3.27K
General
The Singapore Day Trader
·
09-09
I closed $CapitaLandInvest(9CI.SI)$  ,Sold 22nd intraday position tranche. Taking profit at 2 tick for a successful scalp today. CLI is investing in sustainable real estate projects, aligning with global trends toward ESG investing, which could attract more long-term investors Hope to enter again.
9CI.SI
09-09 13:15
SICapitaLandInvest
SidePriceRealized P&L
Sell
Close
2.80+0.51%
Closed
CapitaLandInvest
I closed $CapitaLandInvest(9CI.SI)$ ,Sold 22nd intraday position tranche. Taking profit at 2 tick for a successful scalp today. CLI is investing in...
1
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7.03K
General
Blinkfans
·
09-09
I opened $Palantir Technologies Inc.(PLTR)$  ,bought extra pltr shares as it broke pass resistance People also ask Why Palantir is a good stock? A major shift for Palantir has been its successful expansion beyond its heavy reliance on government contracts, making significant inroads into the commercial sector. The U.S. commercial division has performed exceptionally well, driven by AI-powered operating systems and boot camps as core strategies. and also it will be added into s&p soon
PLTR
09-09 21:44
USPalantir Technologies Inc.
SidePriceRealized P&L
Buy
Open
33.79--
Closed
Palantir Technologies Inc.
I opened $Palantir Technologies Inc.(PLTR)$ ,bought extra pltr shares as it broke pass resistance People also ask Why Palantir is a good stock? A m...
1
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1.32K
General
Optionspuppy
·
09-09
I opened $iShares 20+ Year Treasury Bond ETF(TLT)$  ,Bought more TLT shares as interest is going down and I feel long term bonds will be very very much in demand we can keep more long terms bond till the interest fall to 2.5 then rebalance it . This is to add diversify to my stocks too
TLT
09-09 21:57
USiShares 20+ Year Treasury Bond ETF
SidePriceRealized P&L
Buy
Open
99.48-8.65%
Holding
iShares 20+ Year Treasury Bond ETF
I opened $iShares 20+ Year Treasury Bond ETF(TLT)$ ,Bought more TLT shares as interest is going down and I feel long term bonds will be very very m...
1
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2.33K
General
Optionspuppy
·
09-09
I opened $Prudential(PRU)$  ,Buying more prudential shares as insurance is always a good sector for me to invest How insurance companies earn money ? companies make money primarily from premium income, but they also invest the accumulated premiums in financial instruments to generate investment income. Every quarter 1% dividend is very good
PRU
09-09 22:21
USPrudential
SidePriceRealized P&L
Buy
Open
114.76+5.69%
Holding
Prudential
I opened $Prudential(PRU)$ ,Buying more prudential shares as insurance is always a good sector for me to invest How insurance companies earn money ...
TOPEdwardHughes: That sounds like a solid investment strategy
2
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390
General
Spiders
·
09-09
I opened $Charles Schwab(SCHW)$  ,I invested in Schwab due to its strong track record of consistent dividend payments.
SCHW
09-09 22:56
USCharles Schwab
SidePriceRealized P&L
Buy
Open
63.12--
Closed
Charles Schwab
I opened $Charles Schwab(SCHW)$ ,I invested in Schwab due to its strong track record of consistent dividend payments.
1
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5.34K
General
Terra Incognita
·
09-09
I opened $Alphabet(GOOG)$  ,GOOG: accumulating additional GOOG shares at $150. Buying at selected interval on the way down. Won’t know how low it can go yet at the same time company still have strong moats across multiple business. AI segments remains to be seen who will be eventual leaders. Eventual AI pie might also be bigger for everyone. Lawsuit won’t hurt much beyond headlines news historically.
GOOG
09-09 23:04
USAlphabet
SidePriceRealized P&L
Buy
Open
149.97+14.96%
Holding
Alphabet
I opened $Alphabet(GOOG)$ ,GOOG: accumulating additional GOOG shares at $150. Buying at selected interval on the way down. Won’t know how low it ca...
1
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3.52K
General
Aaronykc
·
09-09
I opened $Alphabet(GOOGL)$  ,Bought some googl stock. It is way oversold and undervalued. It is the most undervalued of all the mag 7 stocks don’t mind buying more if it drops more. There’s a lot of fear google will get broken up or OpenAI will take market share away from search. All these fears only create great buying opportunities for great companies
GOOGL
09-09 22:58
USAlphabet
SidePriceRealized P&L
Buy
Open
149.30+14.59%
Holding
Alphabet
I opened $Alphabet(GOOGL)$ ,Bought some googl stock. It is way oversold and undervalued. It is the most undervalued of all the mag 7 stocks don’t m...
TOPmoonzo: Nice timing on buying GOOGL! It's undervalued and oversold. Great opportunity! [Applaud]
1
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2.05K
General
发财 Bobby
·
09-10
I opened 2 lot(s) $ARM 20240913 130.0 CALL$  ,Rationale: 1. Lots of headwind ahead 2. P/E is insanely high 3. Within my risk taking
ARM CALL
09-10 00:16
US20240913 130.0
SidePrice | FilledRealized P&L
Sell
Open
1.70
2Lot(s)
--
Closed
Arm Holdings
I opened 2 lot(s) $ARM 20240913 130.0 CALL$ ,Rationale: 1. Lots of headwind ahead 2. P/E is insanely high 3. Within my risk taking
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3.32K
General
Terra Incognita
·
09-10
I opened $META 20240920 530.0 CALL$  ,META: collect 0.55% premium from this covered call on META with strike at $530 which is about 4% higher than current market price. Duration is for 11 days expiring on 20th Sept. After a bearish reversal candle on Fri 6th Sept, META opened inside bar and supported by the 50 days MA, barely hanging on. Looking for support at $500 for this short term trade.
META CALL
09-10 00:48
US20240920 530.0
SidePriceRealized P&L
Sell
Open
2.92-981.84%
Holding
Meta Platforms, Inc.
I opened $META 20240920 530.0 CALL$ ,META: collect 0.55% premium from this covered call on META with strike at $530 which is about 4% higher than c...
Comment
Report
1.82K
General
Terra Incognita
·
09-10
I opened $Costco(COST)$  ,COST: short additional shares at $896.32. Will continue to accumulate shorts as it goes higher as risk to rewards is acceptable. If US ever slows down to a halt or recession, retailers would likely still be hit. Time will tell.
COST
09-10 00:57
USCostco
SidePriceRealized P&L
Sell
Open
896.32+2.27%
Holding
Costco
I opened $Costco(COST)$ ,COST: short additional shares at $896.32. Will continue to accumulate shorts as it goes higher as risk to rewards is accep...
Comment
Report
934
Selection
DaveaPhoenix
·
09-08
$Tiger Brokers(TIGR)$   Yes, market sentiment can definitely be viewed as buy/sell signals. Sentiment reflects investor behavior and can provide insight into broader market trends. When sentiment is overwhelmingly bullish (optimistic), it can indicate potential overbought conditions, signaling a possible reversal or correction. Conversely, extreme bearish (pessimistic) sentiment might indicate oversold conditions and present buying opportunities. Sentiment analysis is often used in tandem with technical indicators to enhance decision-making. Unique Stock Trading Indicators: Besides conventional technical indicators like moving averages, MACD, and RSI, there are some more unique indicators that traders use: Fear & Greed Index: This index m
$Tiger Brokers(TIGR)$ Yes, market sentiment can definitely be viewed as buy/sell signals. Sentiment reflects investor behavior and can provide insi...
1
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838
General
DaveaPhoenix
·
09-08
As of now, $Palantir Technologies Inc.(PLTR)$  is trading in the mid-$30 range, buoyed by a surge in demand for AI-driven solutions, particularly its government contracts and partnerships. However, the likelihood of Palantir hitting its previous all-time high of $45 in the near term remains uncertain. Analysts' price targets for 2024 generally range from $25 to $38, with the more optimistic forecasts tied to the company's strong positioning in artificial intelligence and enterprise data solutions. Despite the momentum driven by its AI capabilities and expanding commercial revenue, many analysts still see Palantir as highly valued. Its reliance on government contracts and the slowing growth in its commercial business are viewed as headwin
As of now, $Palantir Technologies Inc.(PLTR)$ is trading in the mid-$30 range, buoyed by a surge in demand for AI-driven solutions, particularly it...
2
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497
General
Chris Luk
·
09-08

Navigating Election Uncertainty: A Balanced Approach to Market Investments

When it comes to navigating market movements around presidential elections, it's important to remember that no one can predict the future outcome with certainty. The same applies to both the election results and their impact on the securities market. Making investment decisions solely based on election speculation can lead to unnecessary risks. History shows that market reactions are often influenced by a variety of factors beyond election results, such as economic indicators, global events, and investor sentiment. Potencial Sector Beneficiaries/Losser for both sides Given the current stalemate between President Donald Trump and Vice President Kamala Harris in the 2024 election, I believe any significant bets on the election outcome would be highly speculative. The close nature of this rac
Navigating Election Uncertainty: A Balanced Approach to Market Investments
TOPpoppy jk: I see all companies benefits from a lowered 15% corporate tax & massive tax cuts & enforced law and order under Trump. Incl Trump's Govt Efficiency Commission to be led by Elon Musk so Renewables & EV are market choice. Elon endorsed Trump & Elon bought X Twitter for Trump & all for freedom of speech, whereas those who loves new taxes & increased taxes can vote for Kamala. if Kamala win & execute unrealised capital gain, US & Global stock market crashed. Beware! [Grin]
2
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541
General
Bootrade
·
09-09
Recently market has falls to its worst week in 2024. Investors are watching the yield curve inversing to positive rate. Each instances the yield curve inverted US economy falls into recession eventually and recent non farm payroll and unemployment rates beat expectation which expecting yield curve falls below negative territory but payroll for Jun and Jul data was revised to lower payroll results, pushing yield lower which resulted yield curve returning all time highs since 2022.  Investors are wary on the future of the US economy as yield curve may push the market lower. Although the current data have weaken it's nowhere near recessionary data, market may not have strength during this period. Market will shows strength once yield curve falls. Wednesday inflation data may be the key.&
Recently market has falls to its worst week in 2024. Investors are watching the yield curve inversing to positive rate. Each instances the yield cu...
1
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7.77K
General
Terra Incognita
·
09-10
I opened $DG 20240927 85.0 CALL$  ,DG: collect 1.9% premium from this covered call with strike at $85 which is about 4% higher than current rate. Contract will expire in 18 days on 27th Sept. I bought in these DG shares through cash secured put expired last Fri for the same price so intend to wheel this off. DG had dropped >30% after earnings on 29th Aug and is still deep in oversold territory.
DG CALL
09-10 01:41
US20240927 85.0
SidePriceRealized P&L
Sell
Open
1.62--
Closed
Dollar General
I opened $DG 20240927 85.0 CALL$ ,DG: collect 1.9% premium from this covered call with strike at $85 which is about 4% higher than current rate. Co...
1
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678
Selection
Barcode
·
09-08
$CME Bitcoin - main 2409(BTCmain)$ $Riot Platforms(RIOT)$ $Coinbase Global, Inc.(COIN)$ $TeraWulf Inc.(WULF)$ $Bitwise Bitcoin ETF(BITB)$ 🎢🚨 Bitcoin on the Edge: Fear, Greed, and a Looming October Surge? 🚨🎢 Kia ora Tiger Traders! Let’s talk about Bitcoin and how Extreme Fear could be your golden opportunity! Right now, the Fear & Greed Index is sitting at 22/100, deep in Extreme Fear territory 🥶. Historically, extreme fear has often been a contrarian buy signal, and savvy traders might already be getting their buy orders ready. But wait, should we brace for a bumpy Sept
$CME Bitcoin - main 2409(BTCmain)$ $Riot Platforms(RIOT)$ $Coinbase Global, Inc.(COIN)$ $TeraWulf Inc.(WULF)$ $Bitwise Bitcoin ETF(BITB)$ 🎢🚨 Bitcoi...
TOPTigerGPT: Bitcoin (BTCmain) Stock Analysis: Business and Industry: Bitcoin is a decentralized digital currency that operates on a peer-to-peer network called the blockchain. It is the first and most well-known cryptocurrency. The cryptocurrency industry is expected to grow in the future as more individuals and institutions adopt digital currencies and blockchain technology. Earnings Analysis: Earnings Forecast (2025FY): Forecasted EPS of $0.09 (USD), forecasted gross income of $302.21 million (USD), and forecasted EBIT of $44.40 million (USD). Earnings Forecast (2026FY): Forecasted EPS of $0.24 (USD), forecasted gross income of $528.02 million (USD), and forecasted EBIT of $159.59 million (USD). Earnings Forecast (2024FY): Forecasted EPS of -$0.11 (USD), forecasted gross income of $157.56 million (USD), and forecasted EBIT of -$23.02 million (USD). Earnings Result (2024Q2): EPS of -$0.03, return on equity (ROE) of -13.96%, gross profit margin of 60.88%. Capital Flow Analysis: Capital Flow Data (5 Day): Negative capital flow in the past five days, indicating selling pressure on the stock. Capital Flow Data (1 Day): Inflow of $36.80 million and outflow of $38.42 million. Overall, more capital flowed out of the stock. Trend Analysis: Support price (2024-09-06): $2.78 (USD) Profiteer Ratio (2024-09-06): 0.4743 Resistance price (2024-09-06): $3.79 (USD) Average Cost (2024-09-06): $3.92 (USD) Current Stock price (2024-09-08): $3.725 (USD) Valuation Analysis: Analyst Target Price: No specific analyst target price provided. Riot Platforms (RIOT) Stock Analysis: Business and Industry: Riot Platforms is a company that focuses on cryptocurrency mining and blockchain technology. The cryptocurrency industry is expected to grow in the future as more individuals and institutions adopt digital currencies and blockchain technology. Earnings Analysis: Earnings Forecast (2025FY): Forecasted EPS of -$0.31 (USD), forecasted gross income of $629.17 million (USD), and forecasted EBIT of -$116.60 million (USD). Earnings Forecast (2026FY): Forecasted EPS of $0.00 (USD), forecasted gross income of $742.95 million (USD), and forecasted EBIT of -$24.60 million (USD). Earnings Forecast (2024FY): Forecasted EPS of $0.29 (USD), forecasted gross income of $391.93 million (USD), and forecasted EBIT of $83.09 million (USD). Earnings Result (2024Q2): EPS of -$0.32, return on equity (ROE) of -13.35%, gross profit margin of 23.39%. Capital Flow Analysis: Capital Flow Data (5 Day): Negative capital flow in the past five days, indicating selling pressure on the stock. Capital Flow Data (1 Day): Inflow of $39.61 million and outflow of $45.67 million. Overall, more capital flowed out of the stock. Trend Analysis: Support price (2024-09-06): $6.36 (USD) Profiteer Ratio (2024-09-06): 0.343 Resistance price (2024-09-06): $9.57 (USD) Average Cost (2024-09-06): $10.22 (USD) Current Stock price (2024-09-08): $6.38 (USD) Valuation Analysis: Analyst Target Price: 11 analysts forecast a mean target price of $17.36 (USD), with a low estimate of $11.00 (USD) and a high estimate of $22.00 (USD). Coinbase Global, Inc. (COIN) Stock Analysis: Business and Industry: Coinbase Global, Inc. operates a leading cryptocurrency exchange platform. The cryptocurrency industry is expected to grow in the future as more individuals and institutions adopt digital currencies and blockchain technology. Earnings Analysis: Earnings Forecast (2025FY): Forecasted EPS of $3.61 (USD), forecasted gross income of $5.96 billion (USD), and forecasted EBIT of $1.68 billion (USD). Earnings Forecast (2026FY): Forecasted EPS of $3.30 (USD), forecasted gross income of $5.35 billion (USD), and forecasted EBIT of $1.62 billion (USD). Earnings Forecast (2024FY): Forecasted EPS of $5.76 (USD), forecasted gross income of $5.77 billion (USD), and forecasted EBIT of $1.62 billion (USD). Earnings Result (2024Q2): EPS of $0.15, return on equity (ROE) of 1.76%, gross profit margin of 86.12%. Capital Flow Analysis: Capital Flow Data (5 Day): Negative capital flow in the past five days, indicating selling pressure on the stock. Capital Flow Data (1 Day): Inflow of $471.46 million and outflow of $480.72 million. Overall, more capital flowed out of the stock. Trend Analysis: Support price (2024-09-06): $146.12 (USD) Profiteer Ratio (2024-09-06): 0.8054 Resistance price (2024-09-06): $244.12 (USD) Average Cost (2024-09-06): $212.50 (USD) Current Stock price (2024-09-08): $147.35 (USD) Valuation Analysis: Analyst Target Price: 23 analysts forecast a mean target price of $259.22 (USD), with a low estimate of $160.00 (USD) and a high estimate of $400.00 (USD). TeraWulf Inc. (WULF) Stock Analysis: Business and Industry: TeraWulf Inc. is a company involved in Bitcoin mining and related operations. The cryptocurrency industry is expected to grow in the future as more individuals and institutions adopt digital currencies and blockchain technology. Earnings Analysis: Earnings Forecast (2025FY): Forecasted EPS of $0.09 (USD), forecasted gross income of $302.21 million (USD), and forecasted EBIT of $44.40 million (USD). Earnings Forecast (2026FY): Forecasted EPS of $0.24 (USD), forecasted gross income of $528.02 million (USD), and forecasted EBIT of $159.59 million (USD). Earnings Forecast (2024FY): Forecasted EPS of -$0.11 (USD), forecasted gross income of $157.56 million (USD), and forecasted EBIT of -$23.02 million (USD). Earnings Result (2024Q2): EPS of -$0.03, return on equity (ROE) of -13.96%, gross profit margin of 60.88%. Capital Flow Analysis: Capital Flow Data (5 Day): Negative capital flow in the past five days, indicating selling pressure on the stock. Capital Flow Data (1 Day): Inflow of $36.80 million and outflow of $38.42 million. Overall, more capital flowed out of the stock. Trend Analysis: Support price (2024-09-06): $2.78 (USD) Profiteer Ratio (2024-09-06): 0.4743 Resistance price (2024-09-06): $3.79 (USD) Average Cost (2024-09-06): $3.92 (USD) Current Stock price (2024-09-08): $3.725 (USD) Valuation Analysis: Analyst Target Price: No specific analyst target price provided. Please note that the above analysis provides an overview of the stocks based on available data and does not constitute investment advice. It is recommended to conduct further research and analysis before making any investment decisions.
15
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12.99K
General
ZEROHERO
·
09-10
I closed $SPY 20240910 546.0 CALL$  ,Set up auto profit taking at 11% and it took 45 mins to hit that goal. Not bad to start the week in green. More opportunities leading to CPI & PPI data this week 🤑
SPY CALL
09-10 03:32
US20240910 546.0
SidePriceRealized P&L
Sell
Close
1.88+10.94%
Closed
SPDR S&P 500 ETF Trust
I closed $SPY 20240910 546.0 CALL$ ,Set up auto profit taking at 11% and it took 45 mins to hit that goal. Not bad to start the week in green. More...
TOPIreneWells: Nice start to the week
7
Report
 
 
 
 

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