRealized P&L
Sell
Open
117.00-17.34%
Holding
CAVA Group Inc.
I opened $CAVA Group Inc.(CAVA)$ ,CAVA: short some additional CAVA share on the way down. The initial batch are about 5% in the money. Stock was up...
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1.38K
General
Stormytw
·
09-05
I opened $Tesla Motors(TSLA)$  ,tesla crazy rise today needs some controlled momentum. buy the dip as its receding from high. doesn't change the bullishness of so many positive signs.
TSLA
09-05 23:48
USTesla Motors
SidePriceRealized P&L
Buy
Open
226.80+14.56%
Holding
Tesla Motors
I opened $Tesla Motors(TSLA)$ ,tesla crazy rise today needs some controlled momentum. buy the dip as its receding from high. doesn't change the bul...
2
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2.26K
General
Stormytw
·
09-05
I opened $NVIDIA Corp(NVDA)$  ,nvida the ai company of our generation. the higher u climb the, the steeper it falls. but most importantly u dca when its dropping. 😆
NVDA
09-05 23:50
USNVIDIA Corp
SidePriceRealized P&L
Buy
Open
106.50--
Closed
NVIDIA Corp
I opened $NVIDIA Corp(NVDA)$ ,nvida the ai company of our generation. the higher u climb the, the steeper it falls. but most importantly u dca when...
Comment
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2.13K
General
Terra Incognita
·
09-06
I opened $MU 20241004 80.0 PUT$  ,MU: collect 3% premium on this MU cash secured put with strike at $80 which is 11% lower than market price now. Contract will expire in 29 days on 4th Oct. MU earning expected to come on 25th Sept so that’s added volatility on this one. Nevertheless the strike at $80 represents almost 50% discount over its all time high made in June so I think it’s decent risk to reward.
MU PUT
09-05 23:13
US20241004 80.0
SidePriceRealized P&L
Sell
Open
2.40--
Closed
Micron Technology
I opened $MU 20241004 80.0 PUT$ ,MU: collect 3% premium on this MU cash secured put with strike at $80 which is 11% lower than market price now. Co...
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1.15K
General
Momogal
·
09-06
I opened $SOFI 20240920 7.0 PUT$  ,Don’t mind holding this. It has been fluctuating between $7.0-$8 and quite good for selling call and put.
SOFI PUT
09-06 00:53
US20240920 7.0
SidePriceRealized P&L
Sell
Open
0.15--
Closed
SoFi Technologies Inc.
I opened $SOFI 20240920 7.0 PUT$ ,Don’t mind holding this. It has been fluctuating between $7.0-$8 and quite good for selling call and put.
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26.80K
Selection
koolgal
·
09-06

Why Is Nvidia down? Is It A Buy Or a Bye?

🌟🌟🌟$NVIDIA Corp(NVDA)$  share price got hammered recently as it is down 11.6% in the past 5 days and is now trading at USD 107. 21.  It is a far cry from its 52 week high of USD 140.76. Why is it down so badly? I believe that investors are worried that AI play may seem to be overhyped and that its sky high returns may take longer to materialise than many have hoped.  Nvidia reported strong Q2 24 earnings on August 28 but growth has slowed compared to previous quarters.  The data center segment drove significant revenue growth but Nvidia's heavy reliance on this segment posts risks if it slows down.  However Nvidia's Q2 24 has surpassed Wall Street's expectations with Earnings Per Sh
Why Is Nvidia down? Is It A Buy Or a Bye?
TOPXianLi: I think Nvidia's recent dip is due to concerns about the AI market and slower growth.
33
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242
General
Chris Luk
·
09-05
This topic is incredibly intellectual and educational, offering an in-depth perspective on how sentiment analysis can influence investment strategies. Reading through it has been a learning process for me, as it highlights the importance of understanding investor sentiment alongside technical and fundamental analysis. Now, addressing the core question: The Fear & Greed Index is a valuable tool to gauge market sentiment, especially when it reaches extremes like "Extreme Fear" or "Extreme Greed." Historically, moments of extreme fear have often presented bottom-fishing opportunities, as panic tends to drive prices down to attractive entry points. On the flip side, extreme greed can lead to overvaluation, making it a potential sell signal. However, as the topic rightly mentions, this is n
This topic is incredibly intellectual and educational, offering an in-depth perspective on how sentiment analysis can influence investment strategi...
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4.11K
General
ShibaMiyuki
·
09-06
I opened $EQT Corp(EQT)$  ,Weekly DCA into this natural gas producer. Natural gas is still only of the most important sources of energy around, hence the exposure.
EQT
09-06 01:32
USEQT Corp
SidePriceRealized P&L
Buy
Open
32.54+13.56%
Holding
EQT Corp
I opened $EQT Corp(EQT)$ ,Weekly DCA into this natural gas producer. Natural gas is still only of the most important sources of energy around, henc...
Comment
Report
3.95K
General
ShibaMiyuki
·
09-06
I opened $iShares MSCI Japan ETF(EWJ)$  ,Weekly DCA into the Japanese market. The big corps of Japan seems to be doing well, hence the exposure.
EWJ
09-06 01:32
USiShares MSCI Japan ETF
SidePriceRealized P&L
Buy
Open
70.22-2.26%
Holding
iShares MSCI Japan ETF
I opened $iShares MSCI Japan ETF(EWJ)$ ,Weekly DCA into the Japanese market. The big corps of Japan seems to be doing well, hence the exposure.
Comment
Report
309
General
Shyon
·
09-05
Under Trump’s administration, stocks in energy and finance saw gains due to deregulation and support for fossil fuels. XOM and CVX benefited from energy policies, while JPM and GS thrived due to financial deregulation. Additionally, defense firms like LMT and NOC gained from increased military spending, and manufacturers such as CAT and GE were helped by infrastructure investments. Conversely, Harris’s policies favor renewable energy and technology. NEE and FSLR have benefited from increased support for clean energy. Technology stocks like TSLA and NVDA are seeing growth due to advancements in electric vehicles and digital infrastructure. UNH and PFE may benefit from expanded healthcare initiatives, while companies like BEP and ENPH are positioned to gain from investments in sustainable in
Under Trump’s administration, stocks in energy and finance saw gains due to deregulation and support for fossil fuels. XOM and CVX benefited from e...
TOPBerthaAntoinette: It's interesting to see how different policies affect various sectors
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447
General
Tiger V
·
09-06

Oil Prices Struggle Amid Demand Worries and Rising Supplies

Overview Oil prices have recently experienced a significant decline, driven by concerns over weak demand from key markets like the U.S. and China, coupled with potential supply increases from Libya. Despite a substantial withdrawal from U.S. crude inventories and an OPEC+ decision to delay output increases, the market remains cautious. Brent crude and U.S. West Texas Intermediate (WTI) crude closed at their lowest levels in over a year, reflecting the complex interplay of supply, demand, and economic factors. Demand Fears from the U.S. and China Weigh on Oil Prices The primary drivers behind the downward pressure on oil prices are concerns about demand, particularly from the U.S. and China. Both of these economies are key players in the global energy market, and any signs of slowing demand
Oil Prices Struggle Amid Demand Worries and Rising Supplies
TOPdoozii: It's tough out there for oil prices right now.
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673
General
ShayBoloor
·
09-06

Trading Ideas| How to Invest?

Hello everyone! Today i want to share some trading ideas with you!1.Fair Value Gaps (FVG) are spots on a price chart where the stock price quickly jumps, leaving gaps due to minimal trading. These gaps are key for predicting price movements, as they often get 'filled' when prices return to establish a consistent value. $SPDR S&P 500 ETF Trust(SPY)$ 2.Here's the weekly update of the top 15 growth stocks with the highest EV/GP multiples -- highlighting where the market places premium valuations 🧐 1. $Palantir Technologies Inc.(PLTR)$ 2. $Trade Desk Inc.(TTD)$ 3. $Samsara, Inc.(IOT)$ 4.
Trading Ideas| How to Invest?
Comment
Report
812
General
TrendSpider
·
09-06

RIVN, DKNG, XLU, MSFT& TSLA Enjoy Great Potential

Hello everyone! Today i want to share some technical analysis with you!1. $Tesla Motors(TSLA)$ 15M OPENING RANGE BREAKOUT STRATEGYEnters long when price closes above the 15M opening range high before 1 PM ET. Exits +4% or -0.5%Over the last 10K candles:✅ +124% total return vs +12% from buy and hold✅ -16.5% max drawdown✅ 5.42 R/R ratio2. $Microsoft(MSFT)$ If that 200D SMA goes it might be lights out. 🫣 3. $Utilities Select Sector SPDR Fund(XLU)$ Struggling on the long side lately? Follow sector strength. Utilities have been trending higher and are on the verge of a multi-year high breakout.4. $DraftKings Inc.(DKNG)$ TOUCHD
RIVN, DKNG, XLU, MSFT& TSLA Enjoy Great Potential
2
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654
General
Red Panda
·
09-06
$Tiger Brokers(TIGR)$ I am not pro and equip with skills to do technical analysis etc. So I adopt the following strategy for individual stocks. For ETFs, it is no brainer DCA😬. Step 1: Read various reviews, news and recommendations. This step is rather random as I am not sure which stocks to start with. Step 2: Add potential stocks to watchlist. Step 3: Search for as many analysis that give a buy recommendation with target prices. Step 4: Ask the question: how far the current price is from the target price (average/median)? If it is quite close or the profit is not much (due to limit budget), drop the stock. Pick only the stocks that are worth the price increase. Step 5: For the select stock, read up on the company and decide whether you are okay
$Tiger Brokers(TIGR)$ I am not pro and equip with skills to do technical analysis etc. So I adopt the following strategy for individual stocks. For...
TOPbubblyo: That's a well-thought-out strategy
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1.54K
Selection
ETF Tracker
·
09-06

Rising Fed Rate Cut Expectations: Industry ETFs to Watch

Recent job vacancy data has once again raised concerns about the economic health, intensifying expectations for a significant interest rate cut by the Federal Reserve this month. According to the CME FedWatch Tool, traders now see a nearly 50% chance of a 50 basis point rate cut by the Fed before the end of the September meeting, up from the previous day's 38% probability.The latest Job Openings and Labor Turnover Survey (JOLTS) revealed that job vacancies fell to their lowest level since January 2021, indicating a cooling labor market. This week’s ISM Manufacturing Survey also showed weakness, leading investors to increase their bets on rate cuts.With the rising expectations of Fed rate cuts, market attention is increasingly shifting towards various industry ETFs. Rate cuts typically mean
Rising Fed Rate Cut Expectations: Industry ETFs to Watch
Comment
Report
505
Selection
Shyon
·
09-05

Trump VS Harris Trades

One of the hot topics for US presidential election will be Trump Trade VS Harris Trade. I would like to share my personal views on this topic today. Stocks Beneficial from Trump's Policies:Trump1. Energy Sector:$Exxon Mobil(XOM)$ : Trump's policies were favorable to the fossil fuel industry, including deregulation and support for oil and gas exploration. $Chevron(CVX)$ : Similar to ExxonMobil, Chevron benefited from reduced regulations and increased domestic energy production.2. Financial Sector:$JPMorgan Chase(JPM)$  : Trump's administration enacted deregulation measures for the financial indus
Trump VS Harris Trades
TOPTigerGPT: Thank you for sharing your personal views on the topic of Trump Trade vs Harris Trade. Based on your analysis, here are the stocks that could benefit from each candidate's policies: Stocks Beneficial from Trump's Policies: ExxonMobil (XOM): Trump's policies were favorable to the fossil fuel industry, including deregulation and support for oil and gas exploration. Chevron (CVX): Similar to ExxonMobil, Chevron benefited from reduced regulations and increased domestic energy production. JPMorgan Chase (JPM): Trump's administration enacted deregulation measures for the financial industry, which helped boost major banks and financial institutions. Goldman Sachs (GS): Increased deregulation and tax cuts were beneficial for large financial firms. Lockheed Martin (LMT): Trump's policies included increased defense spending, benefiting defense contractors and manufacturers. Northrop Grumman (NOC): Increased military budgets and defense contracts provided opportunities for growth. Caterpillar (CAT): Trump's emphasis on infrastructure spending and energy initiatives also benefited the manufacturing sector. Stocks Beneficial from Harris's Policies: Tesla (TSLA): Harris's policies favoring electric vehicles and green technologies are advantageous for Tesla. NVIDIA (NVDA): Technology policies supporting innovation and digital infrastructure benefit leading tech firms like NVIDIA. UnitedHealth Group (UNH): Harris's focus on expanding healthcare access and potentially supporting Medicare and Medicaid expansion could benefit large healthcare providers. Pfizer (PFE): Increased support for healthcare and pharmaceuticals aligns with policies favoring healthcare investments. Brookfield Renewable Partners (BEP): Harris's emphasis on infrastructure development and green initiatives benefits companies involved in sustainable infrastructure projects. Enphase Energy (ENPH): As part of the clean energy transition, companies focused on energy efficiency and renewable technologies are supported. Please note that these are just potential beneficiaries based on your analysis and are not investment recommendations. Investing in stocks involves risks, and it's essential to conduct thorough research and analysis before making any investment decisions.
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