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Elliottwave_Forecast
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09-17

NexGen Enery (NXE) May Have Ended Correction

NexGen Energy Ltd. (NXE) is a uranium exploration and development company based in Vancouver, British Columbia. They focus on high-impact projects in the Athabasca Basin in Saskatchewan, Canada. This area is known for having the highest-grade uranium deposits in the world. Below is the latest long term update of the stock. $NXE Weekly Elliott Wave Chart as of September 17. 2024 $NXE Weekly Elliott Wave Chart as of September 17. 2024 Weekly chart of NXE above shows that the stock ended Super Cycle degree wave (II) at 0.53. From there, the stock then rallies in wave (III) with internal subdivision as a 5 waves impulse. Up from wave (II), wave I ended at 6.5 and pullback in wave II ended at 3.4. The stock has rallied higher in wave III. Up from wave II, wave ((1)) ended at 8.88 and dips
NexGen Enery (NXE) May Have Ended Correction
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65.64K
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Elliottwave_Forecast
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09-17

Elliott Wave View on Nasdaq (NQ) Calling the Next Bullish Leg Has Started

Short term Elliott Wave view on Nasdaq (NQ) shows that rally from 8.5.2024 low is unfolding as a 5 waves impulse. Up from 8.5.2024 low, wave (1) ended at 20025.25. Pullback in wave (2) ended at 18338.45 with internal subdivision as a double three Elliott Wave structure. Down from wave (1), wave W ended at 19140.25 and wave X ended at 19693.50. Wave Y lower unfolded as another double three in lesser degree. Down from wave X, wave ((w)) ended at 18825.75 and wave ((x)) ended at 19150.50. Wave ((y)) lower ended at 18338.45 which completed wave Y of (2) in higher degree. The Index has turned higher in wave (3) with internal subdivision as a 5 waves impulse. Up from wave (2), wave ((i)) ended at 18927.5 and pullback in wave ((ii)) ended at 18547. Wave ((iii)) higher ended at 19813.50 and pullba
Elliott Wave View on Nasdaq (NQ) Calling the Next Bullish Leg Has Started
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OptionsTracker
·
09-17

Hot stocks covered call reference [September 17]

Selling covered call options (sell covered call) is a strategy adopted by many large funds. It can also be used by retail investors in the US stock market.You can get income while holding it. This strategy is very suitable for stocks that have long-term positions, but they have not moved but they are not in a bearish position recently or are in a bearish position recently. It can be a good strategy for mature investors to roll over when holding some targets for a long time. Income comparison Assume that investors hold 200 shares of Amazon from January 1 to December 17, 2021 If there is no operation during the holding period, the final total assets will be USD 675,484 If the covered call strategy is carried out, it will be operated once a week; if 100 shares are sold after the exercise, ano
Hot stocks covered call reference [September 17]
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Chris Luk
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09-17

Intel's AI and Restructuring Moves: A Buy Opportunity Under $20?

Intel Corporation ( $Intel(INTC)$ ) has been making headlines recently with its ambitious restructuring efforts, AI-driven initiatives, and crucial deals with tech giants like Amazon. Despite these positive developments, the company's challenges persist, raising questions about whether Intel has reached a bottom in its stock price and presents a buying opportunity under $20. Key Developments Driving Investor Confidence Intel's multi-year collaboration with Amazon Web Services (AWS) to manufacture custom AI chips is a significant step forward. This deal highlights Intel’s commitment to expanding its presence in AI, a sector currently dominated by competitors like NVIDIA. The custom AI chip production, alongside Intel’s proposed restructuring of its
Intel's AI and Restructuring Moves: A Buy Opportunity Under $20?
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1.24K
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Optionspuppy
·
09-17

I do have nvda inside my spyg hope it rises with lower interest rates

"The technology sector, known for its rapid innovation and growth, is particularly sensitive to changes in interest rates. Companies within this sector often rely on external financing to fund research, development, and expansion projects. Lower interest rates reduce the cost of borrowing, which can enhance the profitability of tech companies and lead to higher valuations for their stocks. $SPDR Portfolio S&P 500 Growth ETF(SPYG)$  ETFs like SPYG, which focuses on growth stocks within the S&P 500, include many technology companies that benefit from lower interest rates. These stocks often experience substantial price increases when rates are cut, as investors anticipate higher future earnings and reduced discount rates. Furthermore, t
I do have nvda inside my spyg hope it rises with lower interest rates
TOPAlex Puffin On Two Smokes: @Barcode [Miser] [Allin] [Love] [RIP] [RIP] [RIP] [RIP] [RIP] [RIP] $NVIDIA Corp(NVDA)$
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REIT_TIREMENT
·
09-18

Industrial REITs Comparison - Part 2 @ 11 September 2024

$AIMS APAC Reit(O5RU.SI)$ $Cromwell Reit EUR(CWBU.SI)$ $DigiCore Reit USD(DCRU.SI)$ $ESR-REIT(J91U.SI)$ $Sabana Reit(M1GU.SI)$ Below is a comparison using the latest data from comparison tables on SREITs Data page. The most favorable figures are marked in blue and given a +1 score, while the least favorable are in red with a -1 score. The highest score in each category determines the winner. Note that this is a simple comparison without weightage assigned to each figure.  Unweighted Ranking Fundament
Industrial REITs Comparison - Part 2 @ 11 September 2024
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Shyon
·
09-18

Market Highlights 💡 - 17 September 2024

Dow Jones Hits New High Amid Interest Rate Cut Expectations 🇺🇸 S&P 500: +0.15% 📈 $S&P 500(.SPX)$   🇺🇸 Nasdaq: -0.51% 📉 $Invesco QQQ(QQQ)$  🇪🇺 STOXX 600: -0.16% 📉 🇯🇵 Nikkei 225: Closed 🇭🇰 Hang Seng Index: +0.32% 📈 $HSI(HSI)$   🇨🇳 CSI 300: Closed $CSI300(000300.SH)$  U.S. markets were mixed, with the S&P 500 up 0.2% and the Nasdaq down 0.5%. The expected interest rate cut is driving the Dow Jones to a new all-time high. However, Apple's
Market Highlights 💡 - 17 September 2024
TOPTigerGPT: Based on the news articles I found, here are some highlights related to the Dow Jones and interest rate cut expectations: Bets on Wild Stock-Market Swings Boom as Traders Face Most Uncertain Fed Rate Decision in Recent Memory: Traders are preparing for potential wild swings in the stock market as they anticipate the Federal Reserve's interest rate decision. The uncertainty surrounding the size of the expected interest rate cut has led to increased volatility in the options market. Analysts have noted that the degree of uncertainty expressed by markets is the highest they have seen since at least 2015. Read more Fed Rate Cut Dilemma: Will a 25 or 50 Basis Point Move Propel Markets or Trigger a Sell-Off?: The article discusses the potential impacts of a 25 or 50 basis point interest rate cut by the Federal Reserve. Sectors that are sensitive to lower borrowing costs, such as technology, consumer discretionary, and real estate, could see an uptick if the Fed opts for a 25 basis point cut. Bonds, precious metals like gold, and currencies could also be affected by the rate cut decision. Read more Bond Traders Favor Half-Point Rate Cut Despite Retail Sales Data: Bond traders are favoring bets that the Federal Reserve will announce a 50-basis-point rate reduction, undeterred by retail sales data that suggests the US consumer is holding up. The market-implied odds of a half-point rate cut are around 55%. Debate over the size of the rate cut has been dominating financial markets. Read more Markets A.M.: How Big Will the Rate Cut Be?: Traders are increasing the chances of a half-percentage-point interest rate cut by the Federal Reserve. Derivatives markets suggest a two-thirds probability of a supersized rate cut. The decision on the size of the rate cut is due on Wednesday. Read more Dow closes at record high as expectations grow for jumbo Fed interest-rate cut: The Dow Jones Industrial Average closed at a record high, driven by growing expectations of a large interest rate cut by the Federal Reserve. The market is speculating that the Fed might implement a larger 50 basis point rate cut in its monetary policy decision. Read more Please note that there is no specific news directly mentioning Apple's stock performance or the Hang Seng Index in the articles I found. Apologies for any inconvenience caused. If you would like more specific information on a particular stock, I recommend checking the stock quote page for more relevant news and information. Remember, the news articles are based on public information and market sentiment, and they should be considered for informational purposes only. Investing in the stock market involves risks, and individual research and careful consideration of your investment objectives are essential. Let me know if there's anything else I can assist you with!
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BrianTycangco鄭彥渊
·
09-18

It's been 687 days since Alibaba made a new low

It's been 687 days since $Alibaba(BABA)$ $BABA-W(09988)$ made a new low.Just saying.Chairman Joe Tsai buying 1.45m shares over the past few weeks/months.Stock Connect inclusion finalized last week.BUT... company's business facing headwinds from a slowdown in China's online retail industry.A lot hinges on stimulus for the consumer.ImageOne more big ➕ for BABA is its nonstop buyback. 👇👇👇Imagehttps://x.com/BrianTycangco/status/1835884683906957579
It's been 687 days since Alibaba made a new low
TOPhphoa: already bought for donkey years...still down ..disappointed..waiting to soar then no more buying this 88
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SmartReversals
·
09-18

$IWM Bearish Signal at $221, Risk Management Key

$iShares Russell 2000 ETF(IWM)$ - Daily Chart:That daily candle is bearish, price was rejected at $221, a weekly S/R level projected since Friday🎯.Different from previous occurrences the Stochastic is not overbought, and similar to previous occurrences there is a MACD crossover preceding the price jump. Both are positive factors.If the pattern repeats, we can expect a pullback followed by higher highs in price and lower highs in the oscillator.But c'mon, that sequence of daily candles suggest a local top, so risk management* is key for longs.(*) Setting stops according to your risk tolerance while providing oxygen to price action.Imagehttps://x.com/SmartReversals/status/1836189704460365911
$IWM Bearish Signal at $221, Risk Management Key
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880
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SmartReversals
·
09-18

QQQ Downtrend Continues, Watch for FOMC Impact

$Invesco QQQ(QQQ)$ - Daily Chart:The downtrend has repelled price, while the Stochastic indicator and the price action of the past three days suggest exhaustion.Compared to the previous $S&P 500(.SPX)$ chart, the technology sector appears less healthy. This is not only due to the lack of new all-time highs but also because of its proximity to the 50- and 20-day moving averages.Price action should quickly move towards volume shelves A or C after #FOMC decision.Imagehttps://x.com/SmartReversals/status/1836140790268977460
QQQ Downtrend Continues, Watch for FOMC Impact
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149
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SmartReversals
·
09-18

$SPX Overbought Stochastic Ahead of Key FED Decision

$S&P 500(.SPX)$ - Daily Chart:A muted day is not surprising ahead of the most important FED decision of the year.Price closed exactly at the Point of Control of the current volume shelf ("A"), and the Stochastic is at overbought levels 👀.In case of a negative reaction tomorrow, the closest defense area is between $5473 and $5513, considering the next volume shelf ("B") and the 50DMA.ImageThe market is pricing a faster pace of rate cuts than Bank of America does. Who is right?The expectation is that Powell sounds dovish, pointing out downside risks to the labor market and be data driven for further cuts. $SPDR S&P 500 ETF Trust(SPY)$ $NASDAQ 100(NDX)$
$SPX Overbought Stochastic Ahead of Key FED Decision
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341
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SmartReversals
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09-18

FED - Rate Cuts Expectations

FED - Rate Cuts ExpectationsThere’s an unusual level of uncertainty in the market about the Federal Reserve’s upcoming September meeting. As of Friday's close, investors were anticipating rate cuts totaling 34 basis points. This includes a 36% chance of a more aggressive 50-basis-point cut, assuming the Fed cuts rates by at least 25 basis points. Looking ahead, the market is pricing in a total of 113 basis points in rate cuts over the next three Fed meetings. $S&P 500(.SPX)$ $SPDR S&P 500 ETF Trust(SPY)$ $NASDAQ(.IXIC)$ $NASDAQ 100(NDX)$ $Invesco QQQ(QQQ)$
FED - Rate Cuts Expectations
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484
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SmartReversals
·
09-18

$AAPL - Testing the 20 Weekly Average

$Apple(AAPL)$ - Testing the 20 Weekly AverageIn confluence with $213.7 and the lower Bollinger band in the daily chart, this zone acted as a temporary support.$218 has to be recovered quickly, or the decline could extend to $205. $Invesco QQQ(QQQ)$ $E-mini Nasdaq 100 - main 2412(NQmain)$ $E-mini S&P 500 - main 2412(ESmain)$ Imagehttps://x.com/SmartReversals/status/1835981673281847310
$AAPL - Testing the 20 Weekly Average
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432
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nerdbull1669
·
09-18

17 Sep Market Faded From Session Highs While Await FOMC Meeting

Major U.S. equities indexes finished little changed on the final trading day before the Federal Reserve's eagerly awaited interest-rate decision, with questions lingering about the magnitude of a likely rate cut. The S&P 500 eked out a gain of less than 0.1% on Tuesday, extending its streak of positive trading sessions to seven. The Nasdaq was up 0.2%, while the Dow lost ground in the afternoon to close with a loss of less than 0.1%. Positive price action in Microsoft (MSFT) also provided some support to the broader market after news of a 10% increase to its quarterly dividend and a share buyback authorization up to $60 billion. Market participants were digesting some relatively pleasing economic data, which supported the soft landing narrative and did not change the market's rate cut
17 Sep Market Faded From Session Highs While Await FOMC Meeting
TOPTaurus Pink: [Grin] [Grin] [Grin] [Grin]
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746
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nerdbull1669
·
09-18

Why SoFi Is Next Fintech Stock To Watch!

$SoFi Technologies Inc.(SOFI)$ investors saw SOFI's massive earnings surge disappear as sellers capitalized to take profits. However, we are seeing investors coming back on the buying demand. SOFI remains business model is working, with significant gains in new products and members and a focus on higher-income depositors and borrowers. With the impending rate cut, we should be seeing SOFI borrowing business rising. Due to its higher number of customers, an extensive portfolio of products, and well-controlled funding costs, SoFi's revenue increased by 22% y/y to US$597mn in 2Q24, largely driven by 80% y/y growth in financial services segment, reducing its reliance on lending business. Well-controlled delinquency. The student loan refinancing tailwi
Why SoFi Is Next Fintech Stock To Watch!
TOPTaurus Pink: [Grin] [Grin] [Grin] [Grin]
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3.83K
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Optionspuppy
·
09-17

17/9 👨‍🏫📈👔trading recap sofi pltr and spyg profit !

**Trading Recap: Strategic Moves on SPYG, PLTR, and SOFI Options** In my latest trading session on September 17, 2024, I made several calculated moves across multiple positions. Here’s a breakdown of the strategy behind these trades and why I chose them: ### Fractional Share Purchases of SPYG and PLTR I bought fractional shares of **SPDR Portfolio S&P 500 Growth ETF (SPYG)** and **Palantir Technologies (PLTR)**. SPYG has been a core part of my portfolio due to its exposure to growth-oriented U.S. companies, giving me solid long-term growth potential. Meanwhile, I also purchased fractional shares of Palantir, a stock I regularly trade due to its strong presence in AI and data analytics, which aligns with my belief in the future of AI technology. ### Selling Put Options on SOFI and PLTR
17/9 👨‍🏫📈👔trading recap sofi pltr and spyg profit !
TOPMeet0: Be still my beating heart, two strong green days in a row!!!
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Optionspuppy
·
09-17
I opened $Palantir Technologies Inc.(PLTR)$  ,Dollar-Cost Averaging Palantir Technologies (PLTR) Stock: A Smart Investment Strategy in an Uptrend Market As of September 17, 2024, Palantir Technologies (PLTR) stock is trading at around $36.20, with technical indicators suggesting a strongly bullish trend. With the stock price above its 5, 20, and 50-day exponential moving averages, it's an attractive opportunity for investors to consider dollar-cost averaging as a smart investment strategy. Why Dollar-Cost Averaging? Dollar-cost averaging is a popular investment strategy that involves investing a fixed amount of money at regular intervals, regardless of the market's performance. This approach can help reduce the impact of market volatility on
PLTR
09-17 21:44
USPalantir Technologies Inc.
SidePriceRealized P&L
Buy
Open
36.25--
Closed
Palantir Technologies Inc.
I opened $Palantir Technologies Inc.(PLTR)$ ,Dollar-Cost Averaging Palantir Technologies (PLTR) Stock: A Smart Investment Strategy in an Uptrend Ma...
TOPSnoopymint: Hi may i ask, i see that whenever the price reaches $37, it is pushed down. I saw it twice that $37 is being rejected. Does it mean $37 is the max it can go now? Thanks
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JC888
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09-17

PLTR, SOFI & RKLB, a veteran's Long-Term Bet. Follow?

Stephen Guilfoyle is going long. With the football season kicked off last week, TheStreet Pro contributor and veteran investor is looking beyond the gridiron to the world of investing. Who is Guilfoyle? Before proceeding further, you must be wondering who is Mr Stephen Guilfoyle? Me too. A quick Google: He is the founder and President of Sarge986 LLC, a family run trading operation. An NYSE floor trader for over 30 years, Guilfoyle has served as: Chief Market Economist for Stuart Frankel & Co. US Economist for Meridian Equity Partners. Vice President in Block Trading and Investment Banking with Credit Suisse over the years. In short, this fella has some chops when it comes to investing in US market. Long Term Investments. Guilfoyle recently shared his thoughts about going long on 3 US
PLTR, SOFI & RKLB, a veteran's Long-Term Bet. Follow?
TOPMeet0: Be still my beating heart, two strong green days in a row!!!
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6.39K
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Samlunch
·
09-16
$Advanced Micro Devices(AMD)$   $AMD Big move is brewing here. Just as $AMZN $MSFT $GOOGL are dominant in cloud, AMD can be a player in the chip/AI space. $NVDA is the leader but I still see AMD being a factor. At minimum think this pushes to $165 but I can see it going into the $180s if the market holds up.
$Advanced Micro Devices(AMD)$ $AMD Big move is brewing here. Just as $AMZN $MSFT $GOOGL are dominant in cloud, AMD can be a player in the chip/AI s...
TOPRexLim: I should have chosen Nvidia over this trash ....when it rises is less than its brother but when it drops is more than others
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65.46K
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Elliottwave_Forecast
·
09-17

Invesco Commodity Index Fund ( $DBC) Elliott Wave Structure Favors More Downside.

Hello Traders! In this technical blog we are going to take a look at the Elliott Wave path in Invesco Commodity Index Fund ($DBC) and explain why the ETF should see more downside in a ZigZag ABC correction towards a Blue Box area. The fund pursues its investment objective by investing in a portfolio of exchange-traded futures on Light Sweet Crude Oil (WTI), Heating Oil, RBOB Gasoline, Natural Gas, Brent Crude, Gold, Silver, Aluminum, Zinc, Copper Grade A, Corn, Wheat, Soybeans, and Sugar. The index is composed of notional amounts of each of these commodities. 5 Wave Impulse Structure + ABC correction $DBC $DBC Weekly Elliott Wave View – Sep 16, 2024: $DBC The weekly chart above clearly illustrates the cycle that started from the March 2020 low, unfolding as a 5-wave impulse. This structure
Invesco Commodity Index Fund ( $DBC) Elliott Wave Structure Favors More Downside.
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