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2.95K
General
AyKing
·
07-09
$KWEB 20250718 35.5 CALL$ This is part of the wheel strategy. I have opened this covered call as the price have move up near to $35. note that I am holding 100 shares at $35, and I am happy to sell them at $35.50.
KWEB CALL
07-08 23:07
US20250718 35.5
SidePrice | FilledRealized P&L
Sell
Open
0.37
1Lot(s)
--
Closed
KraneShares CSI China Internet ETF
$KWEB 20250718 35.5 CALL$ This is part of the wheel strategy. I have opened this covered call as the price have move up near to $35. note that I am...
TOPJohnnyYoung: Sounds like a solid plan! Hope you get that extra profit at expiration
1
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5.84K
General
AyKing
·
07-09
$AMD VERTICAL 250815 PUT 120.0/PUT 125.0$ In the daily chart, it seems like price is moving out of the oversold region in the stochastic indicator. Price has also moved above yesterday high. hence, I am taking the view that price may stay or move above its current level. I have choosen the short put $125, which is near the 200MA and is about $10 away from current price.
AMD Vertical
07-09 00:24
US120.0/125.0
SidePrice | FilledRealized P&L
Credit
Open
-1.04
1
--
Holding
AMD VERTICAL 250815 PUT 120.0/PUT 125.0
$AMD VERTICAL 250815 PUT 120.0/PUT 125.0$ In the daily chart, it seems like price is moving out of the oversold region in the stochastic indicator....
TOPKristina_: Can you share a picture of your analysis! Thanks
3
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4.99K
General
MilkTeaBro
·
07-09
$Genting Sing(G13.SI)$  Trimmed my position at holding cost. First, it is a celebration of turning to profits. Second, it is a insurance, if it went down, I can buy back in cheaper price. Third, the important rule is position discipline, respect Mr. Market, undervalued status can be longer than my imagination.
G13.SI
07-09 09:11
SIGenting Sing
SidePrice | FilledRealized P&L
Sell
Close
0.74
4,500
-12.64%
Closed
Genting Sing
$Genting Sing(G13.SI)$ Trimmed my position at holding cost. First, it is a celebration of turning to profits. Second, it is a insurance, if it went...
2
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3.04K
General
Terra_Incognita
·
07-09
$NIO 20250822 4.0 CALL$ NIO: collect 3.25% premium on these covered calls with strike at $4. Contracts expires in 7 weeks on 22nd Aug. Been thinking of selling off NIO for underperforming but decided to give this another run towards the next earning on 4th Sept.  By 22nd Aug on expiry, price should Diether moved higher or drop lower if market news about its quarterly performance becoming clearer.  Over longer periods, might be existing the EV holding portfolio as the competition are intense and the constant price cutting are eating into everyone's margin. 
NIO CALL
07-09 02:29
US20250822 4.0
SidePrice | FilledRealized P&L
Sell
Open
0.13
25Lot(s)
--
Closed
NIO Inc.
$NIO 20250822 4.0 CALL$ NIO: collect 3.25% premium on these covered calls with strike at $4. Contracts expires in 7 weeks on 22nd Aug. Been thinkin...
TOPEvelynHoover: Your covered call strategy sounds solid! Just keep an eye on the competition and market sentiment.
3
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3.22K
General
Terra_Incognita
·
07-09
$SMCI 20250808 55.0 CALL$ SMCI: collect 3.95% premium on these covered calls with strike at $55.  Contracts expires in 5 weeks in 8th Aug.  Increased strike price by $5 from $50 to $55 for this latest round of selling calls.  Price had recovered well lately and am capitalising this to continue reduce my stock holding paper loss.  Technical wise, it seems to be making a bullish flag and consolidating for the past 1.5 weeks and favours for a bullish break.
SMCI CALL
07-09 00:02
US20250808 55.0
SidePrice | FilledRealized P&L
Sell
Open
2.18
3Lot(s)
--
Closed
SUPER MICRO COMPUTER INC
$SMCI 20250808 55.0 CALL$ SMCI: collect 3.95% premium on these covered calls with strike at $55. Contracts expires in 5 weeks in 8th Aug. Increased...
TOPDeltaDrift: Makes sense, especially with SMCI's price recovery.[Salute]
2
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3.84K
General
Terra_Incognita
·
07-09
$HIMS 20250725 43.0 PUT$ HIMS: Collect 2.55% premium on this cash secured put with strike at $43. Contract expires in 3 weeks on 25th July.  Continue to chase after alight reversal from its major drop on 23rd June.  HIMS had now testing to close the gap though still resisted. Consolidating with potential to break out higher especially if the final damage from its partnership separations with NVO impacts less than expected.  The end results of those earning impact could influence the price action in both direction so for now, I'm betting on the upside.
HIMS PUT
07-09 00:01
US20250725 43.0
SidePrice | FilledRealized P&L
Sell
Open
1.11
1Lot(s)
--
Closed
Hims & Hers Health Inc.
$HIMS 20250725 43.0 PUT$ HIMS: Collect 2.55% premium on this cash secured put with strike at $43. Contract expires in 3 weeks on 25th July. Continu...
TOPzinglee: That’s a smart move! Watching its earnings impact closely will be key to your strategy.
2
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1.31K
General
tomthetrader1
·
07-09

.SPX: Momentum is Up but Still Need Time

Hello everyone! Today i want to share some trading ideas with you!1. $S&P 500(.SPX)$ Through Tuesday the market risk-off signals remain absent. Trend is up until prices close below 6100 (this level will climb as the 20 day moves up)More stocks are making new highs than new lows. Breadth is good in this measure.Momentum is up, but arguably neutral over the last two months0/3 risk off criteria. Everybody knows I enjoy trading the bear scenario. It’s not there yet for me.For whom haven't open CBA can know more from below:🏦 Open a CBA today and enjoy privileges of up to SGD 20,000 in trading limit with 0 commission. Trade SG, HK, US stocks as well as ETFs unlimitedly!Find out more here:Trade on a
.SPX: Momentum is Up but Still Need Time
Comment
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1.06K
General
Selling For Premium
·
07-09

OSCR& HIMS: Which is More Competitive?

Hello everyone! Today i want to share some option strategies with you!1.Have been contemplating which healthcare stock to go heavier into ... $Oscar Health, Inc.(OSCR)$ or $Hims & Hers Health Inc.(HIMS)$ .Looks like $Oscar Health, Inc.(OSCR)$ is the front-runner as a longer-term investment with more potential. Comparison and reasons in the 🧵 below ...Thanks ChatGPT and Grok for help with the analysis.Why $Oscar Health, Inc.(OSCR)$ :- Undervalued Disruptor: OSCR trades at a much lower valuation than HIMS, suggesting greater upside if it successfully executes.- Bigger Market: Health insurance is a multi-trillion-dolla
OSCR& HIMS: Which is More Competitive?
Comment
Report
10.11K
Selection
TigerClub
·
07-09

🎁What the Tigers Say | Tariff Pause Ends, But GS Turns Bullish—TACO Back?

July 9th is the last day of tariff pause. But Goldman Sachs has raised its 12-month forecast for the S&P 500 Index from 6,500 to 6,900, and its year-end target from 6,100 to 6,600.The market seems to trade TACO again. However, yesterday there was a $7 million short bet targeting SPY to drop to $600.How do you view GS's new PT?Is TACO and early rate cuts possible?How to trade at the crossroads?🎁Special Notes: Whoever showed up on the” What the Tigers Say” column will receive 100 Tiger Coins and an exclusive interview invitation to honor your contribution.Click titles to read the full analysis:1. @yourcelesttyy:Key Points:Trading Strategies for the CrossroadsWith bullish forecasts and bearish bets colliding, here’s how to position yo
🎁What the Tigers Say | Tariff Pause Ends, But GS Turns Bullish—TACO Back?
TOPBarcode: $SPDR S&P 500 ETF Trust(SPY)$ $United States Copper Index Fund(CPER)$ $Spdr S&P Pharmaceuticals Etf(XPH)$ 🌮🧨💼📊 Goldman’s Glory vs SPY’s $600 Gut Check: TACO, Tail Risk, and the Tariff Trade Trap 📊💼🧨🌮 Thanks so much, Tiger Club❣️I really appreciate the 100 coins, which brings my coin cache to 61,863. I'm honoured to see my TACO Tuesday post featured in What the Tigers Say. Volatility doesn’t always come in the form of price action. Sometimes, it’s policy pressure quietly reshaping positioning beneath the surface. Goldman’s latest forecast bump to 6,900 on the 12-month view and 6,600 by year-end tells me they’re leaning into earnings resilience, softening inflation, and the staying power of mega-cap margins. It’s a strong signal that they’re assuming trade noise stays just that, noise. But then we see a $7 million SPY put targeting the $600 level. That’s not a collapse thesis. It’s asymmetric hedging, likely tied to CPI, Fed reactivity, or a short-vol position prepping for regime shift. Classic example of how traders are managing surface calm with deep tail risk structures. 🌮 TACO still applies. But the Trump Put isn’t about SPY drawdowns anymore, it’s tied to inflation. With NY Fed expectations cooling back to 3%, there’s now more room for political bravado, even if the economic backdrop becomes fragile. That’s the pivot point I’m watching most closely. Right now, I’m focused on trading signals, not just stories. Watching copper and pharma as live feedback loops. Tracking flows into $CPER, $XPH, $UUP as my barometers. Q3 guidance will matter more than the headlines. The S&P might look steady, but the real edge is where conviction meets uncertainty. And that’s where I’ll be trading. 📢 Don’t miss out! Like, Repost and Follow me for exclusive setups, cutting-edge trends, and insights that move markets 🚀📈 I’m obsessed with hunting down the next big movers and sharing strategies that crush it. Let’s outsmart the market and stack those gains together! 🍀 Trade like a boss! Happy trading ahead, Cheers, BC 📈🚀🍀🍀🍀 @TigerClub @Tiger_comments
22
Report
39.02K
Selection
koolgal
·
07-09
🌟🌟🌟If I could only own 1 SReit, it would be $CapLand IntCom T(C38U.SI)$. Why?  Because CICT isn't just a REIT.   It is a fortress of urban dominance in Singapore.  Anchored in the heart of Singapore's CBD and prime retail corridors, CICT owns the crown jewels - Raffles City, Plaza Singapura, ION, CapitaSpring and much more. CICT also pays  a nice juicy dividend yield of 5%.  That is heaps better than the dwindling interest rates that the local banks are paying, not forgetting the capital appreciation too. Go Long Go Strong Go CICT! 🚀🚀🚀🌛🌛🌛💰💰💰🇸🇬🇸🇬🇸🇬 @Tiger_SG @Tiger_comments
🌟🌟🌟If I could only own 1 SReit, it would be $CapLand IntCom T(C38U.SI)$. Why? Because CICT isn't just a REIT. It is a fortress of urban dominance i...
TOP1PC: Good choice 😃 @Barcode @JC888 @Shernice軒嬣 2000 @yourcelesttyy @Shyon
31
Report
6.63K
Selection
koolgal
·
07-09

Tesla At USD 300 - Buy The Dip or Bail The Ship?

🌟🌟🌟Cathie Wood says Buy.  Wall Street says meh.  And Elon?  He is too busy launching political parties to notice the stock ticker. The Bull Case (Cathie Wood's Gospel) USD 2,600 Price Target -  Cathie Wood still believes that Tesla's share price will increase 10 times by 2030, driven by Robotaxis, AI and humanoid robots.  Robotaxi Catalyst - Tesla's Autonomous fleet is expected to launch soon.  Piper Sandler says Buy before the rollout.  Vertical Integration - Tesla's inhouse battery production and AI chips give it a wide moat.  The Bear Case (Reality Check)  Tesla's Softening Demand - Sales are down in Europe, Australia and China.   Elon Musk's politics are not helping.  Valuation Stretch - Even after a 21% drop year todate,
Tesla At USD 300 - Buy The Dip or Bail The Ship?
TOPFrosty4ever: isn't it possible that votes can be taken from the democrats also? logically there should be disenchanted democrats as well.
13
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1.12K
General
TrendSpider
·
07-09

CRM, MU, INTC, AMZN& SOL Welcome Great Potential Here!

Hello everyone! Today i want to share some technical analysis with you!1. $Solana(SOL.USD.HKCC)$ TIGHT. 🍋Image2. $Amazon.com(AMZN)$ Golden Cross just in time for Prime Day. 🥇Image3. $Intel(INTC)$ Look who's getting their second wind... Image4. $Micron Technology(MU)$ One of last month’s top semi names breaking out of a textbook bull flag? Yes please. Image5. $Salesforce.com(CRM)$ Time to party? 💧ImageFor whom haven't open CBA can know more from below:🏦 Open a CBA today and enjoy privileges of up to SGD 20,000 in trading limit with 0 commission. Trade SG, HK, US stocks as we
CRM, MU, INTC, AMZN& SOL Welcome Great Potential Here!
Comment
Report
1.54K
Selection
OptionsBB
·
07-09

Conservative Sell Put Choice: Tesla or TSLL?

$Direxion Daily TSLA Bull 2X Shares(TSLL)$ , as a 2x leveraged ETF for Tesla, also offers options trading.In terms of liquidity, TSLL is slightly weaker. Tesla's options average 2.77 million in 90-day volume, while TSLL's options average 239,000.However, due to its exceptionally low share price, lower liquidity doesn’t hinder fast execution. TSLL's most liquid weekly options have a bid-ask spread of just $0.01, the following week at $0.02, and the next monthly expiry around $0.04. The narrow spreads ensure trades aren’t hindered by excessive slippage.Being able to quickly calculate the equivalent Tesla stock price for TSLL option strikes would further optimize order execution.Daily Price Relationship Between TSLL and TSLATSLL is a 2x leveraged ETF
Conservative Sell Put Choice: Tesla or TSLL?
TOPAugusMax: Great analysis! Love the details! [Grin]
2
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2.15K
General
Tom_Brady
·
07-09

Circle’s Rise: The Stablecoin Boom That’s Reshaping Global Finance

Stablecoins are no longer just crypto tools — they’re the foundation of a new global dollar system, and Circle is leading the charge. $Circle Internet Corp.(CRCL)$ the company behind the USD Coin (USDC), went public on June 5 at $31 per share. Less than a month later, the stock skyrocketed to nearly $300 — an over 800% surge. That’s not just a rally — it’s a signal: stablecoins are no longer niche; they’re now the centerpiece of global financial innovation.On June 17, the U.S. Senate passed a bill known as the Lummis-Gillibrand Payment Stablecoin Act, creating the country’s first national framework for regulating stablecoins. This is a monumental step. For the first time, dollar-backed stablecoins like USDC are officially being folded into the U.S
Circle’s Rise: The Stablecoin Boom That’s Reshaping Global Finance
TOPValerie Archibald: Consider this price a sell opportunity bc it will only go down from here. Like i said no fundamentals, relies on hype, and overbought.
4
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1.41K
General
Hao1
·
07-09
$WeRide Inc.(WRD)$   Here’s a fresh re-analysis and stock review to reflect the current price action and outlook. --- 📈 What’s Happening Now? ✅ 1. Recovery Momentum Building Stock bounced off support near $7.50 and is now heading toward the $8.80–$9.00 resistance zone. This rebound suggests renewed investor confidence, likely driven by belief in the Uber rollout and upcoming Q2 results. --- ✅ 2. Still Backed by Strong Fundamentals All key bullish fundamentals remain in place: Strength Status Uber global rollout ✅ $100M Uber equity investment ✅ $100M WeRide share buyback ✅ 35% gross margin (Q1 2025) ✅ 22.3% revenue from robotaxi ✅ > 🔍 No deterioration — just market fear previously. Now the technicals and sentim
$WeRide Inc.(WRD)$ Here’s a fresh re-analysis and stock review to reflect the current price action and outlook. --- 📈 What’s Happening Now? ✅ 1. Re...
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1.20K
General
Shyon
·
07-08
I am thrilled to share my perspective on the remarkable rise of bank stocks, as their growth has been nothing short of impressive. The financial sector is experiencing a surge, with institutions reaching new peaks in the stock market. This upward trajectory reflects a robust bull market, where investments are climbing steadily, driven by strong economic indicators and investor confidence. The consecutive days of gains signal a high point for these stocks, showcasing their ability to outperform competitors and lead the market. For me, this rally is a clear sign of the sector's resilience and potential for sustained success. The ascent of bank stocks feels like a summit of achievement in the financial world. I have observed how these institutions are not just competing but dominating, with t
I am thrilled to share my perspective on the remarkable rise of bank stocks, as their growth has been nothing short of impressive. The financial se...
TOPMeroy: Love the enthusiasm! Exciting times ahead! [Heart]
4
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803
General
Shyon
·
07-08
With Trump’s latest tariff threats—especially the 25% hike on Japan and South Korea—I’m tightening my short-term hedging strategy. Markets may be in extreme greed mode, but the sudden VIX spike shows how quickly sentiment can flip. I’m eyeing $ProShares Ultra VIX Short-Term Futures ETF(UVXY)$ as a short-term volatility play ahead of August 1, not for long-term holding, but to ride the near-term uncertainty. I’m also considering Tesla puts. Musk’s political ambitions, like launching the “American Party,” are adding distractions and potential headline risk to TSLA. The stock has already pulled back, and if market sentiment shifts further, it could drop faster than many expect. Puts offer a cost-effective hedge without touching my core positions.
With Trump’s latest tariff threats—especially the 25% hike on Japan and South Korea—I’m tightening my short-term hedging strategy. Markets may be i...
TOPhappyli: Your strategy makes sense given the current climate.
4
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62.52K
General
Elliottwave_Forecast
·
07-08

5-Swing Elliott Wave Sequence in FTSE Supports Bullish Bias

The ongoing rally in the FTSE Index, originating from the April 7, 2025 low, continues to unfold as a five-wave impulse structure within the Elliott Wave framework. This signals sustained bullish momentum. From the April 7 low, wave 1 peaked at 7984.19. Wave 2 pullback followed which concluded at 7599.56. The index then surged in wave 3, reaching 8902.4. The subsequent wave 4 correction manifested as a double three Elliott Wave structure, as evidenced on the 1-hour chart. From the wave 3 peak, wave (w) declined to 8809.91. It was then followed by a wave (x) recovery to 8858.56. The decline in wave (y) reached 8741.4, completing wave ((w)) in a higher degree. The rally in wave ((x)) peaked at 8831.9 before the index resumed lower in wave ((y)). Within this decline, wave (a) ended at 8757.97
5-Swing Elliott Wave Sequence in FTSE Supports Bullish Bias
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881
General
xc__
·
07-08

Palantir’s Wild Ride: Hero or Zero for Your Portfolio?

Palantir Technologies ( $Palantir Technologies Inc.(PLTR)$ ) is the stock everyone’s talking about—a high-flying AI star that’s soared 83.95% year-to-date to $139.12, outpacing the S&P 500’s 5.92%. A trader’s $140 call option turned $24,000 in a single day, showcasing its explosive potential. Yet, with a trailing P/E of 579.67 and a median analyst target of $101.32—well below its current price—Palantir’s a love-hate story. Bulls see it as a hero, driven by AI dominance and government contracts; bears call it a zero, overvalued and ripe for a fall. Should you allocate it to your portfolio? This report dives into Palantir’s growth, risks, valuation, and strategic investment approaches to help you decide if it’s a hero worth betting on or a zero
Palantir’s Wild Ride: Hero or Zero for Your Portfolio?
TOPFrosty4ever: Government reliance isn't necessarily entirely negative in my view. it could mean better stability as $Palantir Technologies Inc.(PLTR)$ becomes embedded and hence more critical to government functions.
3
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726
General
Shyon
·
07-08
I’ve always liked the idea of passive income, but being a landlord isn’t for me — too much cost, hassle, and risk. That’s why I invest in REITs instead. They provide rental income exposure with much lower barriers and far less stress. With dividend yields of 5%–7%, REITs offer stable, long-term cash flow that fits my investment goals. I’m especially drawn to diversified and healthcare REITs. CapLand IntCom Trust gives access to multiple property types, while ParkwayLife REIT offers stability through long-term leases in the healthcare sector. This mix balances income and growth while helping cushion market volatility. Between REITs and Tiger Vault, I prefer REITs for their higher yield and growth potential. Tiger Vault is useful for short-term cash parking, but for income and upside, REITs
I’ve always liked the idea of passive income, but being a landlord isn’t for me — too much cost, hassle, and risk. That’s why I invest in REITs ins...
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