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General
Trend_Radar
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12-23

RKLB Surges 9.97% to Hit 52-Week High $78.45

$Rocket Lab USA, Inc.(RKLB)$ Rocket Lab USA, Inc.(RKLB) Surged +9.97%: Space Stock Hits New 52-Week High, $78.45 RecordLatest Close Data RKLB closed at $77.55 on Dec 23, surging +9.97% (+$7.03) from the previous close. The stock hit a new 52-week high of $78.45 during the session, indicating strong bullish momentum.Core Market Drivers While specific news is absent from the provided data, the significant price surge and record volume suggest heightened market interest, potentially driven by sector-wide optimism in the aerospace/defense sector or anticipation of upcoming company catalysts like contract wins or mission milestones.Technical Analysis The rally was supported by massive volume of 48.28M shares (Volume Ratio: 1.51). The MACD shows a stron
RKLB Surges 9.97% to Hit 52-Week High $78.45
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General
Trend_Radar
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12-23

MIR Consolidates Near Support, Eyes $25 Resistance

$Mirion(MIR)$ Mirion (MIR) Holds Steady +1.10%: Testing $24 Pivot Amidst ConsolidationLatest Close Data: Closed at $23.81 on 2025-12-23, up +1.10% from the prior close. The price remains approximately 21.4% below its 52-week high of $30.28.Core Market Drivers: Recent price action is consolidating within a tight range. Strong institutional ownership (BlackRock, Vanguard) provides a stable base, but recent 5-day capital flow data shows mixed signals with net outflows in the last three sessions.Technical Analysis: Volume ratio of 0.58 indicates below-average activity, suggesting a lack of conviction. The MACD (-0.350) remains in negative territory, though the histogram shows signs of slowing bearish momentum. RSI(6) at 42.65 is neutral, recovering fro
MIR Consolidates Near Support, Eyes $25 Resistance
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General
Trend_Radar
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12-23

BKSY Surges on High Volume, Eyes $25 Target

$BlackSky Technology Inc.(BKSY)$ BlackSky Technology Inc.(BKSY) Rockets +13.61%: Geospatial Intelligence Stock Clears $19.3, Eyes $25.2 TargetLatest Close Data Closed at $21.87, surging +13.61% with a massive 19.48% intraday range. The stock is now ~34% below its 52-week high of $33.20.Core Market Drivers Strong buying momentum propelled the stock, clearing a key technical resistance level. The high-volume breakout suggests renewed institutional or speculative interest in the geospatial intelligence and satellite data sector.Technical Analysis Volume surged to 3.01M shares (Volume Ratio: 2.37), confirming the breakout's strength. The 6-day RSI spiked to 75.43, indicating strong short-term momentum but nearing overbought territory. MACD shows a bul
BKSY Surges on High Volume, Eyes $25 Target
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Tiger_comments
·
12-23

TA Education 8|MA & Candlesticks: How to Combine?

Hi, tigers! Here is Part 3 of MA: MA & Candlesticks. Let’s start this week’s lessons!1. Dragon Rising from the Sea: Single Bullish Candle Piercing Multiple MAsThe Pattern: This rare and powerful formation occurs when a single, robust bullish candle (typically a large green Marubozu) rises from a low position and decisively cuts through multiple aligned Moving Averages (e.g., short, medium, and long-term lines) simultaneously.Market Implication: This serves as an explosive reversal signal. It indicates that a dormant or consolidating market has suddenly awakened with overwhelming demand, clearing multiple layers of technical resistance in a single session.Mechanism: By conquering the "average costs" of short-term, medium-term, and long-term traders all at once, this move unifies market
TA Education 8|MA & Candlesticks: How to Combine?
TOPShyon: I treat these MA–candlestick patterns as context signals, not standalone trades. “Dragon Rising from the Sea” and “Guillotine Blade” matter because one candle cutting through multiple MAs reflects a sharp multi-timeframe shift in market consensus, often tied to major catalysts rather than pure technicals. Currently, $NVIDIA(NVDA)$ and $Broadcom(AVGO)$ fit the “Golden Phoenix Returns to Nest” idea, with orderly pullbacks into rising MAs on lighter volume, signaling healthy trend continuation. $Palantir Technologies Inc.(PLTR)$ has shown “Dragonfly Skimming Water” behavior, where shallow dips are quickly bought, highlighting strong momentum. For breakout setups, $SoFi Technologies Inc.(SOFI)$ and select AI names may form a “Carp Leaping Over Dragon Gate” if they reclaim long-term MAs with clear volume expansion. I wait for that confirmation, as volume ultimately decides whether a breakout can sustain. @TigerStars @Tiger_comments
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Capital_Insights
·
12-23

✨Kenny_Loh's SReits Insights: Why 2026 Could Be a Turning Point?

In his latest market outlook, @Kenny_Loh points out that 2025 is shaping up to be the strongest year for Singapore REITs (S-REITs) since 2019, with the sector benefiting from stabilising interest rates and the early phase of a rate-cut cycle. Looking ahead, he views 2026 as a potential inflection year, where S-REITs transition from recovery to renewed growth.Read more >>2025: S-REITs' Best Year Since 2019 | 2026 Market OutlookKenny Loh is a distinguished MAS Private Wealth Advisor with a specialization in holistic investment planning and estate management. He excels in assisting clients to grow their investment capital and establish passive income streams for
✨Kenny_Loh's SReits Insights: Why 2026 Could Be a Turning Point?
TOPmoonbop: Hospitality and logistics REITs look solid for 2026 turnaround. Time to accumulate on dips lah![看涨]
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Owen_Tradinghouse
·
12-23

Two Major Opportunities: The Santa Rally and the Next Commodities Bull Run—What’s the Best Strategy?

After the policy outcomes from the Federal Reserve and the Bank of Japan were released, the market’s largest near-term risk window has largely passed.​Based on how price action has responded so far, the Santa rally has very likely begun; historically, it typically runs from late December into early January, and U.S. equities have a high probability of grinding higher with choppy gains during this period.​What’s more, while mega-cap tech looks expensive, the overall valuation of the equal-weight S&P 500 is not particularly stretched, so over the coming week it may be worth considering a strategy of selling weekly put options on Nasdaq futures with strikes below the 20-week moving average.​At the same time, it also makes sense to prepare in advance for a potential explosive move in commo
Two Major Opportunities: The Santa Rally and the Next Commodities Bull Run—What’s the Best Strategy?
TOPNatalieTommy: Santa rally loading up, commodities breakout next? Let's ride the wave![得意][看涨]
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Bonnie Quiller
·
12-23

Margin story first, then volume

For $XIAOMI-W(01810)$ , I care less about unit shipments in isolation and more about whether the mix keeps improving. Key watch items: (1) Smartphone ASP and gross margin—can premium models hold share without heavy promotions? (2) IoT + lifestyle: is it growing faster than phones and lifting blended margin? (3) Overseas demand: FX and channel inventory can distort “headline” growth; I’d rather see clean sell-through. (4) If you’re following the EV angle, focus on production ramp discipline and cash burn—new categories can excite the market, but they also punish mistakes fast.Bull case: steady margin expansion + ecosystem stickiness. Bear case: volumes recover but margins compress, turning it into a low-quality rebound.
Margin story first, then volume
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OptionsAura
·
12-23

U.S. stocks' rebound momentum weakens, how to hedge

Last week (December 15 to December 21, 2025), the U.S. stock market as a whole showed a trend of differentiation. Led by continued strength in tech stocks, the Nasdaq 100 (QQQ) rose 1.42%, the S&P 500 (SPY) edged up 0.60%, while the traditional cyclical-heavy Dow Jones Industrial Average (DIA) fell 0.35%. Although the index level still maintains a rebound pattern, the rise is mainly concentrated in the technology sector. The strength and weakness within the industry are obviously differentiated, and the market as a whole has not formed a consistent upward trend.From the perspective of drivers, AI-related themes and the rebound of large technology stocks have become the core support of the Nasdaq and S&P. The Nasdaq recorded its largest one-day gain of 1.45% in the week on December
U.S. stocks' rebound momentum weakens, how to hedge
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247
General
Zurilinn
·
12-23
Comment
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806
General
Jeong Kim 熔金
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12-23
Comment
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1.29K
General
xc__
·
12-22

Santa Rally Ignites! Gear Up for Explosive Gains or Slash Positions Before Year-End Chaos? 🚀💥

$S&P 500(.SPX)$ $NASDAQ(.IXIC)$ $Oracle(ORCL)$ $UnitedHealth(UNH)$ $NVIDIA(NVDA)$ $Tesla Motors(TSLA)$ Stocks flipped the script on Friday with a powerful rebound that had traders buzzing – S&P 500 climbed 0.2% to 6,859.42 after early dips, marking its sixth gain in seven sessions and flashing early Santa vibes. Nasdaq edged 0.15% higher to 19,340.51, shrugging off AI jitters as defensive sectors like utilities popped 1.2% on rotation flows. This mixed week closed on a high note, aligning with December's historical magic where l
Santa Rally Ignites! Gear Up for Explosive Gains or Slash Positions Before Year-End Chaos? 🚀💥
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558
General
xc__
·
12-22

Holiday Week Economic Fireworks: GDP Growth, Durable Goods, and Consumer Confidence Ready to Ignite Year-End Volatility! 💥📈

Markets are bracing for a short but explosive holiday week as key data drops amid thin trading volumes that could amplify every twist. Monday kicks off with the Federal Reserve Bank of Chicago's National Activity Index for November, a composite gauge of 85 economic indicators that could signal if growth's cooling or holding steady – est -0.1 points, a miss below -0.5 could spark risk-on surges in cyclicals like industrials up 2%, while a hot print above 0 pushes yields to 4% for bond dips. 😎 Tuesday packs the punch with BEA's initial third-quarter GDP estimate, est +2.8% annualized – soft below +2.5% unlocks Fed cut odds to 90% for S&P pops to 7,100, but strong +3% cranks inflation fears for 1% pullback. Add Census Bureau's October durable goods report, est +0.5% MoM – weakness signals
Holiday Week Economic Fireworks: GDP Growth, Durable Goods, and Consumer Confidence Ready to Ignite Year-End Volatility! 💥📈
TOPMarsBloom: Hedging with industrials and EM exposure ahead of GDP print. 🚀📉
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996
General
xc__
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12-22

Fed's Holiday Surprise Sparks Santa Rally Hopes – These Key Events Could Explode Your Portfolio This Week! 🎅💥

Jerome Powell donning a Santa hat isn't just festive fun – it's a cheeky nod to the Fed's easing path amid cooling inflation, setting the stage for a holiday week packed with data that could ignite year-end fireworks or fizzle into flat trading. With QT pumping trillions in liquidity and December's +0.8% historical gains kicking in, this short week's economic deluge could flip S&P from recent dips to 7,100 highs if soft prints unlock dovish vibes. But thin volumes on Christmas Eve and full closures Thursday mean every tick counts – let's break down the bombshells, spot the winners, and map trades to crush the chaos before 2026 rings in. 😤🌟 Monday's opener fires with the Chicago Fed's National Activity Index for November, a mashup of 85 indicators est -0.1 points – soft below -0.5 could
Fed's Holiday Surprise Sparks Santa Rally Hopes – These Key Events Could Explode Your Portfolio This Week! 🎅💥
TOPPTOL: MU's AI momentum could really shine this week! 🚀 Adding on dips makes sense
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Elliottwave_Forecast
·
12-22

CADJPY Elliott Wave: Blue Box Buy Setup Explained

Hello fellow traders, As our members know we have had many profitable trading setups recently.  In this technical article, we are going to present another Elliott Wave trading setup we got in CADJPY. The forex pair completed this correction precisely at the Equal Legs zone, referred to as the Blue Box Area. In the following sections, we will delve into the specifics of the Elliott Wave pattern observed , discuss the trading setup. CADJPY Elliott Wave 1 Hour Chart 12.15.2025 The current view suggests that CADJPY is forming a 3 waves correction in wave (iv) blue . The price action shows an incomplete structure from the peak. We anticipate an extension toward the extreme zone at 112.497-111.910, marked as a Blue Box. At that zone  we are looking to re-enter as buyers. We recommend m
CADJPY Elliott Wave: Blue Box Buy Setup Explained
TOPMariaEvelina: Spot on analysis! Fib levels converging with blue box is tasty[看涨][强]
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General
Elliottwave_Forecast
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12-22

AUDJPY Elliott Wave: Buying the Dips in a Blue Box

As our members know we have had many profitable trading setups recently.   In this technical article, we are going to talk about another Elliott Wave trading setup we got in AUDJPY. The pair has completed its correction exactly at the Equal Legs zone, also known as the Blue Box Area. In this article, we’ll break down the Elliott Wave forecast, explain the trading setup in detail, and provide the upside target. AUDJPY Elliott Wave 1 Hour  Chart 12.15.2025 AUDJPY is forming a 3 waves pullback against the  101.521 low. The price structure looks incomplete at the moment. We believe the correction is still in progress and expect another leg lower toward the 102.824-102.072  area , where we are looking to re-enter as buyers. We recommend that members avoid selling A
AUDJPY Elliott Wave: Buying the Dips in a Blue Box
TOPqwertd: Solid analysis! Blue box setups really nail those entry points 👌
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Barcode
·
12-23

🤖⚡📈 Quantum Options Signal Turns Aggressively One-Sided 📈⚡🤖

$D-Wave Quantum Inc.(QBTS)$ Bullish $IONQ Inc.(IONQ)$ Bullish $Rigetti Computing(RGTI)$ Bullish 22Dec25 🇺🇸|23Dec25 🇳🇿 I’m seeing a familiar early-cycle signal across quantum names, and it’s coming from positioning, not headlines. Put/call ratios across the group have collapsed to extreme lows versus their 20-day norms. That tells me traders are pressing direction, not hedging exposure. 📊 Options Positioning Is Doing the Talking The Bloomberg snapshot is unambiguous. Today’s put/call ratios sit deeply compressed across $QBTS $IONQ $RGTI $QUBT versus their own recent history. When ratios dislocate this far, it reflects urgency and leverage,
🤖⚡📈 Quantum Options Signal Turns Aggressively One-Sided 📈⚡🤖
TOPPetS: What I appreciate here is the patience in your framework. You’re not forcing a call, you’re observing the shift in positioning and structure. That’s usually where durable moves start. I’m watching $Quantum Computing Inc.(QUBT)$ closely because the base building and liquidity absorption feel very similar to early cycle setups I’ve seen before.
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Barcode
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12-23

🚗⚡📈 Tesla Rewrites the Tape at New Highs as $500 Becomes the Market’s Gravity Point 📈⚡🚗

$Tesla Motors(TSLA)$ Bullish $Direxion Daily TSLA Bull 2X Shares(TSLL)$ Bullish$Alphabet(GOOGL)$   22Dec25 🇺🇸|23Dec25 🇳🇿 📊 My Daily Structure And Technical Read Price Discovery at New Highs I’m watching $TSLA behave exactly how a momentum led breakout should. The stock printed a fresh all time high at $498.93, tagged my $498.8 blue band almost to the cent, and pulled back in a controlled, mechanical way. That response was not emotional selling. It was liquidity being tested and absorbed. 📈 Options Flow and Dealer Positioning There has been a heavy concentration of weekly $500 strike call activity, dominated by sweeps and blocks. Dealers
🚗⚡📈 Tesla Rewrites the Tape at New Highs as $500 Becomes the Market’s Gravity Point 📈⚡🚗
TOPCool Cat Winston: I like how your post frames $Tesla Motors(TSLA)$ through structure rather than noise. The volatility around $500 looks contained, which tells me gamma is doing its job for now. That liquidity pocket above resistance feels real, not speculative. I’m seeing similar momentum dynamics in $NVIDIA(NVDA)$ where flow and positioning matter more than headlines. When regime, structure, and cross-asset strength line up, price usually telegraphs before fundamentals catch up. Let’s go $Direxion Daily TSLA Bull 2X Shares(TSLL)$ 🚀
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Barcode
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12-23

🚨📊🧠 Volatility mispricing beneath the surface, what $AMD and $ORCL are quietly telling us 📊🧠🚨

$Advanced Micro Devices(AMD)$  $Oracle(ORCL)$  $Western Digital(WDC)$  I want to focus on a volatility screen that highlights structural mispricing rather than headline noise. This is not a list of volatile stocks. It is a list of stocks where options have been historically underpriced relative to the actual realised moves in the underlying. The attached table ranks stocks by Volatility Scorecard, with most names clustered between 96 and 100. That immediately tells me implied volatility has repeatedly failed to reflect realised volatility, not occasionally, but ac
🚨📊🧠 Volatility mispricing beneath the surface, what $AMD and $ORCL are quietly telling us 📊🧠🚨
TOPTui Jude: What stood out to me is the cross asset angle. When macro volatility looks calm but single stock dispersion expands, that’s usually where options mispricing shows up. The $Oracle(ORCL)$ mention makes sense to me because perceived stability often hides real momentum shifts. I’ve been watching $Microsoft(MSFT)$ through that same lens, strong structure, heavy earnings sensitivity, and flow not always lining up with realised moves.
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koolgal
·
12-23

The Sleigh Bells Are Ringing: Santa Rally Is HERE!

🌟🌟🌟The Grinch had his run this December, trying to steal our gains with talk of interest rates and geopolitical jitters.  But the market gods and Santa Claus himself have decided - It is time for the Santa Rally! This week the market opened with a palpable holiday cheer, spurred by good tidings from Micron $Micron Technology(MU)$  and a sense that the worst of 2025's volatility is behind us. So the big question on the trading desk: Do we enjoy the upward sleigh ride or is it time to cautiously cut positions and lock in gains? My 2025 Christmas Trading Plan: A Blend of Cheer and Caution  The classic "Santa Rally" is real.  Statistically the last 5 trading days of the year and the first 2 days of
The Sleigh Bells Are Ringing: Santa Rally Is HERE!
TOPManlyboi: Glad to have someone who shares the same spym and es3. New here and silent reading about investment, this monthend i’m planning to add vti but saw you have the vt instead. As a long term dca investor yourself sir, would you say vt would be the better call in choosing those 2?
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Guavaxf30
·
12-23
Michael Saylor has always been saying he will not sell any Bitcoin in his treasury.  By raising new capital and not making any purchases when Bitcoin prices are still in a 12 month low, this can only mean he is expecting Bitcoin price to fall further. That is the only positive reason I can think of for him not to utilise the cash raised by buying more. Or the worst case scenario is MSTR is really running out of operating cash and can't pay dividends promised.  Which means the whole thing about building a Billion plus in cash reserves to pay dividends for the next two years is all bull-shit. Whichever it the truth, one thing for sure is now is not the time to be holding MSTR. Perhaps not even Bitcoin.

Strategy Sells $748M In Stock But Buys Zero BTC—Bad News For MSTR?

Strategy Inc. (NASDAQ:MSTR) sold $747.8 million in stock but bought zero Bitcoin
Strategy Sells $748M In Stock But Buys Zero BTC—Bad News For MSTR?
Michael Saylor has always been saying he will not sell any Bitcoin in his treasury. By raising new capital and not making any purchases when Bitcoi...
TOPdimpy: If MSTR can't even buy the dip, BTC may tank further. Cash crunch signs?[看跌]
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