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379
General
天行小子
·
04-11
$TSLA 20260413 312.5 PUT$ 最近除咗put tesla ,其他對持有好倉Tesla都要好小心,傳說中弱過藥煲就係佢
TSLA PUT
04-11 00:27
US20260413 312.5
SidePrice | FilledRealized P&L
Sell
Open
0.11
4Lot(s)
--
Closed
Tesla Motors
$TSLA 20260413 312.5 PUT$ 最近除咗put tesla ,其他對持有好倉Tesla都要好小心,傳說中弱過藥煲就係佢
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584
General
過路人
·
04-11
$BABA 20260417 110.0 PUT$ 下周以巴巴做投資主力。今次再加注多兩張110put。一總賣左4張。期權金平均0.1。近來見回升。正常無乜可能落到110既[胜利]  
BABA PUT
04-11 02:08
US20260417 110.0
SidePrice | FilledRealized P&L
Sell
Open
0.12
2Lot(s)
--
Closed
Alibaba
$BABA 20260417 110.0 PUT$ 下周以巴巴做投資主力。今次再加注多兩張110put。一總賣左4張。期權金平均0.1。近來見回升。正常無乜可能落到110既[胜利]
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993
General
天佑仔
·
04-13
$VITASOY INT'L(00345)$ 你唔好咁弱啦,我買返你少少啦[开心]  [开心]  [开心]  你一副就快執笠嘅樣
00345
04-13 13:14
HKVITASOY INT'L
SidePrice | FilledRealized P&L
Buy
Open
6.41
2,000
-1.40%
Holding
VITASOY INT'L
$VITASOY INT'L(00345)$ 你唔好咁弱啦,我買返你少少啦[开心] [开心] [开心] 你一副就快執笠嘅樣
TOPjazzyloo: Hold on! I'm all in![开心]
1
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3.41K
General
Mathematical Money
·
04-13
$MARA 20260515 11.0 CALL$ Covered call. Selling at closer to 0.3 delta. Hoping to get more premiums, tapering off mara positions 
MARA CALL
04-13 23:08
US20260515 11.0
SidePrice | FilledRealized P&L
Sell
Open
0.72
40Lot(s)
-107.01%
Holding
MARA Holdings
$MARA 20260515 11.0 CALL$ Covered call. Selling at closer to 0.3 delta. Hoping to get more premiums, tapering off mara positions
Comment
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4.89K
General
CutieYolkYolk
·
04-13
$NVDA 20260417 170.0 PUT$ Take profit. Stock moved higher so the short put premiums were almost all captured.  exit the trade to recycle margins to support new trades. 
NVDA PUT
04-13 22:38
US20260417 170.0
SidePrice | FilledRealized P&L
Buy
Close
0.10
2Lot(s)
+95.30%
Closed
NVIDIA
$NVDA 20260417 170.0 PUT$ Take profit. Stock moved higher so the short put premiums were almost all captured. exit the trade to recycle margins to ...
3
Report
9.31K
General
DKim
·
04-14
$FXI 20260417 35.0 PUT$ Decided to close the trade earlier to lock in profits and protect my margin
FXI PUT
04-14 00:33
US20260417 35.0
SidePriceRealized P&L
Buy
Close
0.07+88.22%
Closed
iShares China Large-Cap ETF
$FXI 20260417 35.0 PUT$ Decided to close the trade earlier to lock in profits and protect my margin
TOPquiettt: Nice call locking profits early! Margin safety first.[强]
5
Report
2.52K
General
Sandyboy
·
04-14
$TTD 20260515 25.0 CALL$ I hold this share at a loss, bought at average price of USD 65 🥲🥲. Now trying to squeeze the last few cents while I sell it at a loss
TTD CALL
04-13 21:30
US20260515 25.0
SidePrice | FilledRealized P&L
Sell
Open
0.70
1Lot(s)
-105.71%
Holding
Trade Desk Inc.
$TTD 20260515 25.0 CALL$ I hold this share at a loss, bought at average price of USD 65 🥲🥲. Now trying to squeeze the last few cents while I sell i...
1
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1.57K
General
SGX_Stars
·
04-14
Comment
Report
759
General
SGX_Stars
·
04-14

Singapore Macro Steady, Micro Rotation Clear: Institutions Add to Tech, Industrials, Utilities

Singapore: Macro Resilience in a Higher Risk Global Environment The advance 1Q26 GDP report indicates that Singapore’s economy has remained resilient on a YoY basis, while overall sequential momentum has softened amid rising imported cost pressures. March PMI data pointed to businesses placing greater emphasis on margin protection, inventory management, and supply resilience, as input and output prices continue to rise and stockbuilding accelerates. Taken together, these developments are consistent with an operating environment increasingly shaped by external cost and geopolitical risks rather than a sharp deterioration in domestic demand. The MAS MPS on April 14 also made a slight increase in the rate of appreciation of the S$NEER policy band. This allows the Singapore dollar to appreciat
Singapore Macro Steady, Micro Rotation Clear: Institutions Add to Tech, Industrials, Utilities
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1.04K
General
XAUUSD Gold Traders
·
04-14

GOLD: Gold Prices Experienced a Dramatic Rollercoaster Ride

Hello everyone! Today i want to share some macro analysis with you! On Monday (April 13), gold prices experienced a dramatic rollercoaster ride. Shocked by the complete breakdown of weekend peace talks between the US and Iran, gold prices initially plummeted by over 2%, hitting a low of $4639.65, the lowest since April 7. They then rebounded, ultimately closing down slightly by 0.2% at $4740.15. US gold futures also fell 0.4%, closing at $4767.40. $Gold - main 2606(GCmain)$$XAU/USD(XAUUSD.FOREX)$ However, in early Asian trading on Tuesday (April 14), gold prices continued their overnight rebound, rising as much as 0.5% to $4765.55, demonstrating strong resilienc
GOLD: Gold Prices Experienced a Dramatic Rollercoaster Ride
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1.23K
General
EliteOptionsTrader
·
04-14

Price Target for NBIS is $200 by the end of 2026

The easiest trade of 2026 is still $NEBIUS(NBIS)$ and most of you still don’t own it YET 📈 NBIS jumped to $150, up 100% from its February low, bringing its market cap to over $38 billion. The 200 EOY target is very much still in play. Nebius has been basing under 140 the last few months and finally broke out this week. If $NBIS can continue holding above 150 a move to 200 can come fast. Trade Plan $NEBIUS(NBIS)$ above 160 Swing: $NEBIUS(NBIS)$ 5/15 200C Day Trade: $NEBIUS(NBIS)$ 4/17 165C Updates on $NEB
Price Target for NBIS is $200 by the end of 2026
1
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1.23K
General
Jake_Wujastyk
·
04-14

.SPX, OKLO, TSLA, IREN& RIVN Enjoy Great Upward Momentum Here

Hello everyone! Today i want to share some technical analysis with you! 1 $Rivian Automotive, Inc.(RIVN)$One of the cleanest volume shelf setups in the market right now. 2 $IREN Ltd(IREN)$ Breaking out. 3 $Tesla Motors(TSLA)$X marks the spot. 4 $Oklo Inc.(OKLO)$When risk turns on, this name moves harder than almost any name in the the market. Falling wedge breaking out as the MACD nears and upside cross. $70+ is very possible as early as this month. 5 I am reading so much about the recent "volume" being extremely low on this recent move up and how it is "sca
.SPX, OKLO, TSLA, IREN& RIVN Enjoy Great Upward Momentum Here
1
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1.54K
General
EliteOptionsTrader
·
04-14

Option Strategies: .SPX, MU& META

TRADE PLAN for Tuesday 🔥 $S&P 500(.SPX)$ almost 100 pt rally from the lows. SPX setting up for the big level at 7000 this month. IF we get positive news w Iran at some point in the next 2 weeks, SPX will set up for 7200+ SPX April 15 6950C is best above 6900 $Micron Technology(MU)$ setting up to test ATH at 471, We already saw $SNDK break out above and ran an additional 250 points. SNDK to 1000 next as well. MU April 17 440C is best above 425 $Meta Platforms, Inc.(META)$ if it holds the gap above 636 overnight it can run to 650-655 next. META April 17 645C is best above 635 Good luck tmrw everyone!! 🫡
Option Strategies: .SPX, MU& META
TOPPrevi007: Wow… yet all experts are saying the conflict will be prolonged. Didn’t take the markets for being optimistic… I’ll add that to my notes.
2
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902
General
ShayBoloor
·
04-14

U.S. Tech Valuations are Booming!

U.S. tech valuations have compressed from 40x to 20x forward earnings in just weeks and now sit below where they were when ChatGPT launched. The backdrop is far more real today than it was back then: • $Meta Platforms, Inc.(META)$ is seeing ~3.5% ad click lifts from AI • Hyperscalers have committed ~$690B in capex • $Amazon.com(AMZN)$ AWS AI revenue is running at a $15B annualized pace • $NVIDIA(NVDA)$ has $1T in Blackwell + Vera Rubin orders through 2027 • Anthropic is valued at $380B and growing revenue 1,400% YoY The AI economy is the fastest growing capital deployment cycle in the history of technology and getti
U.S. Tech Valuations are Booming!
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688
General
MasterWU
·
04-14

SPY: A Very Slim Chance to Fill the Large Gap

Market Review: $SPDR S&P 500 ETF Trust(SPY)$ (1) the opening gap down was so small and short-lived, which already cast doubt on the ultra-bearish theory. (2) as I noted a few days ago--"if 6800 is broken to the upside, then it would signal a large W-3" to ATH. It looks like that will be the case now. (3) I have updated my primary count in Bamboo Scroll #219, posted to SUBS on April 11th, which already adopted this new roadmap. That was posted before the failed negotiation. (4) short-term, today's run is indeed wild and a bit unexpected--I was stopped out half of my 4/20 675 puts BE; & re-entered again mid-day near 6860 zone. (5) the last hour's squeeze-higher only appears in two spots: either the 3rd of 3rd of a bullish leg,
SPY: A Very Slim Chance to Fill the Large Gap
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807
General
Shyon
·
04-13
Last week felt like a relief rally to me, with U.S. markets rebounding strongly as tensions eased and oil prices dropped. While the price action looks bullish, I’m still cautious— inflation remains above target, growth was revised lower, and sentiment is weakening, which signals a mixed macro backdrop. I’m seeing AI and semiconductors continue to lead, with names like $ASML Holding NV(ASML)$ and $Taiwan Semiconductor Manufacturing(TSM)$ benefiting fr
Last week felt like a relief rally to me, with U.S. markets rebounding strongly as tensions eased and oil prices dropped. While the price action lo...
TOP1PC: Nice Sharing 😁 @Shernice軒嬣 2000 @JC888 @Aqa @koolgal @DiAngel @Barcode
4
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923
Selection
FlowState Alpha
·
04-13

Global Market Outlook | The Irreversibility of Sovereign Capital — Why Gold Ignores the Oil Collapse

Issued: April 13, 2026Period Covered: April 6, 2026 → April 13, 2026 1. Core Macro Dislocation: Historic Divergence Between Oil Collapse and Gold Surge Over the past week, global markets have exhibited a structural anomaly that cannot be reconciled under any traditional macro framework: $WTI原油主连 2605(CLmain)$ WTI Crude declined to 95.63 $黄金主连 2606(GCmain)$ Gold surged to 4727.45 $比特币(BTC.USD.CC)$ Bitcoin broke above 70875.66 Under conventional models, this configuration should not exist. Classical transmission: Oil ↓ → Inflation expectations ↓ → Real yields ↑ → Gold ↓ Observed reality: Oil ↓ + Gold ↑ + BTC ↑ This divergence signals a fundamental reg
Global Market Outlook | The Irreversibility of Sovereign Capital — Why Gold Ignores the Oil Collapse
TOPWayneEvans: Spot on! Gold's move as a fiat hedge is game-changing. Bullish stance.[看涨]
1
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1.20K
General
koolgal
·
04-13
🌟🌟🌟Both $Lumentum(LITE)$ and $COHERENT(COHR)$ are currently primary beneficiaries of the AI optics supercycle with NVIDIA investing USD 2 billion in each to secure long term capacity for AI data centers. LITE is often viewed as pure play for the next phase of optical networking.   It is the clear market leader in Optical Circuit Switching.   Lumentum's revenue grew 65% YoY in early 2026 & is projected to grow nearly 77% for the full year. Coherent is the powerhouse of the industry, offering a massive vertically integrated manufacturing footprint. COHR is more diversified with a large industrial
🌟🌟🌟Both $Lumentum(LITE)$ and $COHERENT(COHR)$ are currently primary beneficiaries of the AI optics supercycle with NVIDIA investing USD 2 billion i...
TOP1PC: Nice Sharing 😁 @DiAngel @Shyon @Aqa @JC888 @Barcode @Shernice軒嬣 2000
2
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242
General
Tigerong
·
04-13
Hi the latest news The day after talks collapsed, Trump escalated hard. US Central Command announced a blockade of all maritime traffic to and from Iranian ports, and Trump threatened to prevent ships from passing through the Strait of Hormuz entirely. NBC News He also said the US military is looking at resuming limited strikes inside Iran. The Strait carries roughly 20% of the world's oil supply. Any serious disruption there hits energy prices, shipping costs, and global risk appetite all at once. We are not in full escalation yet — but the direction of travel is not comforting, and investors who are not paying attention are going to get caught off guard. Even as the situation escalated, stocks wavered and oil held relatively steady — which tells you something important. The market is alr
Hi the latest news The day after talks collapsed, Trump escalated hard. US Central Command announced a blockade of all maritime traffic to and from...
TOPchocoee: Market already priced in fear? I'm watching DJT closely.
1
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403
General
Lanceljx
·
04-13
At this stage of the cycle, what drives price is no longer the quarter, but the path forward. 1. Beat vs Guidance For banks like Citigroup, Wells Fargo, and Morgan Stanley, Q1 “beats” are largely expected. Trading desks have benefited from volatility, and net interest income is stabilising. What the market is really asking: Are net interest margins peaking or extending into 2026? Is loan growth واقعی or still sluggish? Are credit losses starting to creep up? A clean beat with flat or cautious 2026 guidance often leads to a muted or negative reaction. Conversely, even a modest beat with upward guidance revision can re-rate the sector. Conclusion: Guidance matters more than the headline beat. --- 2. Is upside already priced in? Largely, yes. Financials have already rallied on: Rate stability
At this stage of the cycle, what drives price is no longer the quarter, but the path forward. 1. Beat vs Guidance For banks like Citigroup, Wells F...
TOPJulianAlerander: Guidance really matters more than earnings beat.
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