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3.20K
General
Sherry Miyano
·
2025-05-17
$Palantir Technologies Inc.(PLTR)$ Disciplined dollar cost average strategy (DCA) into PLTR, $5 per week for the long term.War (physical or trade war) is evergreen and information is still key. As uncertainty arises, Palantir with its defence capabilities in Artificial Intelligence built up over this period and also contracts with the pentagon creates a high entry barrier for others to mimick. Therefore continuous buying into PLTR. 
PLTR
05-17 01:31
USPalantir Technologies Inc.
SidePriceRealized P&L
Buy
Open
128.32--
Closed
Palantir Technologies Inc.
$Palantir Technologies Inc.(PLTR)$ Disciplined dollar cost average strategy (DCA) into PLTR, $5 per week for the long term.War (physical or trade w...
TOPDeltaDrift: Continuous buying fits well with its strategic positioning.
1
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4.10K
General
Sherry Miyano
·
2025-05-17
$TSLA 20250815 200.0 PUT$ First trade into TSLA. Trying out a new name here.TSLA is a very volatile stock which means that the prices of the options are really wild and the premiums are high. I didn't really like the nature of it, how it's swung by anything and everything that is Elon Musk so I have been putting it off until now. However, that apprehension is something that I think I can deal with better now that I have been trading for some time. 200 strike is a very "safe" bet for now, below all the MAs and the market seem to be recovering a bit. Will build on the strategy once I am clearer about its movements. 
TSLA PUT
05-16 22:11
US20250815 200.0
SidePrice | FilledRealized P&L
Sell
Open
3.02
2Lot(s)
--
Closed
Tesla Motors
$TSLA 20250815 200.0 PUT$ First trade into TSLA. Trying out a new name here.TSLA is a very volatile stock which means that the prices of the option...
TOPAL_Ishan: Great start, its volatility means big premiums but also swings.
2
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5.42K
General
Bonta
·
2025-05-17
$GME 20250516 35.0 CALL$ Expired for 100% profits. Will look to replace the position once have opportunity 
GME CALL
05-17 14:53
US20250516 35.0
SidePrice | FilledRealized P&L
Buy
Close
0.00
10Lot(s)
+100.00%
Closed
GameStop
$GME 20250516 35.0 CALL$ Expired for 100% profits. Will look to replace the position once have opportunity
2
Report
3.70K
General
Terra_Incognita
·
2025-05-19
$iPath Series B S&P 500 VIX Short-Term Futures ETN(VXX)$ I closed $iPath Series B S&P 500 VIX Short-Term Futures ETN(VXX)$ ,VXX: bought back 300 shares of VXX at $60 when the cash secured puts expired in the money on 16th May. There were parts of the shorts positions I opened during the spike of volatility early April after Trump announced the Liberation Day tariffs and I've sold VXX on short positions between $50 to $85 with overall averages on the $60+ range. Therefore any buyback below $60 is profitable on the stock side and if including all the options premiums collected, certainly was a profitable call during the past 1 month.VXX: bought back 300 shares of VXX at $60 when the cash secured puts expired in the money on 16th May.&nbs
VXX
05-17 14:37
USiPath Series B S&P 500 VIX Short-Term Futures ETN
SidePrice | FilledRealized P&L
Buy
Close
60.00
300
+10.00%
Closed
iPath Series B S&P 500 VIX Short-Term Futures ETN
$iPath Series B S&P 500 VIX Short-Term Futures ETN(VXX)$ I closed $iPath Series B S&P 500 VIX Short-Term Futures ETN(VXX)$ ,VXX: bought back 300 sh...
TOPAL_Ishan: Solid trade during the recent volatility spike, great timing and execution over the past month.
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824
General
Terra_Incognita
·
2025-05-19
$ANF 20250516 100.0 CALL$ ANF: collected these premiums in full when the covered calls expired worthless on 16th May.ANF trades higher for the week after China's tariffs deescalations but gains remain muted win overall gains.ANF is down almost 60% off its June high and still remain in bearish zones probably until it shows the tariffs for imports for its products goes significantly lower than now, which means China and Vietnam. And for US consumers economy to continue to stay strong for these fast fashions to stay a chance in the coming quarters. 
ANF CALL
05-17 14:47
US20250516 100.0
SidePrice | FilledRealized P&L
Buy
Close
0.00
1Lot(s)
+100.00%
Closed
Abercrombie & Fitch
$ANF 20250516 100.0 CALL$ ANF: collected these premiums in full when the covered calls expired worthless on 16th May.ANF trades higher for the week...
TOPAL_Ishan: The stock remains weak, down 60% from June highs. The outlook depends heavily on tariff cuts and US consumer strength, worth monitoring before expecting a sustained recovery.
1
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1.03K
General
Terra_Incognita
·
2025-05-19
$AMZN DIAGONAL 250606/250516 CALL 205.0/CALL 200.0$ AMZN: trade risk management. Rolled out the sold call expiring on 16th May with strike at $200 diagonally to strike $205 expiring 6th June which is 3 weeks away. Able to collect additional 0.3% premium while doing so. As it stands, the AMZN sold call will be expiring in the money. I was not ready to give up my long positions so decided to roll out the call instead to further and higher to give it some chance to breathe. Will decide again how I want to trade this when it gets close to the expiry again. 
AMZN Diagonal
05-16 22:12
US205.0/200.0
SidePrice | FilledRealized P&L
Credit
Close
-0.80
1
--
Closed
AMZN DIAGONAL 250606/250516 CALL 205.0/CALL 200.0
$AMZN DIAGONAL 250606/250516 CALL 205.0/CALL 200.0$ AMZN: trade risk management. Rolled out the sold call expiring on 16th May with strike at $200 ...
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1.86K
General
Terra_Incognita
·
2025-05-19
$NFLX 20250516 1200.0 CALL$ NFLX: trade risk management. Secured 70% of the maximum possible premium collection as profit. Decided to close the short call earlier before expiry in 16th May as the price as very close to strike of $1200 and overall market was trading in positive zones. Happy to collect whatever gain possible without need to take a short position on NFLX exen though I think $1200 remains a good resistance level to short against. Will decide if I want to get into another trade as the margin requirement is quite high for such expensive stock. 
NFLX CALL
05-16 22:25
US20250516 1200.0
SidePrice | FilledRealized P&L
Buy
Close
2.50
1Lot(s)
+70.48%
Closed
Netflix
$NFLX 20250516 1200.0 CALL$ NFLX: trade risk management. Secured 70% of the maximum possible premium collection as profit. Decided to close the sho...
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Report
2.24K
General
Terra_Incognita
·
2025-05-19
$BA VERTICAL 250530 CALL 215.0/CALL 220.0$ BA: plan collect $65 over risk of $500 per contract for this bear call setup with sell call at $215 and buy call at $220. Contracts expires in 2 weeks on 30th May. Boeing had moved up 3 weeks in a row and especially so after news of large order from Trump's Middle East tour. I think most positive had already been priced in for this cycle of good news on Boeing. I also think Boeing not not that well run and all its previously bad news of manufacturing delays and poor workmanship still stands not fully resolved. Decided to take a bearish trade on this company after seeing it up 60% from its low in just 1 month. 
BA Vertical
05-16 22:28
US215.0/220.0
SidePrice | FilledRealized P&L
Credit
Open
-0.65
4
--
Holding
BA VERTICAL 250530 CALL 215.0/CALL 220.0
$BA VERTICAL 250530 CALL 215.0/CALL 220.0$ BA: plan collect $65 over risk of $500 per contract for this bear call setup with sell call at $215 and ...
1
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2.34K
General
Terra_Incognita
·
2025-05-19
$NVDA CALENDAR 250530/250516 CALL 120.0/CALL 120.0$ NVDA: trade risk management. Rolled out the sold call expiring on 16th May with strike at $120 by another 2 weeks to 30th May for the same strike. Able collect 1.25% premium while doing so. As it stands, NVDA trades at $135.40 which makes it in the money, yet at the same time I think it's currently overbought and might come down a tad lower though uncertain by how much, The long position still in the positive zone so that offset the trade if I need to sell it off to close the entire trade position. For now, I'll try to milk some premium money out of these trades. 
NVDA Calendar
05-16 22:34
US120.0/120.0
SidePrice | FilledRealized P&L
Credit
Close
-1.55
1
--
Closed
NVDA CALENDAR 250530/250516 CALL 120.0/CALL 120.0
$NVDA CALENDAR 250530/250516 CALL 120.0/CALL 120.0$ NVDA: trade risk management. Rolled out the sold call expiring on 16th May with strike at $120 ...
1
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1.95K
General
Terra_Incognita
·
2025-05-19
$SMCI DIAGONAL 250516/250530 CALL 40.0/CALL 41.0$ SMCI: trade management. Rolled out the sold call expiring on 16th May with strike at $40 diagonally to strike $41 expiring 30th May which is 2 weeks away. Able to collect additional 0.35% premium while doing so. As it stands, SMCI trades at $46.15 so these sold call will be expiring in the money. I was not ready to give up my long positions so decided to roll out the call instead to further and higher to give it some chance to breathe. Will decide again how I want to trade this when it gets close to the expiry again. 
SMCI Diagonal
05-16 22:37
US40.0/41.0
SidePrice | FilledRealized P&L
Credit
Close
-0.15
3
--
Closed
SMCI DIAGONAL 250516/250530 CALL 40.0/CALL 41.0
$SMCI DIAGONAL 250516/250530 CALL 40.0/CALL 41.0$ SMCI: trade management. Rolled out the sold call expiring on 16th May with strike at $40 diagonal...
1
Report
3.00K
General
Terra_Incognita
·
2025-05-19
$MSTR 20250516 400.0 CALL$ MSTR: take 70% profit off this naked call with strike at $400. Closed it few hours before expiry as MSTR trades really close to $400 on Friday and on occasions trades above it. Decided to close off the trade and hold on to the gains to reduce my exposure since BTC can move on the weekends and MSTR fortune are closely tied to BTC. Happy for whatever gains I could secure for some of the tough trade. MSTR did close at $399.8 which proves that the resistance held up, but that results can't be predicted at the point of live trade, only can be viewed later in hindsight.
MSTR CALL
05-16 23:51
US20250516 400.0
SidePrice | FilledRealized P&L
Buy
Close
3.00
1Lot(s)
+70.50%
Closed
Strategy
$MSTR 20250516 400.0 CALL$ MSTR: take 70% profit off this naked call with strike at $400. Closed it few hours before expiry as MSTR trades really c...
TOPDeltaDrift: 70% is decent profit alr… How many lots did u buy?
1
Report
914
General
Xaddy_Analyst
·
2025-05-19

💥 Cash In or Crash Out: Top Stocks to Eye on May 19, 2025

$S&P 500(.SPX)$ $NASDAQ(.IXIC)$ The market’s a rollercoaster today, and savvy investors are buckling up. From a U.S. credit downgrade shaking Wall Street to India’s bull run hitting overdrive, May 19, 2025, is packed with action. Let’s cut through the noise—here’s what’s moving, which stocks deserve your attention, and how you can play it for profit. 🌍 Market Buzz: What’s Shaking the Scene? U.S. Markets: Downgrade Drama Moody’s just stripped the U.S. of its last AAA rating, citing ballooning debt. Stock futures flinched, and bond yields ticked up as panic flickered. Yet, the S&P 500’s holding strong, powered by tech giants and a fresh U.S.-China trade ceasefire. Inflation’s still a ghost in the r
💥 Cash In or Crash Out: Top Stocks to Eye on May 19, 2025
TOP1PC: Wow 😮 so many choices 😁. I Cash out some Tesla tonight [Chuckle]. @Shernice軒嬣 2000 @Jes86188 @Shyon @JC888 @Barcode @koolgal
3
Report
702
General
Xaddy_Analyst
·
2025-05-19

🚀 Global Markets Unleashed: Trade Tensions Ease, Stocks Soar—How Long Will It Last?

$NASDAQ(.IXIC)$ $S&P 500(.SPX)$ $Dow Jones(.DJI)$ The global markets just delivered a blockbuster week, fueled by a seismic shift in U.S.-China trade dynamics. After tense talks in Switzerland, the world’s two economic powerhouses agreed to a 90-day tariff truce, slashing U.S. tariffs on Chinese goods from 145% to 30% and China’s levies on U.S. imports from 125% to 10%. Stocks roared in response, with the Nasdaq surging 7.15%, while bonds wavered under rising Treasury yields. From tech breakthroughs to small-cap strength, here’s your deep dive into the action—and what’s on the horizon. 🌟 U.S.-China Breakthrough: Tariffs Take a Breather The headline of the we
🚀 Global Markets Unleashed: Trade Tensions Ease, Stocks Soar—How Long Will It Last?
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1.76K
General
Mickey082024
·
2025-05-19

Novo Nordisk Should You Buy the Stock After a 59% Decline?

$Novo-Nordisk A/S(NVO)$ In a move that surprised many investors, Novo Nordisk announced that its CEO—who has led the company since 2017—will be stepping down. Importantly, the transition will not be immediate: he’s agreed to remain in his role until a successor is identified and brought up to speed. While the headlines may suggest instability, this type of managed leadership change is far preferable to a sudden departure. This news comes hot on the heels of UnitedHealth’s CEO also stepping down, adding to a growing narrative of executive turnover in the healthcare sector. Some investors are starting to wonder: is healthcare becoming a tougher industry to lead? That’s a broader question, but in this article, I want to focus specifically on Novo Nord
Novo Nordisk Should You Buy the Stock After a 59% Decline?
TOPJas2davir: Bro might I propose you put a tl;dr at the end of your write up? You put a lot of effort but sometimes a tl;dr don’t hurt
5
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4.62K
General
Aaronykc
·
2025-05-19
$iShares 20+ Year Treasury Bond ETF(TLT)$ Sold all my treasuries. The last time US debt got downgraded yields surged and stocks sold off 10% it was a great buying opportunity. If the same happens again tlt will tank. So better to sell it to raise money to buy great companies at a great valuation 
TLT
05-19 15:15
USiShares 20+ Year Treasury Bond ETF
SidePrice | FilledRealized P&L
Sell
Close
85.00
48
-8.85%
Closed
iShares 20+ Year Treasury Bond ETF
$iShares 20+ Year Treasury Bond ETF(TLT)$ Sold all my treasuries. The last time US debt got downgraded yields surged and stocks sold off 10% it was...
TOPDeltaDrift: Be aware of the downside risk at this spiking moment
3
Report
17.14K
Selection
Market_Chart
·
2025-05-19

👇🤔Weekly Top 20 Insider Sells:DHR, HWM, SMCI, TDG, COIN, JPM & More

Hi Tigers~ The following are the top 20 stocks with the most Insider Sells in the past week.Data source: Bloomberg, data cutoff date: May 16th, 2025.Read more for the upcoming week📈 Weekly Top Insiders Buys:UNH, HUM, CHD, VTRS & CMI S&P 500 and Nasdaq-100 at Risk of Forming a Head and Shoulders Pattern The U.S. Bond Sell-off may Signal a Further Sell-off in the Stock Market 💰 New Alpha | Insurance stocks surge: PGR/ALL/CB🎁Weekly Higher
👇🤔Weekly Top 20 Insider Sells:DHR, HWM, SMCI, TDG, COIN, JPM & More
1
Report
31.12K
Selection
Tiger_James Ooi
·
2025-05-19

S&P 500 and Nasdaq-100 at Risk of Forming a Head and Shoulders Pattern

U.S. Market Insights (May 19–23): Rally Appears Overdone for NowThe $S&P 500(.SPX)$ and $NASDAQ(.IXIC)$ gained 5.33% and 6.87%, respectively, last week, driven by strong performance in mega-cap tech stocks.Key movers last week included strong gains from $NVIDIA(NVDA)$ (+16.1%), $Tesla Motors(TSLA)$ (+17.3%), $Apple(AAPL)$ (+6.5%), $Amazon.com(AMZN)$ (+6.5%), and $Microsoft(MSFT)$ (+3.7%), while $UnitedHealth(UNH)$ (−23.3%),
S&P 500 and Nasdaq-100 at Risk of Forming a Head and Shoulders Pattern
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6.13K
Selection
Xaddy_Analyst
·
2025-05-19

U.S. Scrutiny Threatens Apple-Alibaba AI Pact: A $110 Stock Plunge for Alibaba?

$Alibaba(BABA)$ $Apple(AAPL)$ $S&P 500(.SPX)$ $NASDAQ(.IXIC)$ Over the past few months, U.S. White House and congressional officials have been closely examining Apple’s partnership with Alibaba. This collaboration aims to roll out Apple Intelligence in China, with Alibaba playing a pivotal role as a local partner. But with the deal under fire, could this jeopardize Apple’s AI launch? Will iPhone sales in China take another hit this year? And might Alibaba’s stock tumble to $110 as a result? Let’s break it down. 🌏 The Big Picture Apple’s plan to bring its AI-powered features to China hinges on teaming up with Alibaba
U.S. Scrutiny Threatens Apple-Alibaba AI Pact: A $110 Stock Plunge for Alibaba?
TOPValerie Archibald: Baba is still a bargain compared with AMZN. Amzn net Debt is almost BABA's nett cash position while the Baba"s Market cap is almost 10 percent of AMZN.
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