$Global X Nasdaq 100 Covered Call ETF(QYLD)$ QYLD Update: Dividend Gains and Dollar-Cost Averaging Strategy 📊 Dividend Collection 💰 I recently received a $0.338 dividend per share from QYLD, adding consistent income to my portfolio. QYLD continues to be a reliable source of cash flow, even during market fluctuations. Price Movement: Red Day Opportunity 📉 On a red day, QYLD fell from $18.81 to $18.35. Recognizing the dip as an opportunity, I applied a dollar-cost averaging (DCA) strategy to buy more shares. By purchasing at this lower price, I aim to reduce my overall average cost and position myself for future recovery and growth. Why Dollar-Cost Averaging? 🛠️ This approach helps to smooth out market volatility by accumulating shares at diffe
Daily Charts - Gold had a storming run in 2024, up about 26%
1.Gold $Gold - main 2502(GCmain)$ had a storming run in 2024, up about 26% ...but so did stocks (up about the same YTD)Result = range-trade-for-longer and no resolution of that epic 30-year triangle pattern in the gold/stock ratio (yet) $.SPX(.SPX)$$SPDR S&P 500 ETF Trust(SPY)$ Image2.Go Global in 2025? Image3.Commodity Cycles The bullish breadth divergence in this chart helped identify the (double) bottom in commodities this year. (+will be a key chart and asset class for the year ahead)Image4.The China Risk Premium The pivot to greater easing helped Chinese stocks put in a very rapid and large rally in 2024. One key ingredient to that has been the very
Boeing’s Turbulence: Should Investors Buy the Dip or Stay Grounded?
Boeing Co. (BA), once a towering symbol of American innovation and industrial might, has faced relentless turbulence over the past few years. With recurring safety concerns, production delays, and the shadow of high-profile air crashes, investors are left questioning whether the aerospace giant is a viable long-term investment or a company mired in too much risk. In this article, I share my personal views on why Boeing may not be a "buy and hold" stock, delve into the company’s recurring challenges, and explore the investment thesis for those tempted to capitalize on its dips. The Challenges Boeing Faces 1. Safety Concerns and Air Crashes Boeing’s reputation took a massive hit following the two devastating crashes of its 737 MAX aircraft in 2018 and 2019, which claimed hundreds of lives. T
30 Dec Downside Bias Attributed to Profit-Taking After Strong 2024
Major U.S. equities indexes moved lower at the onset of another holiday-shortened trading week as the positive momentum that has lifted stock markets in 2024 failed to carry over into the year's penultimate trading session. The S&P 500 fell 1.07% on Monday. The DJIA ended the session 0.97% lower, while the tech-heavy NASDAQ dropped 1.19%. U.S. stocks had also tumbled on Friday, erasing most of the gains posted earlier during the holiday-shortened trading week. With one trading session left in December, the S&P 500 and Dow are each on pace to record their biggest monthly losses since April, as a big post-election rally has faded. Declining issues outnumbered advancers by a 1.81-to-1 ratio on the NYSE. There were 55 new highs and 231 new lows on the NYSE. On the Nasdaq, 1,6
$CLSK 20250718 28.0 CALL$ Closing some of my calls partially. Will be the last batch of calls I close for 2024. Profit of $5006.47 for this batch of calls 🙌 Total profit for all the partial closure of calls today = USD $26, 828.77. Will resell again when I deem fit ❤️ Happy New Year guys! 🥳 May the New Year bring abundant good health and success 🙌 WITH LOVE, SPACE ROCKET! 🔥🚀
🚀Key events in the coming week, share your trading plans!
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Can Palantir (PLTR) Continue To Deliver More On AI Monetization?
Pioneer of artificial intelligence-driven software systems, Palantir is enjoying increasing acceptance of its flagship products, which include its Artificial Intelligence Platform. The business claims increasing demand for enterprise-ready generative AI technologies and has developed a strong partner network. Analysts at Wedbush view this as a significant expansion path for Palantir, forecasting the business may follow a trajectory similar to that of Oracle (ORCL, Financials) over the next decade. The financial might of Palantir supports this perspective. Along with 30% year-over-year sales increase, the corporation closed its third quarter with $4.6 billion in net cash and debt free. With a 54% increase in demand, the American commercial sector is clearly doing very well. Its value is sti
$CLSK 20250620 25.0 CALL$ Now that CLSK has retraced quite a bit, it's time for me to partially close some calls to take profit. Profit of $6846.40 from these calls. Will resell again when the time is right.
Time to close the position on this, can't be bullish always and they still need to prove themselves. Will keep in watchlist and buy in again at $1.7-$2. My personal picks with immense growth potential in 2025: Semiconductor: $Navitas Semiconductor Corp(NVTS)$ With AI picking up, it's hard to ignore the fact that #energy-efficient GaN power solutions are just as important for essential for AI servers, data centers, and infrastructure, enabling faster and greener #AI processing. It's not a question of if, but when NVTS will come moving along. We've seen how the whole supply chain is moving, from #GPUs by NVDA to Servers by Dell and SMCI, to #Ethernet solutions by Broadcom, now optical switches by MRVL are picking up, my eyes are on NVTS i
Just some casual thoughts - not much change as traders are on holiday break, and the market is mostly going with the flow.$NVDA$The CES electronics show expectations might provide some support, making NVIDIA's stock price relatively stronger, but limited. Call openings are better than put openings, with call targets concentrated at 140.During Friday's opening decline, someone opened 62,000 contracts of January 24 expiry 140 calls ($NVDA 20250124 140.0 CALL$ ), betting on a small rebound.Institutions are selling calls this week to cap prices below 138:Sell $NVDA 20250103 138.0 CALL$ Buy $NVDA