1.Cigna’s partnership with $Eli Lilly(LLY)$ and $Novo-Nordisk A/S(NVO)$ to cap out-of-pocket payments at $200 for Zepbound and Wehovy has 0 significance for $HIMS.Some other insurers are already offering them starting from $0 in select plans.Cigna’s plan only apply if you have already paid for the the add-on, meaning real cost is above $200.Lastly, I don’t know how many times we have to say this: $Hims & Hers Health Inc.(HIMS)$ isn’t a GLP-1 company…ImageFor whom haven't open CBA can know more from below:🏦 Open a CBA today and enjoy privileges of up to SGD 20,000 in trading limit with 0 commission. Trade SG, HK, US stocks as well as ETFs unlimitedly!Find out m
$Navitas Semiconductor Corp(NVTS)$ The market has spent the past year fixated on model size, parameter counts, and inference latency -- but under the surface, the real choke point is power. Not just the availability of energy, but the architecture that moves it. And that’s what makes $NVIDIA(NVDA)$ move so significant. When the most valuable compute company on the planet taps Navitas to co-develop its next-gen 800V HVDC power delivery systems, it’s not a footnote -- it’s a redirection of where the edge lies in AI infrastructure.This is bigger than silicon. This is about flow. About how electrons are delivered into the densest, fastest, hottest systems humanity has ever built. Blackwell isn’t just more pow
Hello everyone! Today i want to share some option strategies with you!1.Been so busy today packing and getting things ready for this next leg of the trip.Took these pre-earnings optionselling trades for today. May 30 expiration since premium isn't that great for May 23 and will be traveling during trading hours tomorrow.- $Deckers Outdoor(DECK)$ 91 put strike- $Autodesk(ADSK)$ 280/260 put credit spread- $Workday(WDAY)$ was gonna take this trade and ran out of time to place it2.Not sure if anyone followed and bought $Navitas Semiconductor Corp(NVTS)$ at $2-$2.5 when we posted back in Feb. We eating today! 😋🤑 You could hav
$CoreWeave, Inc.(CRWV)$ I predict CoreWeave (CRWV) will reach $150 per share before the end of 2025, driven by its strong position in the AI infrastructure market and recent financial achievements. Supporting Factors • Earnings Growth: CoreWeave reported $981.6 million in Q1 2025 revenue, up 420% year-over-year, exceeding expectations (CoreWeave Q1 2025 Earnings Report). • Revenue Backlog: A $29.9 billion backlog suggests sustained future growth, with projections for FY2026 revenue between $6.0B and $7.48B. • Strategic Partnerships: Backing by Nvidia and deals with OpenAI enhance its market position. • Recent Surge: The stock soared 19% after announcing a $2 billion debt offering, closing at $107.39
$IONQ Inc.(IONQ)$ Let's efing gooo~! Take some profits first. But it will go back to where it belong and hit another OTH before July comes(#hopefully). The quantum computing market is booming in 2025, driven by breakthroughs from IonQ and D-Wave, with high-fidelity processors advancing AI, cryptography, and logistics. Governments and tech giants like Google are investing heavily, with the market projected to reach $8.6 billion by 2027. X posts highlight a “quantum gold rush,” fueled by startup funding and Nasdaq’s tech rally, making quantum a top growth sector despite error correction challenges. #Quantuamcomputing #IONQ #Bullish #HappyTrading #AI #Tigers
Hello everyone! Today i want to share some tradnig analysis with you!1. $iShares Russell 2000 ETF(IWM)$$E-mini Russell 2000 - main 2506(RTYmain)$ Small caps red on the day, yet the Williams % Range is ticking up. Something tells me the government has something up their sleeve for this little interest rate issue we are having.Image2. $Etsy(ETSY)$ Nearing a bull flag breakout of the volume shelf.Image3. $Celsius Holdings, Inc.(CELH)$ Anyone remember what happened when $UnitedHealth(UNH)$ had the Williams % Range ticking up while the stock price was down big last week?ImageWell
Hello everyone! Today i want to share some option strategies with ou!1.TRADE PLAN for LOTTO Friday ✅ $S&P 500(.SPX)$ volatile day with SPX dropping 40+ points into the close. Price action still weak in $SPX after failing to move near 5900 today.SPX 5800P best as a lotto under 5843 tomorrow $Tesla Motors(TSLA)$ needs to get through 350 to test the key resistance at 363. TSLA through 363 will set up for 400. Wait for 350 for calls $Robinhood(HOOD)$ held green on the day today. HOOD is setting up for 85+ once it reclaims the 66 levelHOOD June 20 75C is best above 66Be patient as the market continues to find a bottom .It may take a few more days before the marke
$SIA(C6L.SI)$ What is the new price target rhat we should aim for now that it had crossed $7? With the new T5 it will still take 5more yesrs before it is completed
$S&P 500(.SPX)$ (1) I was leaning bearish, but I am not foolish--to exit a position perfectly is more difficult, yet more important, than to open a position perfectly. (2) My DTK alert signal is normally good for 150+ SPX points within 2-trading days==that is a monstrous edge for high-conviction short-term play. Now, with SPX drops to 5820 zone, that condition has been met (from 5968-5820). (3) I will wait for the next MAJOR signal to go heavy, one way or the other--given the potential "mini-crash" setup, I will go more toward bearish side for trade. Certainly, for day-trading, there is no bull or bear, only good setup, as I am looking at 1-min chart for clue. (4) for most amateur traders [& all trolls], ALWAYS keep in mind that only 5% tr
Hello everyone! Today i want to share some trading ideas with you!1.TO SUBS: (1) The small "airplane" level at Mid-week update 30-min chart will most likely be touched tmrw by noon. (2) then, prepare for a large rebound, which will last till early next week. That lower level on the chart below the plane may not come this week. (3) hold puts now2. $S&P 500(.SPX)$ Close UNCHANGED: (1) You have to give credit when it is due--check out what I said earlier at the open--BIG SWING DAY, great for day-trading. (2) most importantly, SPX will close unchanged.--check the close. UNCHANGED. WTF. (3) I have a good feel of the market now. PATIENCE.Image3.OUT of most 5/23 & 5/29 SPY puts positions. Only have small 7/18 SPY puts. Wait for a rebound to short
🔥Tell us your tricks for creating wealth on the market!
Memorial Day ScheduleMemorial Day is around the corner. The U.S. market will be closed on Monday, May 26, 2025.The New York Stock Exchange and the Nasdaq will resume normal trading hours on Tuesday.Note: There is no overnight trading from 8 p.m. ET on May 25 to 04:00 a.m. EST on May 26. Overnight trading will resume as usual from 8 p.m. EST on May 26 to 04:00 a.m. ET on May 27.Please take note of the trading arrangements during the holiday period and make the necessary preparations in advance.Hi, Tigers!Welcome to Daily Discussion! This is the place for you to share your trading ideas and win coins!
INTU, RIVN, TSLA, CEG& MAGS Enjoy Great Potential Here!
Hello everyone! Today i want to share some technical analysis with you!1. $Roundhill Magnificent Seven ETF(MAGS)$ Magnificent Seven ETF...What do you see? 🚩Image2. $Constellation Energy Corp(CEG)$ If this one isn't on your watchlist, it should be now. ⚡️Image3.Earnings beat and raise sends Intuit FLYING. $Intuit(INTU)$ 🟢+5.70% in after hoursImage4. $Tesla Motors(TSLA)$ Relative Performance looks just about ready to give the green light. 🚥Image5. $Rivian Automotive, Inc.(RIVN)$ just cracked a major trendline and launched into a Stage 2 breakout.Serious strength showing here. Image
Booz Allen Hamilton (BAH) Valuation Deep Dive: Great Business, Good Growth… But At What Price?
$Booz Allen Hamilton(BAH)$ Booz Allen Hamilton (NYSE: BAH) isn’t a stock I’ve spent a lot of time on historically. For one, their public financial data only goes back to 2012. That’s a red flag for me—especially when trying to understand how a business might behave in a real recession. I prefer companies that have been tested through periods like the Great Financial Crisis. Without that data, you're left to guess how cyclical or resilient the business truly is under pressure. But recent price action and growing investor interest in defense-related names caught my eye. Booz Allen has sold off hard over the past year—down over 35% from its highs—and then bounced significantly off its lows. When you see a correction that sharp followed by a recovery,
Nutanix Inc (NTNX) Earnings To Watch For Customer Metrics and Guidance Outlook On Its Cloud and AI Market
$Nutanix Inc.(NTNX)$ is set to release its fiscal third-quarter 2025 earnings after the U.S. market closes on Wednesday, 28 May 2025. A conference call and webcast will follow at 4:30 p.m. EDT / 1:30 p.m. PDT on the same day. Revenue: Analysts generally anticipate Nutanix to report revenue around $625-$626.6 million. This would represent a significant year-over-year growth of approximately 19-19.5%. The company's own guidance for Q3 fiscal 2025 revenue was between $620 million and $630 million. Earnings Per Share (EPS): The consensus EPS forecast ranges from $0.06 to $0.38 per share. It's important to note the variation in analyst estimates. The company reported EPS of $0.01 for the same quarter last year (Q3 FY 2024). Nutanix has a history of bea
💥 Trade Winds Shift: Must-Know Stocks and Moves for May 22
The market’s buzzing on May 22, 2025, with a U.S.-China trade truce lifting spirits, a U.S. credit downgrade stirring unease, and earnings season heating up. Tech’s riding high, retail’s reeling, and volatility’s lurking—perfect for savvy traders. Here’s your rundown of what’s moving markets, the stocks to watch, and how to play them today. Let’s dig in! 🌐 Market Spotlight: Big Wins, Bigger Risks Trade Truce Sparks Optimism The U.S.-China 90-day tariff ceasefire—cutting U.S. tariffs from 145% to 30% and China’s from 125% to 10%—has markets breathing easier. Tech’s leading the charge, with the Nasdaq up 7.2% last week and the S&P 500 gaining 5.3%. Supply chain relief’s boosting chipmakers and AI players, but analysts warn the rally’s legs might be wobbly as truce details remain shaky. C
What is risk in investing?We talk about risk as a knowable thing we can measure and mythologize how some people can manage risk better than others.But too often, we’re not talking about risk at all.We’re talking about something else entirely.Today, I’m going to blow up a lot of popular investing concepts that I frankly think are built on lies Wall Street and academia have told us about investing that have no basis in long-term investing.Risk vs “Risk”Here’s a dirty secret of Wall Street: When most investors use the word risk, they’re talking about volatility.Hedge fund manager Edward Thorp says in the interview below that he beat the market while taking 1/50th the risk of the market. What the hell does that even mean?When he says “risk,” what he means is volatility. His performance was les