CommunityConnect with experts, uncover more opportunities
334
General
Option Wheeler
·
03-11 21:42
$U.S. Bancorp(USB)$ Looks to be oversold. commercial bank with Predictable cash flows
USB
03-11 21:41
USU.S. Bancorp
SidePrice | FilledRealized P&L
Buy
Open
52.10
20
-2.38%
Holding
U.S. Bancorp
$U.S. Bancorp(USB)$ Looks to be oversold. commercial bank with Predictable cash flows
TOPwubbix: Totally agree, banks with steady cash flows are undervalued gems.[看涨]
2
Report
449
General
一追再追
·
03-11 22:00
$Alphabet(GOOG)$ 我综合衡量整体持仓结构与风险收益比,今日沽出GOOG平仓获利。本轮操作依托基本面与技术面共振,在估值合理区间兑现收益,落袋为安。此举意在优化组合集中度,降低短期波动风险,保留现金应对后续更优机会。交易遵循纪律,不恋战、不贪顶,稳健为先。后续将继续跟踪大盘与板块节奏,等待低风险买点再布局。
GOOG
03-11 21:56
USAlphabet
SidePrice | FilledRealized P&L
Sell
Close
307.69
30
+2.11%
Closed
Alphabet
$Alphabet(GOOG)$ 我综合衡量整体持仓结构与风险收益比,今日沽出GOOG平仓获利。本轮操作依托基本面与技术面共振,在估值合理区间兑现收益,落袋为安。此举意在优化组合集中度,降低短期波动风险,保留现金应对后续更优机会。交易遵循纪律,不恋战、不贪顶,稳健为先。后续将继续跟踪大盘与板块...
TOPzippixo: Drop the bag for safety, operation first-class!
1
Report
219
General
Justin bala
·
03-11 22:12
$Goldman Sachs(GS)$ Bank stocks are in dip. Opening a small position in my portfolio is not bad, i think.
GS
03-11 22:09
USGoldman Sachs
SidePrice | FilledRealized P&L
Buy
Open
827.35
1
-5.58%
Holding
Goldman Sachs
$Goldman Sachs(GS)$ Bank stocks are in dip. Opening a small position in my portfolio is not bad, i think.
TOPAdelaideFox: Smart move! Small positions in dips are wise.[强]
1
Report
488
General
過路人
·
03-11 22:18
$BABA 20260320 95.0 PUT$ 雖然今日港股時候巴巴大跌。但我賣得95咁遠。市民無需過份擔心。
BABA PUT
03-11 22:13
US20260320 95.0
SidePrice | FilledRealized P&L
Sell
Open
0.08
2Lot(s)
+50.00%
Holding
Alibaba
$BABA 20260320 95.0 PUT$ 雖然今日港股時候巴巴大跌。但我賣得95咁遠。市民無需過份擔心。
TOPIrisJack: Selling 95 so far is really waking up, supporting you!
3
Report
3.18K
General
mster
·
03-11 22:24
$SPY 20260311 671.0 PUT$ Still wheeling SPY with 0DTE trade daily. Now selling CSP as do not have any underlying on hand.  However, am selling CSP in a more cautious manner as am avoiding taking assets if possible due to the uncertainty in geopolitical situations now. 
SPY PUT
03-11 21:55
US20260311 671.0
SidePriceRealized P&L
Sell
Open
0.62--
Closed
SPDR S&P 500 ETF Trust
$SPY 20260311 671.0 PUT$ Still wheeling SPY with 0DTE trade daily. Now selling CSP as do not have any underlying on hand. However, am selling CSP i...
TOPDaveLewis: Sensible CSP strategy with the geopolitical risks. Stay cautious![看跌]
1
Report
4.88K
General
VNW Capital
·
03-11 23:03
$GLW VERTICAL 260417 PUT 115.0/PUT 120.0$ Corning is a buy base on fundamental and technical side. Price above 50 and 200 SMA and now exactly resting /supported by its 20 EMA and 20 MA. Giving this trade 1 month to be profitable. 
GLW Vertical
03-11 22:57
US115.0/120.0
SidePrice | FilledRealized P&L
Credit
Open
-1.37
3
--
Holding
GLW VERTICAL 260417 PUT 115.0/PUT 120.0
$GLW VERTICAL 260417 PUT 115.0/PUT 120.0$ Corning is a buy base on fundamental and technical side. Price above 50 and 200 SMA and now exactly resti...
TOPNormaHansen: Solid analysis! GLW poised to surge in a month.[得意]
1
Report
1.06K
General
LiverpoolRed
·
03-11 23:16
$SE 20260320 82.5 PUT$ selling put option to earn premium and leveraging my share price 
SE PUT
03-11 23:16
US20260320 82.5
SidePrice | FilledRealized P&L
Sell
Open
1.30
1Lot(s)
-3.07%
Holding
Sea Ltd
$SE 20260320 82.5 PUT$ selling put option to earn premium and leveraging my share price
Comment
Report
2.90K
General
Papa Bear
·
03-12 06:52
$CRWV 20260320 99.0 CALL$ Price trapped in a range $63.8-114.5,  suitable for selling calls during price rise and elevated IV. AI infrastructure theme is still taking a back seat to oil. My guess is unlikely breakout to upside.
CRWV CALL
03-11 22:13
US20260320 99.0
SidePrice | FilledRealized P&L
Sell
Open
0.76
1Lot(s)
+61.85%
Holding
CoreWeave, Inc.
$CRWV 20260320 99.0 CALL$ Price trapped in a range $63.8-114.5, suitable for selling calls during price rise and elevated IV. AI infrastructure the...
TOPElvisMarner: Selling calls spot on, IV peaked! Oil theme leading, AI lagging behind.[吃瓜]
1
Report
302
General
天佑仔
·
03-12 09:42
$VITASOY INT'L(00345)$ 為什麼突然會扣咁多呢?[流泪]  [流泪]  就快補晒所有倉,莫非維他奶真係唔識得升?[喷血]  
00345
03-12 09:41
HKVITASOY INT'L
SidePrice | FilledRealized P&L
Buy
Open
6.64
2,000
-3.31%
Holding
VITASOY INT'L
$VITASOY INT'L(00345)$ 為什麼突然會扣咁多呢?[流泪] [流泪] 就快補晒所有倉,莫非維他奶真係唔識得升?[喷血]
TOPblinkix: Vitasoy has been falling so hard lately that I am so tight[流泪]
1
Report
3.49K
General
Porsche with no brakes
·
03-12 10:07
$JDC.HK 20260429 105.00 PUT$ Decided to close this April sell put because there is a dividend payout in the middle. 
JDC.HK PUT
03-12 09:34
HK20260429 105.00
SidePrice | FilledRealized P&L
Buy
Close
4.76
6Lot(s)
+35.84%
Closed
JDC 260429 105.00 PUT
$JDC.HK 20260429 105.00 PUT$ Decided to close this April sell put because there is a dividend payout in the middle.
1
Report
192
General
Am3n_Tao
·
03-12 16:30
$Wilmar Intl(F34.SI)$ sell off a bit for lunch money. Holding the rest for a while more
F34.SI
03-12 16:29
SIWilmar Intl
SidePrice | FilledRealized P&L
Sell
Close
3.74
1,300
-21.91%
Closed
Wilmar Intl
$Wilmar Intl(F34.SI)$ sell off a bit for lunch money. Holding the rest for a while more
TOPvibzee: Smart move! Locking in some gains. Hold tight![开心]
1
Report
896
General
Shyon
·
03-11 15:27
From my perspective, the surge in oil and gas prices is mainly driven by immediate supply risk. The Strait of Hormuz is one of the world’s most critical energy choke points, and even partial disruption can shake global markets. With a large share of global oil and LNG passing through the region, traders are naturally pricing in a geopolitical risk premium. If tensions persist for several weeks, oil moving toward $90–$100 is plausible as supply tightens. In that scenario, I would lean toward energy equities like Energy Select Sector SPDR Fund or producers such as Occidental Petroleum, which typically benefit from higher crude prices. That said, I wouldn’t chase the rally too aggressively. Geopolitical spikes can reverse quickly if tensions ease, potentially sending oil back toward $60–$70.
From my perspective, the surge in oil and gas prices is mainly driven by immediate supply risk. The Strait of Hormuz is one of the world’s most cri...
TOP1PC: Nice Sharing 😁 @DiAngel @koolgal @JC888 @Barcode @Aqa @Shernice軒嬣 2000
2
Report
15.30K
General
Wesley_Master
·
03-11 15:46

Why did NIO jump over 15% despite a 15 billion yuan full-year loss?

$NIO$ $NIO-SW (09866)$ $NIO (NIO.SI)$ If we only look at the annual profit statement, NIO's financial report is not easy. In 2025, the company's annual net loss was 14.94 billion yuan, and the net loss attributable to common stock shareowners was 15.57 billion yuan. However, if we only look at the data for the fourth quarter, the operating profit turned positive to 807 million yuan, achieving quarterly profitability for the first time. On the first U.S. stock trading day after the release of the financial report, NIO's stock price rose by more than 15%. This indicates that the market has recognized that NIO's operations have undergone a qualitative change in the fourth
Why did NIO jump over 15% despite a 15 billion yuan full-year loss?
TOPJackJackson: Spot on! NIO's Q4 profit shift is the real deal.[强]
1
Report
252
General
Shyon
·
03-11 18:26
From my perspective, the key theme this week is the strength in crypto exchanges and financial data providers. Stocks like Coinbase Global, Inc. $Coinbase Global, Inc.(COIN)$ are benefiting from renewed crypto momentum, while companies such as S&P Global and FactSet $FactSet Research(FDS)$ continue to prove the resilience of their data-driven business models. However, I’m cautious about chasing prices near resistance levels. Crypto-related equities are highly sensitive to Bitcoin’s direction, so any pullback could quickly affect names like Coinbase Global, Inc.. With the upcoming Federal Reserve meeting, volatility
From my perspective, the key theme this week is the strength in crypto exchanges and financial data providers. Stocks like Coinbase Global, Inc. $C...
TOPDollydolly: Spot on, mate. Crypto plays swing hard with Fed noise, better to nibble on dips.[吃瓜]
2
Report
456
General
Shyon
·
03-11 18:28
From my perspective, the surge in precious metals shows how quickly capital moves into safe havens during geopolitical tension. When Middle East risks escalated, investors piled into gold and silver through vehicles like SPDR Gold Shares $SPDR Gold Shares(GLD)$ $SPDR Gold MiniShares Trust(GLDM)$ & iShares Silver Trust $iShare
From my perspective, the surge in precious metals shows how quickly capital moves into safe havens during geopolitical tension. When Middle East ri...
TOPwigglyz: Agree, holding gold as hedge makes sense. Silver's dips could be buying chances if you stomach volatility.[看涨]
2
Report
456
General
Shyon
·
03-11 18:42
After using TigerAI Portfolio Analysis, I realized my portfolio is high-conviction and growth-focused, heavily tilted toward AI and semiconductors. Holdings like $Palantir Technologies Inc.(PLTR)$ and leveraged ETFs such as $Direxion Daily Semiconductors Bull 3x Shares(SOXL)$ show it’s more “offensive” than balanced. The biggest surprise was how much leveraged exposure I actually have. Positions like $Direxion Daily TSLA Bull 1.5X Shares(TSLL)$ and
After using TigerAI Portfolio Analysis, I realized my portfolio is high-conviction and growth-focused, heavily tilted toward AI and semiconductors....
TOPOYoung: Leveraged ETFs amplify risks — learned that the hard way too![惊讶]
2
Report
946
Hot
koolgal
·
03-11 18:43
🌟🌟🌟The ongoing war with Iran is causing volatility in the markets with $Invesco QQQ(QQQ)$ on a downward pressure.  A good options strategy is Bear Call Spread on QQQ if you are neutral to moderately bearish. How It Works:  You sell at a Call at a lower strike price eg. USD 610 to collect a premium.  At the same time you buy a Call at a higher strike price eg. USD 615 to cap your potential losses.  Both transactions have the same expiration date. The Profit:  Your maximum profit is the net credit which is the difference in premiums you receive upfront.  This is realised if QQQ closes below the strike price at expiration. Your maximum loss is capped.  This is calculated as the difference between strikes minus the
🌟🌟🌟The ongoing war with Iran is causing volatility in the markets with $Invesco QQQ(QQQ)$ on a downward pressure. A good options strategy is Bear C...
TOPMartinBrown: Solid strategy for volatile markets! Capped losses make sense.[看跌]
13
Report
57.85K
General
Elliottwave_Forecast
·
03-11 19:00

AUBANK Expanding Triangle Suggests Strong Upside Toward 1138

AUBANK completes a rare expanding triangle in wave (4), suggesting the next impulsive rally could target the 1138–1322 region as the broader bullish cycle continues. AU Small Finance Bank Ltd. (AUBANK) appears to have completed its cycle degree correction in wave II at 477.75. The stock then turned higher and started a new bullish cycle in wave III. This move suggests that the market has entered a fresh impulsive phase with strong long-term potential. From the 477.75 low, the stock formed an initial three-wave advance. After that rally, price entered a corrective phase labeled blue wave (4). This pullback unfolded as an expanding triangle, which is a rare Elliott Wave pattern. Such triangles usually appear before a strong continuation of the trend. Expanding Triangle Indicates Trend Contin
AUBANK Expanding Triangle Suggests Strong Upside Toward 1138
TOPglimzy: Solid call on AUBANK! Pullbacks are golden entry chances.[看涨]
1
Report
57.53K
General
Elliottwave_Forecast
·
03-11 19:01

Chevron (CVX): An Elliott Wave Impulse Since 04.07.2025 with a Target at $203.75

Chevron Corporation (NYSE: CVX) is one of the world’s largest multinational energy companies. Headquartered in San Ramon, California, Chevron operates in more than 180 countries. It participates in nearly every aspect of the oil and gas industry, including exploration, production, refining, transportation, and marketing. As one of the major global oil “supermajors,” Chevron plays a critical role in supplying energy to the world. Chevron’s operations are typically divided into two primary segments: upstream and downstream. The upstream segment focuses on the exploration and production of crude oil and natural gas. Meanwhile, the downstream segment includes refining petroleum into fuels, producing petrochemicals, and marketing products such as gasoline and lubricants. Through these activitie
Chevron (CVX): An Elliott Wave Impulse Since 04.07.2025 with a Target at $203.75
TOPgroovix: Wave structure points higher, CVX momentum strong[看涨]
1
Report
57.90K
General
Elliottwave_Forecast
·
03-11 19:03

Elliott Wave Perspective: Assessing Oil’s (CL) Upside Amid War-Driven Volatility

The short-term Elliott Wave outlook in Crude Oil (CL) indicates that the cycle from the December 16, 2025 low has advanced as a five-wave impulse. From that low, wave (1) concluded at $66.48, followed by a corrective pullback in wave (2) which ended at $61.12. The commodity then resumed its upward trajectory in wave (3), reaching $77.98, before another retracement in wave (4) that settled at $71.65. The final leg, wave (5), extended sharply and terminated at $119.40, thereby completing wave ((1)) at a higher degree. With this structure in place, the market has now entered a corrective phase in wave ((2)), designed to retrace the cycle that began in December 2025. The internal subdivision of this correction is unfolding as a zigzag pattern. From the $119.40 peak, wave (A) declined impulsive
Elliott Wave Perspective: Assessing Oil’s (CL) Upside Amid War-Driven Volatility
TOPkeke006: Solid wave count, but cautious on that next dip. Might sit tight.[看跌]
1
Report
 
 
 
 

Most Discussed

 
 
 
 
 

7x24