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422
General
PeterDiCarlo
·
03-12 16:50

$QQQ Models Turn Bearish as Monthly BX Flips Red

Both my models are bearish on $Invesco QQQ(QQQ)$ 🔴 Monthly BX is now red, which is the first‑principles signal for these models. Trend is still trying to hold, but it’s fighting a massive volume block on the THT volume profile with a big air pocket sitting right below it. I want the market to push to new all‑time highs as much as anyone, but being objective my base case here is a rejection in the next week and a multi‑week to multi‑month selloff. Best case I see a move toward 560, but more realistically I’m eyeing 540 as the magnet. As I said yestorday: Heading into tomorrow’s inflation data and this still looks like a trap on $QQQ. Monthly BX remains bearish. Most bounces from here have led to lower highs and more selling. Price is also pushing in
$QQQ Models Turn Bearish as Monthly BX Flips Red
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332
General
Shyon
·
03-12
In my view, the coordinated reserve release by the Group of Seven and the International Energy Agency can calm markets temporarily. As long as disruptions continue around the Strait of Hormuz, the physical flow of oil remains the key factor. Strategic reserves can smooth volatility, but if the blockade drags on, prices could still move higher again. For my portfolio, I’m not rotating fully into defensive assets. Yields and energy dividends look attractive, but long-term growth themes—especially AI leaders like Nvidia—still remain strong. I see geopolitical volatility more as a temporary dislocation, so I prefer staying balanced and selectively adding quality tech during dips. Looking ahead, the biggest driver will be geopolitics. If shipping through the Strait of Hormuz normalizes, risk a
In my view, the coordinated reserve release by the Group of Seven and the International Energy Agency can calm markets temporarily. As long as disr...
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370
General
Shyon
·
03-12
From my perspective, the massive AI-driven backlog at Oracle $Oracle(ORCL)$ shows strong customer demand for AI infrastructure. A $553B RPO signals long-term contracts and real market confidence. However, backlog is still future revenue, so the key question is whether the company can execute and deliver that capacity over the coming years. At the same time, the financial pressure is real. With heavy CapEx and over $100B in liabilities, Oracle is making a big bet on the AI data-center cycle. The positive sign is that some contracts involve customer prepayments or customer-funded GPUs from partners like Nvidia, which helps reduce financing risk. Overall, I think the market may still underestimate Oracle’s pricing power in AI infrastructure. If dem
From my perspective, the massive AI-driven backlog at Oracle $Oracle(ORCL)$ shows strong customer demand for AI infrastructure. A $553B RPO signals...
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583
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Shyon
·
03-12
My stock in focus today is $NIO Inc.(NIO)$ $NIO Inc.(NIO.SI)$ $NIO-SW(09866)$ as the company targets its first profitable quarter in Q4 2025. If achieved, it would become one of the few pure EV makers to reach profitability after Tesla. Deliveries reached 326,000 vehicles in 2025, up 47% year-over-year, pushing cumula
My stock in focus today is $NIO Inc.(NIO)$ $NIO Inc.(NIO.SI)$ $NIO-SW(09866)$ as the company targets its first profitable quarter in Q4 2025. If ac...
TOPsnipey: With their premium focus, NIO should sustain profits if execution stays strong.[看涨]
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koolgal
·
03-12 15:00
🌟🌟In the high stakes theatre of 2026, choosing between TACO and HALO is like choosing between a roller coaster & a bunker. TACO is for adrenaline junkies.  It is the art of watching a policy explosion in the news, waiting for the inevitable U turn & buying the dip while everyone else is panicking.  It is profitable but it may give you grey hair. HALO which stands for Heavy Assets, Low Obsolescence is the "grown up" in the room.  It is for those who want to sleep well at night. A good Halo ETF for me is $SPDR Portfolio S&P 500 High Dividend ETF(SPYD)$ .  SPYD's portfolio real estate and utilities is exactly the kind of Heavy Asset
🌟🌟In the high stakes theatre of 2026, choosing between TACO and HALO is like choosing between a roller coaster & a bunker. TACO is for adrenaline j...
TOPquixi: Spot on! HALO with SPYD is pure genius for steady gains.[强]
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226
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DKim
·
03-11
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521
General
Stayclose
·
03-11
$Direxion Daily TSLA Bull 2X Shares(TSLL)$  $Tesla Motors(TSLA)$   Made this trade using Cash Boost Account (CBA) @Tiger_Contra  @CashBoost  @TigerStars  @Tiger_CashBoostAccount   Support / Resistance 📈📉: Support: $402, $394-396, $387 Resistance: $402, $408 (?), $414.5 Outlook 📝: TSLA opened above $402 today, and blasted over $408. If TSLA manage to hold $408, we may be able to see more short term relief towards $414.5. If TSLA manage to also break
$Direxion Daily TSLA Bull 2X Shares(TSLL)$ $Tesla Motors(TSLA)$ Made this trade using Cash Boost Account (CBA) @Tiger_Contra @CashBoost @TigerStars...
TOPWendyDelia: Solid trade lah! Holding through paid off big time.[强]
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156
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AppleSeed
·
03-12
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854
General
Shyon
·
03-12 15:18
In my view, Netflix $Netflix(NFLX)$ walking away from the $82.7B acquisition is a classic case of risk removal unlocking valuation. For months the market priced in concerns like higher debt, integration risk, and regulatory delays. Once the deal was dropped and buybacks resumed, that uncertainty disappeared quickly. 📈 The $2.8B breakup compensation also strengthens the story. Instead of spending heavily on an acquisition, Netflix adds a meaningful cash buffer while keeping flexibility. That signals management is focused on capital discipline and shareholder returns. 💰 So I lean toward Option A — risk removal = more upside. The rally looks like the first stage of valuation repair after the stock fell nearly 20% during the uncertainty period. If e
In my view, Netflix $Netflix(NFLX)$ walking away from the $82.7B acquisition is a classic case of risk removal unlocking valuation. For months the ...
TOPIrmaBurke: Spot on! Risk removal unlocked Netflix's true potential. Bullish on the rebound. 🚀
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780
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Michael Esther
·
03-12 16:28

Will $SPY Hold Above $680 While $QQQ Tests Key $605 Support?

$SPDR S&P 500 ETF Trust(SPY)$ has been ripping since it bounced off $660 on Monday due to Trump's positive comments about the war at 2pm EST. SPY hit a high $683.36 last night. On the way back down towards $680 it broke the uptrend for the first time in 2 days here. For today, it will have fight to stay above $680 to continue it bullish move. If it breaks down below $675 then $671-$672 is my target. CPI data fairly flat for February but it won't be for March and the market knows this. The war on IRAN and US is still going on the strait of hormuz is still closed. This still causes uncertainty for what will happen on FOMC on March 18. Which I think right now it will be hawkish. SPY can’t find direction as crude pushes toward $90 due to escalating
Will $SPY Hold Above $680 While $QQQ Tests Key $605 Support?
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641
General
mster
·
03-12 14:23
$APP 20260618 410.0 CALL$  Looks like APP is pulling back again.   Likely will get out of this call and re-enter when APP finds the next support level Likely at about 445.  
$APP 20260618 410.0 CALL$ Looks like APP is pulling back again. Likely will get out of this call and re-enter when APP finds the next support level...
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145
General
Trend_Radar
·
03-12 16:06

Can $SXTP Sustain the Momentum After a 71% Breakout Rally 🚀?

$60 degrees pharmaceuticals, Inc.(SXTP)$ 60 Degrees Pharmaceuticals (SXTP) Explodes +71.28%: Short Squeeze Rocket Ignites, Eyes $3.47+ Latest Close Data: SXTP closed at $3.22 on Mar 11, 2026, surging a massive +71.28% from the previous close of $1.88. The stock is still 81.8% below its 52-week high of $17.68. Core Market Drivers: The dramatic price action appears driven by extreme technical factors rather than specific news. The massive 4451.87% turnover rate and a daily volume ratio of 1019.03 indicate frenzied trading, likely fueled by a powerful short squeeze, as the price blasted through prior resistance levels. Technical Analysis: Indicators are snapping back from deeply oversold levels, confirming the explosive move. The 6-day RSI rocketed f
Can $SXTP Sustain the Momentum After a 71% Breakout Rally 🚀?
TOPJesseBerkeley: SXTP's rally is lit! Holding for the next surge? 🚀
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Trend_Radar
·
03-12 15:51

$SAFX Soars 74% as Explosive Volume Pushes the Stock Toward $0.50

$XCF Global Inc(SAFX)$ XCF Global Inc(SAFX) Soared +74.50%: Explosive Volume Breakout, $0.50 High Latest Close Data Closed at $0.4982 on Mar 11, surging +74.50% with a massive 72.4% intraday range. The price is now 98.9% below its 52-week high of $45.90. Core Market Drivers The stock experienced a massive surge on extremely high volume (128M shares), with a turnover rate of ~55%. The significant price action appears to be driven by a potential short squeeze, as evidenced by the high short volume ratio in recent days (e.g., 9.83% on Mar 9). The company's financials show a high ROE (1325.83%) but a negative ROA (-8.53%), indicating a leveraged and volatile financial structure. Technical Analysis The move was accompanied by explosive volume (Volume R
$SAFX Soars 74% as Explosive Volume Pushes the Stock Toward $0.50
TOPblimpy: Wah SAFX damn rocket today lah! Volume explosion[哇塞]
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Selection
Value_investing
·
03-12 15:29

Korean Stocks in Turmoil: Buy the Dip or Exit Korea ETFs?

On February 28, a joint US–Israel military strike against Iran triggered severe turbulence across global capital markets. Among all markets, the reaction in South Korea was the most dramatic. Because of the Independence Movement Day holiday, the Korean stock market was closed on March 2. When trading resumed on March 3, the KOSPI index plunged rapidly, triggering a circuit breaker during the session and ultimately closing down 7.24%. Panic quickly spread. On March 4, the KOSPI plunged again, crashing 12.06% in a single day—marking the largest one-day decline in its history and shocking global investors. Before investors could recover from the selloff, the KOSPI suddenly reversed course. On March 5, the index surged more than 12% intraday and ultimately closed up 9.63%, its biggest one-day
Korean Stocks in Turmoil: Buy the Dip or Exit Korea ETFs?
TOP666huat666: if it's a big position on Korea semi then just reduce. if you bought earlier at the bottom or small position just keep holding.
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411
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Tiger_Merch
·
03-12 15:16

Gain Keycap Light

Charts move all day — but your focus shouldn’t fade.This Gain Keycap Light is more than just a desk accessory.It’s a small reminder to stay focused, motivated, and disciplined while trading.✅ Desigined for Focus"GAIN" keycap design: a simple tap as a reminder to stay consistent."Press to Compound" : inspired by the concept of long-term growth.Satisfying click sound: a tactile way to help you reset and refocus.✅ Stylish & PremiumOversized keycap design with a clean, high-quality finishA simple yet distinctive addition to any trading or office desk✅ Designed for Everyday UseFits naturally into your daily routineWhether you're trading at your desk or winding down in the bedroom, it provides soft, comfortable light.Its gentle glow also works well as a night light when you're about to sleep
Gain Keycap Light
TOPHiTALK: Brilliant idea for traders! Keeps us disciplined lah.[看涨]
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nerdbull1669
·
03-12

Oracle Debt Largely Overblown, Oracle Secured "Goldilocks" Position

$Oracle(ORCL)$ ’s fiscal Q3 2026 earnings (reported March 10, 2026) were a watershed moment, marking the first time in over 15 years that both organic revenue and non-GAAP EPS grew by more than 20%. The massive $553 billion backlog (Remaining Performance Obligations, or RPO) is the primary driver of the stock's 8%+ jump, as it provides a multi-year "moat" of guaranteed demand. Earnings & Guidance: The $90 Billion North Star The earnings signal a definitive shift from "legacy database company" to "AI hyperscaler." Massive Backlog: The RPO surged to $553 billion, up 325% year-over-year. This was driven by several "mega-deals," most notably a $300 billion cloud infrastructure partnership with OpenAI. Revised Outlook: Oracle raised its fiscal 2027
Oracle Debt Largely Overblown, Oracle Secured "Goldilocks" Position
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563
General
Emotional Investor
·
03-12
Taco or halo, idc. I started a position in a few oil and gas stocks about a month ago. Others like $Venture Global, Inc.(VG)$  and $Exxon Mobil(XOM)$  I've been in for a while. I'd didn't invest because of the potential war with Iran. My investment thesis was to get into some stocks that paid an ok dividend that had a history of growing over time. I also wanted to replace my private equity dividend stocks (that I think are now high risk) with less risky options. Additionally I wanted to smooth out the volatility in my growth stocks. i mean in January this year I was up $7k, in February down $8k.  Luckily, and I do mean by pure luck. I was starting new positions when oil was betw
Taco or halo, idc. I started a position in a few oil and gas stocks about a month ago. Others like $Venture Global, Inc.(VG)$ and $Exxon Mobil(XOM)...
TOPjoozy: Smart move to mining stocks! Silver's undervalued indeed.[看涨]
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koolgal
·
03-12 13:10
🌟🌟🌟TACO vs HALO :  Which Trade Do I Trust  TACO and HALO are 2 prominent market acronyms describing contrasting investment behaviours: TACO is focused on political volatility while HALO is long term AI proofing and defensive stability. TACO: Trump Always Chickens Out Coined by Financial Times journalist Robert Armstrong, this term describes a recurring pattern where aggressive policy announcements trigger a market dip, followed by a tactical retreat that fuels recovery. How to trade TACO:  Investors using this strategy typically buys into the initial dip caused by political rhetoric, betting that the eventual policy U-turn will restore asset prices.  Note that this is not a scientific model and relies on unpredictable behavioural finance. HALO: Heavy Assets Low Obsolesc
🌟🌟🌟TACO vs HALO : Which Trade Do I Trust TACO and HALO are 2 prominent market acronyms describing contrasting investment behaviours: TACO is focuse...
TOPdropppie: HALO's solid for dividends, anchors in chaos.[看涨]
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Selection
OptionsAura
·
03-12 13:10

USO rushes higher again, this bearish strategy is more stable

On March 12th, the situation in the Middle East escalated again, and the market's worries about the disturbance of Gulf shipping and the tightening of crude oil supply rose rapidly, and the international oil price rose sharply. Affected by this, crude oil-related assets have once again become the focus of the market, risk assets are under pressure as a whole, and funds have returned to the main trading line of "supply shock-rising oil prices-rising inflation worries". Corresponding to$United States Oil Fund LP (USO) $Although the short-term trend is still strong, after the continuous sharp rise, the price has risen obviously, and the implied volatility is at an extremely high position. The option chain you gave shows that the current IV of USO has rea
USO rushes higher again, this bearish strategy is more stable
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