When investing in crypto stocks, focus on 3 key drivers: 1️⃣ Crypto price trend – BTC and ETH set the tone; sustained strength above $110K and $4.5K is bullish for sector names. 2️⃣ Company-specific risks – e.g. BMNR’s 9/2 lock-up expiry could trigger short-term volatility as insiders unlock shares. 3️⃣ Regulation & flows – stablecoin legislation and ETF inflows/outflows heavily influence liquidity-sensitive names like COIN and CRCL. Short-term corrections are normal, but the long-term bull case depends on adoption, on-chain activity, and capital flows. Play volatility tactically, respect support levels. I’m not a financial advisor. Trade wisely, Comrades!
🐰✨ ETH Bounces Back — What’s Driving Today’s Rally?
Ethereum hopped up +2.37% in 24h after a tough -5.68% weekly dip. $Grayscale Ethereum Mini Trust ETF(ETH)$ $BitMine Immersion Technologies Inc.(BMNR)$ $SharpLink Gaming(SBET)$ $2X ETHER ETF(ETHU)$ The comeback is fueled by: 1. 🔥 BETH Burn Tokenization – New burn-tracking token could shrink supply. 2. 🏦 Institutional Demand – Big ETF inflows & corporate ETH stacking. 3. 📊 Technical Rebound – Bounce off key support with altcoin rotation in play. 1. 🔥 BETH Burn Tokenization (Bullish) A shiny new token, BETH, tracks burned ETH 1:1. Why it matters: Scarcity made cu
$Microsoft(MSFT)$ Found support at $500 after selling off from all time highs of $555.23. Microsoft’s Intelligent Cloud division, including Azure, saw a ~33% year-over-year increase, with others citing 39% growth in Azure specifically, driven by AI workloads. Microsoft committed roughly $80 billion in 2025 toward data centers and infrastructure to support AI—signaling strong conviction in long-term growth. A substantial majority of analysts rate MSFT as “Buy” or “Strong Buy,” reflecting broad investor confidence. Trading at roughly 29× P/E (based on current EPS), Microsoft’s premium is supported by strong growth visibility, low cyclicality, and defensive qualities. Is current price worth dollar cost aver
$Direxion Daily FTSE China Bull 3X Shares(YINN)$ it's another profit taking after seeing the counter dances up and down for many weeks. Just don't know why it is not breaking the $50 mark. The resistance level at $49 is so great and not able to break thru. The HK stocks have a good chance for a massive run up if Mr Trump strikes a good deal with China. I don't think US wants a high inflation numbers after all. Good Luck, Tigers.
How We Can Trade Around A Potential Sep Rate Cut Which Might Trigger Major Trend Shift?
A potential September 2025 rate cut is more than just a monetary tweak—it is a strategic inflection point. Market expectations are high, with many analysts and investors already pricing in the move. The key for investors is to understand how different asset classes react and to position their portfolios accordingly. In this article, I would like to share some of the strategy I planned to use to capture this potential major trend shift. How to React to a Potential Rate Cut Understand the "Why": The most crucial question is why the Fed is cutting rates. Soft Landing: If the Fed cuts rates to "recalibrate" policy as inflation moderates and the economy remains resilient, this is generally a bullish sign for stocks. Hard Landing: If the Fed is cutting rates to combat an economic slowdown or rec
Green Bird in Trouble? Why Duolingo Shares Are Sliding
First, let’s address a common question. Historically, September is typically the worst-performing month of the year for stocks. So, there’s a lot of talk about selling stocks now and buying them back in October. Does this strategy work? Let me explain. I’ll share insights about a company that has recently experienced a puzzling drop in its stock price, likely reaching an undervalued stage. Which company is this? Could it be a good long-term investment? Last Friday, the stock market saw a significant pullback, with tech stocks, led by $NVIDIA(NVDA)$ , experiencing sizable declines. This reminds us that September is often the worst month of the year for stocks. There’s a 56% probability that stocks will drop in September, so ma
Will You Follow Major Trend or Bet on an Underdog Comeback?
Markets are full of contrasts, and this past week highlighted it perfectly. On Wednesday, Meituan (03690) reported earnings that disappointed investors. Profits took a hit. The market responded swiftly: the stock plummeted. MEITUAN-W (03690) Just a day later, Alibaba (BABA) released its results, and the market cheered—a 12% surge in the share price. Alibaba (BABA) Meituan CEO Wang Xing offered a compelling perspective on this dichotomy: “In a big competition, being the underdog is the most exciting position to be in. That’s why this is so thrilling.” This raises a critical question for investors: do we follow the trend, or do we bet on the underdog? The Underdog Advantage: More Than Just Emotion Investing in underdogs isn’t just about rooting for the little guy. It’s about strategic opport
🚗⚡📉 Tesla at the Neckline, Amazon Near Breakout, MongoDB Earnings Surge 📊🛒🚀
$Tesla Motors(TSLA)$$Amazon.com(AMZN)$$MongoDB Inc.(MDB)$ I’m convinced this week sets up a defining moment for Tesla, Amazon, and MongoDB. I see Tesla pressing right on the neckline that decides whether it breaks lower into the $300s, Amazon coiling at the edge of a bullish breakout, and MongoDB exploding higher on blowout earnings. These are not casual levels; they are inflection points that will dictate the next major move. 📉 Tesla: Neckline Test in the $350–$300 Range I’m watching $TSLA closely as it presses on the neckline at $331. The head-and-shoulders structure is pressing against a critical pivot, and the charts are showing how important this line reall
🚨🔥 $AVGO: Broadcom Earnings & Wall Street Week Ahead Mega Forecast 🔥🚨
$Broadcom(AVGO)$$NVIDIA(NVDA)$ I believe Broadcom will close in the Flat range (-5% to +5%) on September 5, most likely between $295 and $300. Earnings will be strong, but resistance at $300 and September’s historical weakness will cap the upside. 📊 Macro & Seasonality Context September has historically been the weakest month for equities. Seasonality charts confirm: • S&P 500: steady early, sharp fade after mid-month. • Apple & Meta: typically drag indices lower. • Amazon & Microsoft: relative stabilisers. • Tesla: volatile, often resilient mid-month. The McClellan seasonal overlay illustrates how Fed cuts, tariff shocks, and geopolitical surprises can distort the September path. This ye
<Part 3 of 5> Any correction for the S&P 500? Market outlook (01Sep25)
Market Outlook of S&P500 (01Sep25) Technical observations: MACD - currently shows a downtrend as the price ranges. 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 0.21, indicating more buying pressure over the past 20 periods. Using technical analysis, 11 indicators indicate a “Buy” rating, while 3 indicate a “Sell” rating. Using the Daily interval, it has a “Strong Buy” rating. Emerging Patterns (from Grok) Bearish Engulfing (1D, Current, August 27, 2025) Implication: A bearish pattern indicating strong selling pressure, often marking the start or continuation of a downtrend. Doji (1D, 1 candle ago, August 26, 2025) I