$GOOG CALENDAR 250725/250808 CALL 190.0/CALL 190.0$ GOOG: losing trade management. Rolled out expiring covered call with strike of $190 on 25th July by another 2 weeks to expire on 8th Aug with the same strike $. The trade is still in the money as GOOD trade at $194.08 but depending on situation, GOOG might roll back down to below $190 for consolidation. GOOG is up 4.38% and on its 5th week of rising price so these are not good days for selling covered call as either will have to roll to new trades to buy more time or to get the underlying long positions netted off.
💰 NEW ALPHA|Financial Report Highlights: V/SEZL/PRCH
💰 The trade war nearing its end and expectations of interest rate cuts, the market is showing further upward momentum.💹 $Visa(V)$/$Sezzle Inc(SEZL)$/$Porch Group, Inc.(PRCH)$: Set to report earnings soon, demonstrating a remarkable resilient growth trend.📣 Stay tuned, supercharge purchasing power through CashBoost!| Doubling down on AI power, with stock prices doubling--Going off the rail on a crazy train.On July 23, the "America's AI Action Plan" is out, outlining key initiatives to accelerate AI innovation, build U.S. AI infrastructure, and lead in international AI diplomacy and security. In this action plan, the U.S. states that in the global race for AI dominanc
Options puppy 💰 Capital Management: My Strategy to Grow $1,000 Every Few Weeks with PLTR and Sell Puts• “Premium First, Shares Later—How I Ride PLTR Without Risking Chasing Highs”
📈 From $80 to $160 — Riding the Palantir Wave with Strategy, Not Hope Over the past few months, Palantir (PLTR) has more than doubled in value—from $80 to $160. Many chased the rally, buying high and hoping for more gains. I took a different route. Instead of joining the FOMO crowd, I relied on a disciplined capital management strategy focused on cash-secured puts, short-term trade timing, and safe yield parking in money market funds. ⸻ 🧠 How I Use Biweekly Sell Puts to Average In Every two weeks, I sell a cash-secured put at a strike price close to market, most commonly at $150, when PLTR is trading between $150–$160. For example, I recently sold the PLTR 150 Put expiring August 15 for a premium of $8.34, locking in $834 for just 2.5 weeks of capital exposure. If PLTR dips and I get assig
"Hoarding coins" may be the hottest trading strategy this summer.Companies from all walks of life are raising huge sums of money to buy cryptocurrencies. From Japanese hotel operators and French semiconductor makers to Florida toy makers, nail chains and e-bike makers are pouring cash into digital tokens, pushing various cryptocurrencies to new highs, according to the latest Wall Street Journal report.Since June 1, 98 companies have announced plans to raise more than $43 billion to buy Bitcoin and other cryptocurrencies, according to data from crypto consulting firm Architect Partners. Since the start of the year, nearly $86 billion has been raised for this purpose.This figure is more than double the amount raised by U.S. IPOs in 2025. The news of any company's announcement of plans to buy
$2X ETHER ETF(ETHU)$ Institutions came in to form a solid baseline for crypto sector. Under Trump administration, we would see a disruptive innovation on usage of blockchain. We are still at the early phase of blockchain, which is payment . Very bullish on crypto for the next 3-5years. Patience is key!
Meta's $70B AI Gamble: Priced for Perfection Ahead of Q2 Earnings
As Meta Platforms ( $Meta Platforms, Inc.(META)$ ) prepares to report its second-quarter 2025 earnings on July 30, it stands at a critical juncture. The company is engaged in one of the most ambitious and capital-intensive pivots in corporate history, betting its future on artificial intelligence. While its core advertising business is expected to post another quarter of robust growth, fueled by early AI efficiencies, the narrative is dominated by a high-stakes tension: can the returns from its colossal AI investments outpace the staggering costs, all while navigating a minefield of existential regulatory threats? With a stock price that has already climbed over 22% this year, Wall Street's expectations are sky-high. The market has priced Meta for
Profited $11321 for 2025 WW #30. Which Trades Works?
Profited $11321 for the trading week of 21st to 25th July 2025. Let’s find out which of my trades works and which trades were pulling me down. Summary Read: Made $11321 ($4364 from stocks and $6956 from option trades) in work week #30 2025. Overall, a good harvest week with many trades swing to my favour. Of the 50 counters with open trades, 34 counters were profitable and 16 were unprofitable. The top most profitable trades and unprofitable trades showcased in snapshots below. No major changes in my trading strategy for coming week and portfolio is gaining steadily. Stay bullish and greedy when the market tells me so. At the same time, keep an eye and foot on the exit by holding sufficient short hedge in overbought stocks, volatility hedge through VXX and GDX. Key trades that were up or d
Hey everyone, Wonton Investor here. Let's talk about Coinbase. A few months ago, I laid out my thesis on $Coinbase Global, Inc.(COIN)$ . I saw it as a fantastic, foundational company, but one that was ultimately a cyclical stock. My whole strategy was built around the idea of: wait for the inevitable "crypto winter," for sentiment to sour and the price to drop, and then buy the dip on a great asset. Today, I'm back to talk about that thesis. But I'm not here to rewrite it. I'm here to tell you I'm doubling down. Everything I believed about Coinbase's fundamental strengths is not only proving true, but the recent turn of events suggests that the boom of Coinbase - one that I previously thought was cyclical - is now seemingly leaning towards be
Mara Holdings (MARA) Earnings To Watch For Bitcoin Production Efficiency Gains
$MARA Holdings(MARA)$, a significant player in Bitcoin mining, is slated to release its fiscal Q2 2025 earnings after the market closes on Tuesday, July 29, 2025. This report will be particularly scrutinized as it covers the first full quarter after the Bitcoin halving event in April 2024, which significantly reduced the rewards for mining. I am holding MARA for long term as I believe that MARA with its significant position in Bitcoin mining, would be benefiting as Bitcoin is getting more looked at by institutions. Earnings Per Share (EPS): Analysts are generally forecasting a wider loss for MARA compared to previous quarters, with a consensus EPS estimate of $-0.49. Tipranks is expecting a loss of $0.10 per share. Revenue: Revenue is anticipated
Figma’s IPO Gambit: Dutch Auction vs. Wall Street’s 500% "Discounts"
Design software company $Figma(FIG)$ , which is expected to go public on the Nasdaq this Wednesday, July 30, is using an auction-like IPO pricing mechanism to get more accurate stock valuation information.Read more>>Figma’s IPO: What to Expect as It Hits the Market from @Invesight_Capital What is an Auction IPO, a revolutionary break from traditional pricing?An auction IPO (also known as a Dutch auction IPO) is an IPO pricing method in which the offering price is determined through public bidding by investors.Unlike traditional IPOs where the investment banker takes the lead in pricing, auction IPOs require investors t
Market focus this week centers on macro policy events (e.g., Wednesday's FOMC resolution and Thursday's PCE data) as well as the intensive tech giant earnings season.Overall, the market environment remains supportive, but seasonal pressures and valuation bubble risks should not be ignored.The AI supercycle continues to provide momentum, while investors need to be wary of a potential pullback triggered by the historically weak August period.The following analysis is based on reported data and presents core trends in an opinion-driven manner.90-day tariff extension = reprieve?Three big numbers will rewrite the script!The current market environment is generally favorable, driven by strong corporate earnings, moderate inflation (temporarily), and elevated policy certainty.A 15% tariff deal bet
Is $BE's AI Data Center Hype Sustainable or Overvalued?
Last week, strength in the mega-cap tech stocks helped the S&P 500 $S&P 500(.SPX)$ notch a new all-time high with options expiration keeping the index pinned to the 6,300 strike. With the removal of that volatility suppressing flow, equities resumed along the path of least resistance to start the week.The best-performing concepts is Hydrogen Energy. Considering the different perceptions of the stock, this time TigerPicks chose $Bloom Energy Corp(BE)$ to have a fundamental highlight to help users understand it better. $Bloom Energy Corp(BE)$ Bloom Energy Corporation is engaged in stationary fuel cell power generation by market share. The Company provides distr
All technical indicators point to ... S&P500 outlook (28Jul25) Part 3 of 5
Market Outlook of S&P500 (28Jul25) Technical observations: MACD - another top crossover is completed, which implies an uptrend. Exponential Moving Averages (EMA) lines are showing an uptrend. Both the 50 MA line and the 200 MA line are showing an uptrend. This speaks of a bullish outlook for both the short and long term. The CMF is positive at 0.31, indicating more buying pressure over the past 20 periods. We have noted a decline in buying momentum. The technical analysis is showing a “Strong Buy” rating based on the daily interval. 20 indicators show a “Buy” rating and none with a “Sell” rating. Candlestick Analysis (taken from Grok): Short-Term Trend (Next Week, July 28–August 1, 2025): Bearish The Evening Star (completed June 22) and Bearish Engulfing (emerging July 23) are strong b
The S&P 500 and Nasdaq notched record high closes last Friday (July 25), lifted by optimism the U.S. could soon reach a trade deal with the European Union, while Deckers Outdoor surged following a strong quarter for the maker of UGG boots and Hoka sneakers.Regarding the options market, a total volume of 53,677,338 contracts was traded last Friday.Top 10 Option VolumesTop 10: $Tesla(TSLA)$; $Nvidia(NVDA)$; $Palantir(PLTR)$; $Intel(INTC)$; $AMD(AMD)$; $Apple(AAPL)$; $Opendoor(OPEN)$;