Top 3 Stocks for Day Trading on 6 Nov 2025 (CBA)

1. NVIDIA (NVDA)


Price Action (5 Nov):

Closed at $195.21 (-1.75%) , volatile intraday range ($194.65–$202.92).

Pre-market: $197.41 (+1.1%) , suggesting short-term bullish momentum.


Key Levels:

Support: $194.65 (5 Nov low) → Critical breakdown level.

Resistance: $198.77 (6 Nov open) → Break above signals bullish reversal.

20-day EMA: $198.69 (immediate resistance).


Volume & Sentiment:

High volume (171M shares, 0.83x ratio) confirms selling pressure.

Short volume spiked to 15.17M shares (8.03% of total) on 4 Nov.

Bearish divergence: Price decline vs. RSI (43) nearing oversold.


Catalysts:

White House confirms Blackwell AI chip export ban to China.

SK Hynix secures HBM4 supply deal; potential supply-chain tailwinds.


Trade Setup (Breakout):

Entry: Above pre-market high $197.5 (confirmed momentum).

TP1: $202.92 (5 Nov high, +2.8%).

TP2: $207.04 (resistance, +5.1%).

SL: Below $194.65 (-1.5%).


Risk/Reward : 1:3.




2. Microsoft (MSFT)


Price Action (5 Nov):

Closed at $507.16 (-1.39%) , near session low ( $506.57 ).

Pre-market: $506.81 , flat.


Key Levels:

Support: $505.67 (critical; breach triggers sell-off).

Resistance: $509.67 (5 Nov resistance).


Volume & Sentiment:

Lower volume (23M shares, 0.75x ratio) signals weak bearish conviction.

MACD bearish crossover; RSI neutral at 48.


Catalysts:

AI valuation concerns weigh on tech sector.

Institutional outflow: -$245M net 5-day capital flow.


Trade Setup (Range Play):

Entry: Near support $506.57 (5 Nov low).

TP: $514.83 (5 Nov high, +1.6%).

SL: Below $505.67 (-0.2%).


Risk/Reward : 1:8.




3. Apple (AAPL)


Price Action (5 Nov):

Closed flat at $270.14 (+0.04%) , narrow range ( $266.93–$271.70 ).

Pre-market: $269.7 (-0.16%) .


Key Levels:

Support: $266.93 (5 Nov low).

Resistance: $270.21 (critical breakout level).


Volume & Sentiment:

Moderate volume ( 43.68M shares , 0.71x ratio).

Neutral RSI (52) ; MACD hints at bearish momentum.


Catalysts:

Rumors of budget MacBook launch targeting Chromebook users.

Short-term options show mixed sentiment.


Trade Setup (Breakout/Reversal):

Entry: Above $270.21 (resistance).

TP: $275 (psychological level, +1.8%).

SL: Below $266.93 (-1.2%).


Risk/Reward : 1:1.5.




Overall Market Context

Tech sector headwinds: Michael Burry's NVDA short bet , Fed policy uncertainty , and stretched valuations .

Volume correlation: NVDA's high-volume drop vs. MSFT/AAPL's lighter selling suggests selective pressure. 

Disclaimer: Investing carries risk. This is not financial advice. The above content should not be regarded as an offer, recommendation, or solicitation on acquiring or disposing of any financial products, any associated discussions, comments, or posts by author or other users should not be considered as such either. It is solely for general information purpose only, which does not consider your own investment objectives, financial situations or needs. TTM assumes no responsibility or warranty for the accuracy and completeness of the information, investors should do their own research and may seek professional advice before investing.

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