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    • OqlivnewsOqlivnews
      ·04-15 10:36
      Is $Robinhood(HOOD)$ finally breaking its downward trend? 
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      ·03-26
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    • OqlivnewsOqlivnews
      ·03-25
      US-Israel hits gas pipeline again 
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    • OqlivnewsOqlivnews
      ·03-23
      $SPDR Gold ETF(GLD)$  entered bear marker at -22% 
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    • OqlivnewsOqlivnews
      ·03-22
      5 stocks I am watching next week 
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    • OqlivnewsOqlivnews
      ·03-21
      US 10y yield hit 4.3% this is not going to end well for stock market 
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    • OqlivnewsOqlivnews
      ·2025-12-22
      My #1 watch for 2026: $Toronto-Dominion Bank(TD)$  Not a momentum lottery ticket — more of a “quality + mean reversion” setup: • Base: strong deposit franchise + big North America footprint • Catalyst: normalization + capital return (buybacks/dividend growth) can drive a re-rating if execution stays clean • Plan: I’ve mapped key levels + a cut-loss rule so it’s not guesswork Full top-5 picks + levels here: https://www.patreon.com/posts/146226796?utm_campaign=postshare_creator
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    • OqlivnewsOqlivnews
      ·2025-05-22
      Palantir (PLTR) dropped -4% yesterdy$Palantir Technologies Inc.(PLTR)$  , but the options market tells a different story… Massive call volume at $130 (35K contracts) Put wall building at $120 (38K contracts) Retail may be worried—but the flow suggests positioning for a breakout, not a breakdown. And if Wedbush’s Dan Ives is right… $1T valuation = 245% upside. Who’s bluffing—options whales or the bears? Source: www.oqliv.com
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    • OqlivnewsOqlivnews
      ·2025-05-21
      Whales circling $GEV 📈 $450C just jumped +118% • +$69.8K in new call flow • Exp: May 23 — short fuse • Timestamp: May 20, 16:32 EDT Smart money’s betting on a pop$GE Vernova Inc.(GEV)$   Source: www.oqliv.com
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    • OqlivnewsOqlivnews
      ·2025-05-19
      Moody’s Just Downgraded the U.S.—Why Markets Shrugged It Off (For Now) TL;DR 2011 (S&P): Crash. 2023 (Fitch): Grind down. 2025 (Moody’s): Nothing… yet. We’re either numb — or early. Time will tell I’m eyeing institutions as hard as I can using www.oqliv.com We’ve been here before. But this time, it feels different — at least on the surface. Moody’s just cut the U.S. credit rating in May 2025, but markets barely reacted. If you’re wondering why things feel calmer than in past downgrades, let’s line up the historical playbook Read details: https://blog.oqliv.com/post/market-is-shrugging-off-moodys
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