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SvipS
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03-05 00:53
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Stockjls
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03-05 01:23
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Tiger V
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03-05 08:40
$MSTX 20260320 4.0 PUT$ Strategy's stock price is currently driven by its massive Bitcoin holdings and crypto market sentiment, not its legacy software business, leading to extreme volatility and valuation metrics that are disconnected from traditional fundamentals.
$MSTX 20260320 4.0 PUT$ Strategy's stock price is currently driven by its massive Bitcoin holdings and crypto market sentiment, not its legacy soft...
TOPAh_Meng: You short, you win big… i short, I am still losing… it’s all about timing, which is the challenging part, since it’s all sentiment driven [Facepalm][Spurting]
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AMDidass
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03-05 10:25
$NVIDIA(NVDA)$   it's still having chances to dy! Let's see tonight! $Apple(AAPL)$  this perfect share also giving us chance to buy again! Nothing can stop flying! Gogogo!
$NVIDIA(NVDA)$ it's still having chances to dy! Let's see tonight! $Apple(AAPL)$ this perfect share also giving us chance to buy again! Nothing can...
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mster
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03-05 11:02
$APP 20260618 410.0 CALL$  It has been a wild ride with AppLovin (APP) lately, but I am finally seeing some green on my June long call. After opening this position when the share price was sitting in the low 400s, I had to white-knuckle through a massive drawdown that saw the stock plummet from its recent high of about $745.61 down to a mid-February low near $357. That is a staggering 52% drop in just a couple of months, fueled by a perfect storm of an SEC investigation, short-seller attacks, and fears over Google’s new AI game-creation platform. Even after reporting record Q4 results in February, the stock faced heavy selling pressure as the market weighed regulatory risks and new competition like CloudX. I am feeling mu
$APP 20260618 410.0 CALL$ It has been a wild ride with AppLovin (APP) lately, but I am finally seeing some green on my June long call. After openin...
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mster
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03-05 12:56
$IONQ Inc.(IONQ)$   I just watched IONQ make a serious statement this week as the share price gapped up and reclaimed the $40 level following a massive earnings beat. It is incredibly rare to see this kind of momentum in the deep-tech space, but reporting $61.9 million in quarterly revenue—a 429% year-over-year jump—completely shattered expectations and proved that commercial demand for trapped-ion technology is scaling much faster than the skeptics thought. IONQ officially became the first pure-play quantum company to surpass $100 million in annual GAAP revenue and even posted a GAAP net income of $753.7 million for the quarter. While much of that profit came from a non-cash gain on warrant liabilities, the fac
$IONQ Inc.(IONQ)$ I just watched IONQ make a serious statement this week as the share price gapped up and reclaimed the $40 level following a massi...
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MillionaireTiger
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03-05 17:48

[Winning Trade] How One Investor Made $16,871 Holding SPYM

Investing is exhausting—not just because you can lose money, but because you’re constantly second-guessing yourself: What should I buy? Should I sell? Should I switch strategies again? If you keep jumping around, emotions end up running your portfolio—today it’s inflation, tomorrow it’s rate cuts, next week it’s scary headlines. For most people, the simplest way to win long term is also the most boring: stick with the U.S. market and hold through the ups and downs. Some Tigers were already in position: 👏 @MedinaFamily — SPYM $16,871. The S&P 500 is basically a basket of the 500 biggest U.S. companies (Apple, Microsoft, Amazon… etc).Over time, it tends to go up because: U.S. companies keep growing profits Money keeps flowing into th
[Winning Trade] How One Investor Made $16,871 Holding SPYM
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538
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Mrzorro
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03-04 16:24
Marvell Earnings Preview: Can XPU and Interconnect Break Through the Vacuum? Global AI interconnect chip giant $Marvell Technology(MRVL)$   is set to report its FY2026 Q4 earnings after the market close this Thursday. Last quarter, the company guided that its XPU business would ramp meaningfully in FY28, and the market largely accepted that timeline. However, the period between now and FY28 remains an earnings vacuum, making it critical to watch whether management upgrades its guidance this time around. Q4 Core Financial Indicators – Revenue consensus stands at $2.26 billion, up 21% year over year and 6% quarter over quarter. The company's prior guidance was $2.2 billion. – GAAP gross margin consensus is 51
Marvell Earnings Preview: Can XPU and Interconnect Break Through the Vacuum? Global AI interconnect chip giant $Marvell Technology(MRVL)$ is set to...
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Mrzorro
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03-04 16:32
Oil Price to $100? Polymarket Ceasefire Bets Crash to 35% and USO Options Pop Polymarket prediction markets show only a 35% chance of a Iran-US ceasefire by March 31, though odds improve to 69% by June 30. This uncertainty has sent shockwaves through oil price, with $WTI Crude Oil - main 2604(CLmain)$   surging over 12% in this week as the conflict intensifies. Energy majors have posted impressive year-to-date gains, including $Occidental(OXY)$   up 30%, $Chevron(CVX)$   up 23%, $Petroleo Brasileir
Oil Price to $100? Polymarket Ceasefire Bets Crash to 35% and USO Options Pop Polymarket prediction markets show only a 35% chance of a Iran-US cea...
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Mrzorro
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03-04 16:51
Hedging the Oil Shock: What Smart Money Is Signaling in Tech, Gold and China Escalating tensions in Iran have pushed crude oil prices sharply higher, prompting markets to reprice imported inflation risk. As oil surged, U.S. equity indices pulled back, technology and Chinese ADR stocks came under pressure, and gold and silver sold off sharply. Recent options activity suggests institutional investors have begun proactively reducing risk exposure and managing volatility. Three options trades in $Alphabet(GOOGL)$  , $Newmont Mining(NEM)$  , and $JD.com(JD)$  
Hedging the Oil Shock: What Smart Money Is Signaling in Tech, Gold and China Escalating tensions in Iran have pushed crude oil prices sharply highe...
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koolgal
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03-04 17:15

The MiniMax Paradox: Why "Mini" Means "Max"

🌟🌟🌟In the Fire Horse market of 2026, the real winners are not just building the biggest AI brain but the most efficient worker.  The word Minimax is the ultimate financial pun:  Mini in resource consumption but Maximum in intelligence and revenue velocity.  While the Tech Giants are burning billions on expensive GPUs, $MINIMAX-WP(00100)$ has officially broken the "all hype, no profits" curse. MiniMax's Earnings Report: 158.9% Revenue Surge  The 2025 Earnings Report was a masterclass in commercial speed. The Revenue Leap:  Total revenue hit USD 79.04 million - a 158.9% YoY jump, shattering all analyst expectations. The M2 Miracle: Average daily token consumption for the M2 series in February 2026 surged 600% compared
The MiniMax Paradox: Why "Mini" Means "Max"
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Lanceljx
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03-04 18:19
The observation is consistent with what typically happens after geopolitical spikes. When conflict risk stabilises, the “war premium” in gold often fades first, while silver may continue rising if industrial demand remains strong. --- 1. Is this the time to take profit on gold? Not necessarily full profit taking, but partial trimming can be reasonable. Gold’s recent surge was driven by three forces: 1. Geopolitical hedge (Middle East tensions) 2. Central bank buying 3. Rate-cut expectations If the US–Iran situation de-escalates, the first driver could unwind quickly. A 3–5% retracement mentioned by JPMorgan is historically typical after war-risk spikes. Near-term levels: Short-term support: ~$5,200–5,300 Deeper consolidation: ~$5,000 Upside extension: ~$5,800–6,000 (if geopolitical risk pe
The observation is consistent with what typically happens after geopolitical spikes. When conflict risk stabilises, the “war premium” in gold often...
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266
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Lanceljx
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03-04 18:21
A sharp rise in the CBOE Volatility Index typically signals stress rather than an immediate bottom. Whether it becomes a “buy-the-dip” opportunity or the start of a deeper correction depends on what is driving the volatility. --- 1. Interpreting the VIX spike The VIX measures expected volatility for the S&P 500 over the next 30 days through options pricing. Historically: VIX Level Market Interpretation 15–20 Normal market conditions 20–30 Rising uncertainty 30–40 Panic / sharp correction >40 Capitulation territory A surge often occurs during the middle of sell-offs, not always at the final bottom. True bottoms usually form when volatility spikes and then quickly reverses lower. --- 2. Why the market is nervous now The sell-off appears to be driven by a combination of macro and valua
A sharp rise in the CBOE Volatility Index typically signals stress rather than an immediate bottom. Whether it becomes a “buy-the-dip” opportunity ...
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Elliottwave_Forecast
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03-04 18:37

Elliott Wave Analysis SPX Targets Recovery in 3 Waves at Least

Short-term Elliott Wave analysis indicates that the rally to 7002.28 on January 28, 2026 marked the completion of wave 1. Following this advance, the market entered a corrective phase. The wave 2 pullback recently concluded at 6712, as illustrated in the one-hour chart. This decline corrected the cycle that began from the November 21, 2025 low, and its internal subdivisions unfolded in a double three structure, a common corrective pattern within Elliott Wave theory. From the peak of wave 1, the first leg lower, wave ((w)), ended at 6780.13. A subsequent rally formed wave ((x)), which terminated at 6993.48. The final leg, wave ((y)), pushed lower and ended at 6712.08. This level aligns with the 100%–161.8% Fibonacci extension of wave ((w)), measured at 6629–6768, reinforcing its significanc
Elliott Wave Analysis SPX Targets Recovery in 3 Waves at Least
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xc__
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03-04 22:36

Panic Hits Wall Street: VIX Skyrockets – Buy Now or Brace for Bear? 📉💥

$Cboe Volatility Index(VIX)$ Wall Street's fear gauge just exploded to 23.31, marking its biggest jump in months amid escalating geopolitical chaos from U.S.-Israeli strikes on Iran. Oil prices rocketed higher, bonds got hammered, and equities took a brutal hit – S&P 500 down sharply, Dow shedding over 1,000 points in a single session, Nasdaq leading the plunge as tech giants crumbled. 😱 But is this just a much-needed reset after the AI-fueled rally, or the opening act of a brutal downturn that could slash valuations across the board? Let's break it down step by step. First, the trigger: Weekend airstrikes lit a fire under global markets, sending crude oil up nearly 10% and flipping the switch to full risk-off mode. Gold smashed through $5,400
Panic Hits Wall Street: VIX Skyrockets – Buy Now or Brace for Bear? 📉💥
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Mrzorro
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03-04 22:47
Oil Breaks Out: JPMorgan and Goldman Sachs Reveal What Comes Next Oil has been one of the standout performers of 2026, quietly — and then suddenly, not so quietly — becoming the trade everyone wished they had on. Year-to-date, energy-related assets have surged: the $Energy Select Sector SPDR Fund(XLE)$   is up over 20%, with crude oil tracker $United States Oil Fund LP(USO)$   and majors $Exxon Mobil(XOM)$   and $Chevron(CVX)$   posting similarly impressive gains.
Oil Breaks Out: JPMorgan and Goldman Sachs Reveal What Comes Next Oil has been one of the standout performers of 2026, quietly — and then suddenly,...
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xc__
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03-04 22:50

DBS Stock Crash: Scoop Up Shares Before They Skyrocket? 🔥📉

$UOB(U11.SI)$ $OCBC Bank(O39.SI)$ $DBS(D05.SI)$ Singapore's market is shaking things up big time! The STI just tanked another 2%, dragging the big banks down with it. DBS, OCBC, and UOB all took hits, but DBS is stealing the spotlight—dropping to around $55 SGD and whispering rumors of a slide to $50. Is this the perfect storm to buy the dip, or should you hold your horses for even lower prices? Let's dive deep into the chaos and uncover if now's your golden ticket to riches. 💰🚀 First off, what's fueling this freefall? Global jitters from interest rate tweaks and economic slowdown fears are hammering banks worldwide. For DBS, net interest margins are squeez
DBS Stock Crash: Scoop Up Shares Before They Skyrocket? 🔥📉
TOP1PC: Nice Sharing 😊 @Shernice軒嬣 2000 @Shyon @DiAngel @Aqa @koolgal @JC888 @Barcode
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Barcode
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03-05 03:17
$Target(TGT)$ $Costco(COST)$  $Wal-Mart(WMT)$  🎯📉 Target Cuts Bonuses for a Second Year as Margins Take Priority 📈🧠 $TGT is reducing salaried employee bonuses to 75% of target for the second consecutive year while battling weaker sales and ongoing profit pressure. The market reaction speaks volumes. 📈 Stock up +1.3%. I view this not as a compensation footnote but as a capital discipline statement. Management is signalling that earnings durability outweighs top-line ambition in the current consumer regime. In this cycle, cost containment is being rewarded more than growth acceleration. 📊 Earnings Context: Soft Demand, Stronger Execution The lates
$Target(TGT)$ $Costco(COST)$ $Wal-Mart(WMT)$ 🎯📉 Target Cuts Bonuses for a Second Year as Margins Take Priority 📈🧠 $TGT is reducing salaried employe...
TOP1PC: Nice Sharing 😁 @JC888 @Shernice軒嬣 2000 @Shyon @DiAngel @Aqa @koolgal
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BTS
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03-05 03:19
$NVIDIA Corp(NVDA)$   As Iran turmoil makes Gold and Oil soar amid geopolitical smoke, commodities solidify as the ultimate safe haven; consequently, investors fear a March crash repeat as Brent Crude incorporates a significant risk premium from supply threats。。。 The Black Swan military strikes rewarded investors using Gold or Oil as a "parachute" in the face of the Iran crisis; a diversified portfolio with energy and precious metals proved key to hedging against equity declines The "drop on good news" of NVIDIA (NVDA) highlighted the dangers of expectation gaps in a market frenzy, showing how overextended bulls fall victim to price swings; this warns to stay vigilant when technical resistance and overbought levels signal a potential bul

February Recap: Gold & Oil Soar Amid Geopolitical Smoke! Will March Crash Repeat?

@Tiger_comments
The market narrative for February was completely rewritten in its final hours by geopolitical turbulence. Moving from early-month AI mania to a late-month "safe-haven" mode. 📉 Index Performance: A "Late-Winter Chill" for Tech $NASDAQ(.IXIC)$ : -3.38% – The epicentrer of the sell-off; late-month "panic selling" amplified the decline. $S&P 500(.SPX)$ : -0.87% – This marks the largest monthly drop in nearly a year. (Context: The last major crash was in March of last year at -5.75%. Will history repeat itself this March?) $Dow Jones(.DJI)$ : +0.17% – Bucking the trend, the Dow showed extraordinary resilience thanks to energy and traditional industrial sectors. I
February Recap: Gold & Oil Soar Amid Geopolitical Smoke! Will March Crash Repeat?
$NVIDIA Corp(NVDA)$ As Iran turmoil makes Gold and Oil soar amid geopolitical smoke, commodities solidify as the ultimate safe haven; consequently,...
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Barcode
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03-05 03:33
$Gold.com(GOLD)$ $Global X Silver Miners ETF(SIL)$  $CME Bitcoin - main 2603(BTCmain)$  🌍⚔️📊 Geopolitical Escalation: Bitcoin’s Post-Strike Resilience vs Gold & Silver Volatility 📊⚔️🌍 Structural Reserve Shift or Tactical Liquidity Rotation? Since the late February 2026 US–Israel strikes on Iran and the confirmed death of Ayatollah Ali Khamenei, markets have transitioned through three clear phases: ⚡ Shock 💥 Liquidation 🔁 Re-pricing 📊 Performance Since Escalation Began 🟣 Bitcoin: +12.25% 🔵 Gold: -3.14% 🟢 Silver: -12.03% The 5-minute CME futures overlay highlights the divergence clearly. 🟣 Bitcoin flushed aggressively toward $63,000 ami
$Gold.com(GOLD)$ $Global X Silver Miners ETF(SIL)$ $CME Bitcoin - main 2603(BTCmain)$ 🌍⚔️📊 Geopolitical Escalation: Bitcoin’s Post-Strike Resilience...
TOP1PC: Nice Sharing 😁 @DiAngel @Aqa @koolgal @JC888 @Shyon @Shernice軒嬣 2000
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