Has Hang Seng Tech Index shown a bullish reversal?
In this video, a clear, step-by-step guide to spot a bullish reversal on the $HSTECH(HSTECH)$ . You'll see key chart patterns, trend shifts, and technical signals that suggest a potential change in market direction. Short-term trading using DLC: https://dlc.socgen.com/ Short-term trading using Warrants: https://warrants.com.sg Hit the follow button to stay updated! I post valuable trading and investing insights every week—don’t miss out on being the first to know! This stock was identified based on a signal generated by the TAD System https://bit.ly/tawpro. Disclaimer: This document is not an offer or solicitation to buy or sell, nor financial advice or recommendation for any investment product. This document has been published for general
$Grab Holdings(GRAB)$ finally stays above $5 after earnings. A tough options night where many are red. Hold on tight as it moves above $5 and slowly into $5.30 in Aug. Good luck.
$HIMS 20250822 48.0 PUT$ 2nd assignment of the month...12straight down session after earning completed before...really capital intensive lol Hopefully Santa rally help me liquidate with profit soon
$Roblox Corporation(RBLX)$ Roblox’s options are seeing elevated volatility driven by conflicting catalysts—bullish AI/metaverse bets vs. regulatory risks and valuation concerns. Key strikes at $120 (call-heavy) and $100 (put protection) dominate activity. Key Drivers of Options Movement: Near-Term Catalysts : S&P Credit Upgrade (Aug 14) : Upgraded to BBB- with "Positive" outlook, sparking call buying (Aug 16 $125C open interest surged 48%) 15. Child Safety Lawsuit Risk: Louisiana AG lawsuit (23) drove put volume at $95-$100 strikes (put/call ratio spiked to 1.2x on Aug 16). Volatility & Positioning : IV Rank: Current implied volatility 65% (vs. 30-day avg of 58%), pricing in ±12% move by Aug 23 expiry. Open Interest Skew: Max pain at
Intel Options Explode and $25 Calls Surge Amid Possible US Stake in Company Fueled by reports of Trump administration talks to take stake in, $Intel(INTC)$ shares surged 23% last week. Options volume hit a 6-month high, with aggressive call buying dominating sentiment. Options Data Analysis Volatility & Sentiment Signals: ~Implied Volatility (IV): 60.13%, Sitting at 64th percentile of 1-year range. ~Put Skew: Plunged from +6 in April to -7.9, signaling reduced demand for downside protection. Open Interest: The Put/Call ratio stands at 0.59, indicating a dominance of call options. Notably, open interest is heavily concentrated in the $25 strike call options expiring on September 19, 2025. Max Open Interest
TSMC Arizona Posts First Positive Equity-Method Contribution: What's Driving It and What Could Derail It What happened $Taiwan Semiconductor Manufacturing(TSM)$ quietly crossed a milestone in Q2: its Arizona subsidiary showed a positive 'share of profits of investee' in the company's consolidated filing. By contrast, JASM (Kumamoto) remained in the red, underscoring a faster profitability turn in the U.S. asset than in Japan at this stage of ramp. By the numbers ~Node mix: In Q2, 5-nanometer technologies contributed 36% of wafer revenue; N4/N4P/N4X are classified by TSMC as part of the 5-nanometer family, so Arizona's N4 output is inside that bucket. ~Arizona status: U.S. Commerce said 4-nm production in Phoenix
$Dover(DOV)$ I added to my position in Dover (DOV) following its solid Q2 2025 results, where adjusted EPS of $2.44 beat expectations and revenue grew 5% to $2.05 billion. While much of the top-line gain came from acquisitions and currency, margin improvements and strong cash flow highlight operational efficiency. Importantly, management raised full-year adjusted EPS guidance to $9.35–$9.55, signaling confidence despite macro uncertainties. With a diversified industrial portfolio and disciplined execution, Dover continues to demonstrate resilience, making it a compelling addition to my holdings at this stage.