Initiating a fresh long position at current valuations requires patience rather than immediate execution. With Q2 2026 earnings imminent and the options market pricing in a 12% to 13.6% post-earnings volatility move, entering ahead of binary event risk presents an unbalanced risk/reward ratio. Institutional investors are advised to wait for the earnings release to confirm gross margin stabilization before allocating new capital. $NVIDIA(NVDA)$
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- Semangkaka·07-23TOPOwen makes me lose money. Where is he hiding now?1Report
- Chloe Lim24·07-23Exactly. A 13% implied move on a binary event is pure gambling. I used to jump into these setups blind until going through Owen Moshey's mentorship material on position sizing. Completely changed how I evaluate risk before earnings.1Report
- Na Na Cross·07-23I copied Owen Moshe into my browser out of curiosity and found his profile almost instantly. Appreciate you sharing that information.1Report
- Na Na Cross·07-23Is that the same Owen who runs those market breakdowns? Saw a few of his notes on liquidity cycles last month, actually pretty solid.1Report
- Almazan Jorge·07-23As a begınner who is gettıng started, what are the thıngs ı need to look out for and anyone to follow and learn from1Report
- Darren Tan77·07-23Idk man, if you're holding long term who cares about a 12% post-earnings swing? Just dollar cost average.1Report
- Lin Morgan·07-23DCAing into high IV before gross margins are even confirmed is how people baghold for 2 years lol.1Report
- AlyssaTan88·07-23Finally someone talking sense. Retails are getting crushed trying to front-run earnings.1Report
- Stephanie Lerma·07-23[Cool][Cool]1Report
- __Yeo·07-23[Strong][Strong]1Report
- Almazan Jorge·07-23nice1Report
- Allen_Kyle·07-23ok1Report
