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338
General
BTS
·
03-06
The precious metals market, especially gold and silver, is at a crossroads in the face of Middle East tensions, with a massive surge fueled primarily by escalating turmoil, leading to big price movements and some profit-taking。。。 With silver showing extreme price swings, its volatility is both a risk and an opportunity, lucrative if timed right but also risky for the unprepared; while "buy the dip" could be a good strategy, it needs careful timing and a solid understanding of market trends Historically, gold is seen as a safe haven in times of crisis, potentially pushing its price higher; however, breaking $5,500 in March would require significant escalation in geopolitical risk, such as rising inflation, a weakened dollar, or a serious economic downturn, making it an unlikely but intrigui

Gold & Silver at a Crossroads! 🚀Will the Precious Metals Rally Continue?

@Tiger_chat
February’s market narrative was largely reshaped by geopolitical turbulence, with Middle East tensions driving fears of global instability. This triggered a flight to safety into precious metals, bolstered by a softening dollar and steady central bank demand.However, this momentum stalled on Tuesday as rising real yields and technical resistance at record highs triggered a wave of aggressive profit-taking.As the market searches for a new floor, here is a breakdown of recent performance and the outlook for 2026.📈 ETF & Asset Performance: The Precious Metals BoomLet’s look at the staggering numbers from recent price action. Volatility is high, but the upward momentum is undeniable.$XAU/USD(XAUUSD.FOREX)$ : +3.4% – Gold remains the ultima
Gold & Silver at a Crossroads! 🚀Will the Precious Metals Rally Continue?
The precious metals market, especially gold and silver, is at a crossroads in the face of Middle East tensions, with a massive surge fueled primari...
TOPdong123: Gold's solid as a haven, silver's swings are risky fun![看涨]
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563
General
Mrzorro
·
03-06
Marvell's Blowout Quarter: Why the Street Is Cheering a $15B Revenue Roadmap Global AI interconnect chip giant $Marvell Technology(MRVL)$   reported its FY2026 Q4 earnings, sending shares up over 14% in after-hours trading. Let's break down what's really inside this report. Three Things to Watch Raised FY27 and FY28 Revenue Guidance, with FY28 EPS Expected Above $5 The real catalyst behind the after-hours surge was management's decision to raise a series of forward-looking targets. FY27 revenue guidance was lifted from $10 billion to $11 billion, with management projecting similarly strong sequential growth in each quarter of the fiscal year, culminating in FY27 Q4 revenue exceeding $3 billion. What excited
Marvell's Blowout Quarter: Why the Street Is Cheering a $15B Revenue Roadmap Global AI interconnect chip giant $Marvell Technology(MRVL)$ reported ...
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297
General
Mrzorro
·
03-06
Why Haven't Gold and Silver Recovered After the Massive Selloff? On March 5, the precious metals market still showed no clear signs of recovery. Spot gold (XAU/USD) $SPDR Gold ETF(GLD)$   fell about 1%, while silver (XAG/USD) $iShares Silver Trust(SLV)$   declined roughly 2.5%. Mining stocks remained under pressure as well. Gold miner $Anglogold Ashanti(AU)$   dropped 4.5%, $Barrick Mining Corporation(B)$   fell 3.4%, while major producers  $Newmont (NEM.US)$ and $Agnico Eagle (AEM.US)$ declined about 2.6% and 4.2%, respec
Why Haven't Gold and Silver Recovered After the Massive Selloff? On March 5, the precious metals market still showed no clear signs of recovery. Sp...
TOPJackJackson: Still no rebound, mate. Dollar strength is killing it.[看跌]
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1.28K
General
Michael Esther
·
03-06

SPY Could Drop 5–10% Soon: 5 Geopolitical & Economic Triggers in Motion

$SPDR S&P 500 ETF Trust(SPY)$ crashes 5–10% in the next 30 days. 5 reasons this could happen: 1. The Iran war is dragging past 5 weeks. Markets priced in a surgical strike and a clean exit. What they are getting is an active conflict with no defined end date. Uncertainty causes chaos. 2. China and Russia are circling. Sri Lanka just allowed an Iranian Navy vessel to dock at Trincomalee one of the most strategically vital deep-water harbors in the Indian Ocean. 48 hours ago Sri Lanka was a bystander. Today it is a party. Every neutral nation that picks a side widens this war. 3. Oil is spiking and infrastructure is burning. Every $10 rise in oil adds 20 basis points to CPI. Oil is already up $15 from recent lows. When refineries, pipelines, and
SPY Could Drop 5–10% Soon: 5 Geopolitical & Economic Triggers in Motion
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859
General
PeterDiCarlo
·
03-06

NVDA sidelined, NFLX trap, DUOL & HIMS await bull cycles, AMR testing support

Market focus remains on selective entries: NVDA sidelined amid potential correction, NFLX shows short-term weakness, while DUOL and HIMS await confirmed bull cycles. Meanwhile, AMR presents a historical bounce opportunity at key support. 1. $NVIDIA(NVDA)$ NVDA flat on the day. As I said last week, I’ve closed all fund positions and shelved the bullish thesis for now. When the Monthly BX is red, it usually signals either compression or a correction. Neither is an environment I want to trade in. 2. $Netflix(NFLX)$ This $NFLX bounce looks like a trap. Big 2-week move up, but THT Monthly BX is still dark red and the short-term trend is down. That combo often leads to another selloff. I’ll wait for our long tr
NVDA sidelined, NFLX trap, DUOL & HIMS await bull cycles, AMR testing support
TOP1PC: Nice Sharing 😁 @DiAngel @Aqa @Shernice軒嬣 2000 @Shyon @koolgal @JC888 @Barcode
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530
General
Trend_Radar
·
03-06

SNOW Pops 5.46% as AI Data Cloud Rally Targets $180 Break

$Snowflake(SNOW)$ Snowflake(SNOW) Surged +5.46%: AI Data Cloud Giant Breaks Resistance, Momentum Builds Latest Close Data Closed at $177.45 (ET 2026-03-05), up +5.46% (+$9.19). The stock is now ~36.8% below its 52-week high of $280.67. Core Market Drivers Strong momentum is driven by continued enterprise demand for its AI and data cloud platform. The company's forward-looking valuation metrics are showing significant compression, potentially indicating a market re-rating based on future profitability expectations. Technical Analysis Volume was solid at 6.96M shares (Volume Ratio 0.66). The MACD histogram turned significantly positive to 3.83, signaling strong bullish momentum as DIF crosses above DEA. The 6-day RSI jumped to 61.15, approaching ove
SNOW Pops 5.46% as AI Data Cloud Rally Targets $180 Break
TOPNEXTTOME: Solid breakout for SNOW! Momentum points to $180 soon.[得意]
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629
General
TRIGGER TRADES
·
03-06

SPX Eyes 6,883–6,915 Resistance as CPI Looms

$S&P 500(.SPX)$ rejected the Daily FVG, but held the weekly low with a bullish SMT vs DJI. The 2nd wave rally likely isn't done. Expecting one more push into the Daily FVG resistance at 6,883–6,915 before the 3rd wave fires. CPI Wednesday is now the likely catalyst. Bearish warning: Daily close below 6,800. Bullish warning: Daily close above 6,915. Invalidation: 7,002. $SPDR S&P 500 ETF Trust(SPY)$ $E-mini S&P 500 - main 2603(ESmain)$ $NASDAQ 100(NDX)$ $Invesco QQQ(QQQ)$ $E-mini Nasdaq 100 - main 2603(NQmain)$
SPX Eyes 6,883–6,915 Resistance as CPI Looms
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443
General
Trend_Radar
·
03-06

INTU Jumps 6% as Rebound Momentum Builds

$Intuit(INTU)$ Intuit Inc.(INTU) Surged +6.05%: Strong Momentum Rebound, Eyes $471-$661 Range Latest Close Data Closed at $466.79 on 2026-03-05, up +6.05% (+$26.65). The price remains ~42.6% below its 52-week high of $813.70. Core Market Drivers The stock experienced a significant rebound, likely fueled by strong technical buying and positive sentiment towards its forward earnings outlook. The surge occurred on elevated volume, indicating renewed institutional interest. There is no specific breaking news in the provided data, suggesting the move is technically driven. Technical Analysis Volume surged to 7.37M shares (Volume Ratio: 1.06), confirming the bullish move. The MACD histogram is strongly positive at +32.07, with DIF (-20.87) rising sharpl
INTU Jumps 6% as Rebound Momentum Builds
TOPZOE011: Solid rebound, INTU's momentum is lit! Keep riding the wave.[看涨]
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432
Selection
ASX_Stars
·
03-06

Weekly | Can WDS, WTC, STO, XRO & REA Extend the Rally After Surge 5%+?

Australia’s stock market ended Friday lower, with the $S&P/ASX 200(XJO.AU)$ dropping roughly 1.0 % to close near 8,851 points. The decline continues a streak of recent weakness as investor sentiment turned cautious due to rising global risks and economic concerns. The surge appears driven by broader ASX trends: a rebound in beaten-down stocks, particularly in energy (due to soaring oil prices from Middle East geopolitical tensions) and tech (following a Wall Street/Nasdaq rally and bargain hunting after recent pullbacks). Energy stocks like WDS and STO benefited from oil spiking to multi-year highs amid supply disruption fears. Tech names like WTC, XRO, and REA saw gains from sector rotation into undervalued growth stocks after February weak
Weekly | Can WDS, WTC, STO, XRO & REA Extend the Rally After Surge 5%+?
TOPpeepie: Solid gains on Aussie tech and energy stocks! Holding for more upside.[看涨]
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4.21K
Selection
Owen_Tradinghouse
·
03-06

The US-Iran War is Escalating—So Why Did I Just Close My Long Oil Trades?

First, let me update you on my recent trading moves. I haven't been particularly active in equities lately; instead, I've maintained a light short position on the Euro and locked in some profits from a crude oil bull calendar spread (buying the near month and selling the deferred month three months out). Currently, my dprofits are entirely concentrated in my futures account. Today, I closed my crude oil calendar spread position, booking a modest profit over the past few days. Remember our trading rule? "Rest during minor volatility, rest during extreme volatility, and no rest when there is no volatility". When a major risk event triggers massive market swings, our best approach in the futures market is to minimize our trade frequency, increase our win rate, and appropriately reduce our pos
The US-Iran War is Escalating—So Why Did I Just Close My Long Oil Trades?
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1.50K
General
逆天邪神云澈
·
03-02
$DUOL 20280121 280.0 CALL$ Optimistic that share price will recover and dun want to sell a covered call that is way below my target price. About 2 years - covered call and get to collect 1600 premium [Miser]  
DUOL CALL
03-02 22:42
US20280121 280.0
SidePrice | FilledRealized P&L
Sell
Open
16.00
1Lot(s)
-3.18%
Holding
Duolingo, Inc.
$DUOL 20280121 280.0 CALL$ Optimistic that share price will recover and dun want to sell a covered call that is way below my target price. About 2 ...
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1.66K
General
JordenTan
·
03-04
$SS SPDR STI ETF(ES3.SI)$ Adding more to the stack at sub $5! thank you ES3 for big dividend in March!
ES3.SI
03-04 16:01
SISS SPDR STI ETF
SidePrice | FilledRealized P&L
Buy
Open
4.81
104
-1.14%
Holding
SS SPDR STI ETF
$SS SPDR STI ETF(ES3.SI)$ Adding more to the stack at sub $5! thank you ES3 for big dividend in March!
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786
General
天行小子
·
03-05
$CSOP HANG SENG INDEX DAILY (-2X) INVERSE PRODUCT(07500)$ 今早火速補回一部份反向ETF,[惊讶]  真係小心駛得萬年船,有冇人跟我買先?
07500
03-05 09:32
HKCSOP HANG SENG INDEX DAILY (-2X) INVERSE PRODUCT
SidePrice | FilledRealized P&L
Buy
Open
1.81
6,000
+1.33%
Holding
CSOP HANG SENG INDEX DAILY (-2X) INVERSE PRODUCT
$CSOP HANG SENG INDEX DAILY (-2X) INVERSE PRODUCT(07500)$ 今早火速補回一部份反向ETF,[惊讶] 真係小心駛得萬年船,有冇人跟我買先?
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697
General
過路人
·
03-05
$Direxion Daily FTSE China Bull 3X Shares(YINN)$ 剛剛見到夜期核爆式上升。我決定博一博。立即追貨。以33.44入。其實我都知有風險。原因是我本身已經持有100股同已經賣put左32同30。但想賺錢。點都要博下[贱笑]  
YINN
03-05 17:17
USDirexion Daily FTSE China Bull 3X Shares
SidePrice | FilledRealized P&L
Buy
Open
33.44
100
--
Closed
Direxion Daily FTSE China Bull 3X Shares
$Direxion Daily FTSE China Bull 3X Shares(YINN)$ 剛剛見到夜期核爆式上升。我決定博一博。立即追貨。以33.44入。其實我都知有風險。原因是我本身已經持有100股同已經賣put左32同30。但想賺錢。點都要博下[贱笑]
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9.88K
General
Miss Vee
·
03-05
$Direxion Daily AAPL Bull 2X Shares(AAPU)$  A new addition to my growing portfolio. Bought the dip at overnight trading. Let's roll [Cool]  [Miser]  
AAPU
03-05 14:06
USDirexion Daily AAPL Bull 2X Shares
SidePriceRealized P&L
Buy
Open
30.23-4.92%
Holding
Direxion Daily AAPL Bull 2X Shares
$Direxion Daily AAPL Bull 2X Shares(AAPU)$ A new addition to my growing portfolio. Bought the dip at overnight trading. Let's roll [Cool] [Miser]
TOPnuzzle: Smart play on the dip! Portfolio growing nicely.[得意]
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3.22K
General
grouperking
·
03-05
$SOFI 20260306 18.0 PUT$ Closed position early to materialise profit. Weekend lunch money collected. 
SOFI PUT
03-05 23:08
US20260306 18.0
SidePrice | FilledRealized P&L
Buy
Close
0.06
10Lot(s)
+72.35%
Closed
SoFi Technologies Inc.
$SOFI 20260306 18.0 PUT$ Closed position early to materialise profit. Weekend lunch money collected.
TOPCynthiaVogt: Solid profit grab! Enjoy the weekend feast.[财迷]
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12.53K
General
3.84K
General
MKTrader
·
03-06
$S 20260313 13.0 CALL$ Earnings play. Expecting good guidance for 2026. Customer expansions has been good. Still a gamble though, don't follow.
S CALL
03-06 00:53
US20260313 13.0
SidePrice | FilledRealized P&L
Buy
Open
1.42
20Lot(s)
--
Closed
SentinelOne, Inc
$S 20260313 13.0 CALL$ Earnings play. Expecting good guidance for 2026. Customer expansions has been good. Still a gamble though, don't follow.
TOPFrancesWesley: Potential upside is there, mate.[看涨]
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2.79K
General
SPACE ROCKET
·
03-06
$CLSK 20260306 10.5 CALL$ Forgot about this order. Ended up taking profit ahead of time.
CLSK CALL
03-06 01:16
US20260306 10.5
SidePriceRealized P&L
Buy
Close
0.09+71.94%
Closed
CleanSpark, Inc.
$CLSK 20260306 10.5 CALL$ Forgot about this order. Ended up taking profit ahead of time.
TOPNEXTTOME: [得意]Lucky break! Profit taken early is still sweet.
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