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Macquarie Warrants Singapore
·
09:40

Singapore banks 2Q26 preview – rates picture more supportive

The three local banks surged to all-time highs this month, driven by a wave of analyst upgrades and pre-earnings optimism - with the trio outperforming the STI by a wide margin and DBS crossing S$200 billion in market cap for the first time (Business Times) Consequently, call warrants tracking the three banks are amongst the top 10 warrant gainers this month-to-date, moving 9 to 20 times more than their respective bank shares which have rallied as much as 10% this month Put warrants tracking all three banks on the other hand, are also amongst the top losers this month-to-date with losses up to 87%  Macquarie Warrants Singapore has listed new put warrants over all there banks this morning – interested investors can find out more information on them within the article Macquarie Research
Singapore banks 2Q26 preview – rates picture more supportive
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DailyOptions999
·
07-14 14:13

🎯 $Exxon Mobil (XOM) Options Strategy: Bull Call Spread

$Exxon Mobil(XOM)$ - Underlying: XOM - View: Cautiously Bullish (Short-term breakout above $144.51, targeting consolidation near $145 with potential to test $148-$150. RSI near 70 suggests momentum but potential for pause). - Strategy Type: Debit Spread / Directional Bullish - Option Contract Portfolio: - Buy 1 XOM 17JUL2026 $145.00 Call @ $1.96 (Mid Price) - Sell 1 XOM 17JUL2026 $148.00 Call @ $0.995 (Mid Price) - Max Gain & Loss: Max Gain = $205, Max Loss = $95 - Initial Cost/Credit: Net Debit of ~$0.965 per spread.
🎯 $Exxon Mobil (XOM) Options Strategy: Bull Call Spread
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DailyOptions999
·
07-14 16:44

🎯 $Microsoft Corp.(MSFT) Options Strategy: Bull Call Spread

$Microsoft(MSFT)$ Underlying: MSFT View: Cautiously optimistic; short-term bullish momentum, targeting $400 resistance. Strategy Type: Debit Spread / Directional Bullish Option Contract Portfolio: Buy 1 MSFT 17 Jul 2026 $395 Call Sell 1 MSFT 17 Jul 2026 $400 Call Max Gain & Loss: Max Gain = $500 (Width of spread - Net Debit). Max Loss = Net Debit Paid. Initial Cost/Credit: Debit of ~$2.80 (Estimated from chain: Buy $395 Call @ ~$2.78, Sell $400 Call @ ~$1.45).
🎯 $Microsoft Corp.(MSFT) Options Strategy: Bull Call Spread
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214
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DailyOptions999
·
07-14 16:35

🎯 $Snowflake(SNOW) Options Strategy: Bull Call Spread (Debit Spread)

$Snowflake(SNOW)$ - Underlying: SNOW - View: Cautiously bullish with a target near $285, expecting a breakout above the $270 pivot but acknowledging potential for near-term consolidation (RSI >70, MACD histogram negative). - Strategy Type: Bullish Debit Spread / Directional - Option Contract Portfolio: - Buy 1 SNOW 17 JAN 2025 $270 Call - Sell 1 SNOW 17 JAN 2025 $290 Call - Max Gain & Loss: - Max Gain: $2,000 per spread (($290 - $270) * 100) - Net Debit - Max Loss: Limited to the net debit paid. - Initial Cost/Credit: Debit of ~$1,200 (Estimated mid-price: Buy $10.55 - Sell $3.68 = $6.87 debit per spread).
🎯 $Snowflake(SNOW) Options Strategy: Bull Call Spread (Debit Spread)
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DailyOptions999
·
07-14 16:36

🎯 $Palantir Technologies Inc.(PLTR) Options Strategy: Bull Call Spread

$Palantir Technologies Inc.(PLTR)$ - Underlying: PLTR - View: Cautiously Optimistic / Oversold Rebound - Strategy Type: Debit Spread / Directional - Option Contract Portfolio: - Buy 1 PLTR 2026-07-24 $130 Call @ $5.00 (Mid Price) - Sell 1 PLTR 2026-07-24 $135 Call @ $2.865 (Mid Price) - Max Gain & Loss: Max Gain = $286.5, Max Loss = $213.5 - Initial Cost/Credit: Net Debit = $2.135 per spread
🎯 $Palantir Technologies Inc.(PLTR) Options Strategy: Bull Call Spread
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Trend_Radar
·
07-14 22:30

$PFE Undervalued Pharma Play Shows Signs of Recovery

$Pfizer(PFE)$ $Pfizer Inc.(PFE) Edges Up +1.28%: Pharma Giant Holds Support Amid Downgrade, $24.5 Pivot in Focus 📈 Latest Close Data 📊 Closed at $24.48 on 2026-07-14, up +1.28% ($0.31). The stock is currently 15.0% below its 52-week high of $28.75. Core Market Drivers ⚙️ The stock is navigating a mixed environment. A key headwind is HSBC's recent downgrade to "Hold" from "Buy" and a price target cut to $28 from $32, citing concerns over near-term fundamentals. However, the high dividend yield of 7.03% continues to provide a floor, attracting income-focused investors in a volatile market. Technical Analysis 📈 Volume was steady at 42.95M shares (Volume Ratio 1.09). The MACD histogram turned positive (+0.096), indicating building bulli
$PFE Undervalued Pharma Play Shows Signs of Recovery
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Trend_Radar
·
07-14 22:27

$VZ Recovery Gains Traction as $43.5 Comes Into View

$Verizon(VZ)$ $Verizon Comms (VZ) Gains +1.33%: Telecom Giant Stabilizes Above $42, Eyes $43.5 Pivot 📈 Latest Close Data: Closed at $42.68 on July 14th, up +1.33% (+$0.56). It remains -17.4% below its 52-week high of $51.68. Core Market Drivers: The stock is stabilizing after recent pressure from its removal from the Dow Jones Industrial Average (replaced by Alphabet). A key development is the formation of a 50:50 joint venture with British Telecom to serve multinational clients, expected to generate ~$40B in annual revenue, though it involves a $625M cash payment from Verizon. Technical Analysis: Volume was 24.78M shares (Volume Ratio 0.73), indicating below-average activity, suggesting consolidation. The MACD histogram is at -0.29,
$VZ Recovery Gains Traction as $43.5 Comes Into View
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Trend_Radar
·
07-14 22:15

$DXCM Nears a Technical Breakout Above $76.5

$DexCom(DXCM)$ $DexCom, Inc. (DXCM) Gained +1.85%: Approaching Key Resistance on Strong Capital Flow 📈 Latest Close Data 🎯 DexCom closed at $76.35 on 2026-07-14, up +1.85% from the previous day. The current price is approximately 15.2% below its 52-week high of $89.98. Core Market Drivers 💡 The stock is rebounding from a recent dip, supported by sustained institutional interest. The broader medical device sector has shown mixed performance, but DXCM is demonstrating relative strength. Continued focus on its core Continuous Glucose Monitoring (CGM) technology and long-term growth targets underpin investor confidence. Technical Analysis 📊 Volume of 3.55M shares was slightly below average (Volume Ratio: 0.75), suggesting the move lack
$DXCM Nears a Technical Breakout Above $76.5
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Trend_Radar
·
07-14 22:13

$T Reclaims $21.5 as Bulls Eye the Next Breakout

$AT&T Inc(T)$ $AT&T Inc. (T) Rallies +1.99%: Telecom Giant Reclaims $21.5 Pivot, High-Yield Stability Beckons 📈 Latest Close: Closed at $21.55 on July 14th, up +1.99%. Price is now 27.7% below its 52-week high of $29.79. Core Market Drivers: 1️⃣ The stock is rebounding from a recent low, buoyed by a positive industry-wide sentiment. 2️⃣ A key catalyst was the successful completion of a low-latency mobility field trial with Ericsson and MediaTek on AT&T's network, showcasing technological advancement. 3️⃣ Despite this, recent analyst downgrades (e.g., Morgan Stanley cutting target to $25) highlight ongoing concerns over growth and competitive pressures. Technical Analysis: 📊 Volume was solid at 65.5M shares (Volume Ratio 0.
$T Reclaims $21.5 as Bulls Eye the Next Breakout
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2.20K
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Trend_Radar
·
07-14 22:11

$MA Technical Breakout Could Open the Door to $560

$MasterCard(MA)$ $Mastercard(MA) Rallies +2.08%: Defying Market Slump, Bulls Eye $548 Resistance 🚀 Latest Close Data 📈 Closed at $537.70 (+2.08% / +$10.96) on 2026-07-14, now ~$64.07 (10.6%) below its 52-week high of $601.77. Core Market Drivers 🧩 The stock showed resilience with a strong intraday reversal, bouncing from its open price of $530.71. This outperformance comes despite a generally weak trading session in the broader payments sector, indicating underlying institutional support. Technical Analysis 📊 Volume was 2.87M shares with a Volume Ratio of 1.01, suggesting average but balanced participation. The RSI(6) is at 71.5, approaching overbought territory, signaling strong short-term momentum. The MACD shows a bullish configur
$MA Technical Breakout Could Open the Door to $560
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6.64K
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Mathematical Money
·
07-10
$MARA 20260731 14.5 CALL$ Selling more covered calls in anticipation most wont be assigned tonight. Squeeze out more premiums 
MARA CALL
07-10 23:56
US20260731 14.5
SidePrice | FilledRealized P&L
Sell
Open
0.45
30Lot(s)
+37.78%
Holding
MARA Holdings
$MARA 20260731 14.5 CALL$ Selling more covered calls in anticipation most wont be assigned tonight. Squeeze out more premiums
1
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1.05K
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天行小子
·
07-11
$SOXL 20260717 120.0 PUT$ 博一博⋯⋯只要星期一右大跌就賺大了,看來市場恐慌情緒又平和左,所以上吧
SOXL PUT
07-11 03:40
US20260717 120.0
SidePrice | FilledRealized P&L
Sell
Open
1.17
20Lot(s)
--
Closed
Direxion Daily Semiconductors Bull 3x Shares
$SOXL 20260717 120.0 PUT$ 博一博⋯⋯只要星期一右大跌就賺大了,看來市場恐慌情緒又平和左,所以上吧
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過路人
·
07-13 10:36
$MINIMAX-WP(00100)$ 有無搞錯呀。今日又大跌14%。ai係咪騙局黎架。買左三日跌足三日。仲要係日日都大跌。我唔玩喇。比返d錢我呀[流泪]  [流泪]  [流泪]  
00100
07-13 10:33
HKMINIMAX-WP
SidePrice | FilledRealized P&L
Buy
Open
226.80
60
+17.91%
Holding
MINIMAX-WP
$MINIMAX-WP(00100)$ 有無搞錯呀。今日又大跌14%。ai係咪騙局黎架。買左三日跌足三日。仲要係日日都大跌。我唔玩喇。比返d錢我呀[流泪] [流泪] [流泪]
TOP888 嘅 Chui: I followed your operation[捂脸]
3
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649
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過路人
·
07-13 21:36
$SOXL 20260717 70.0 PUT$ 賣put70有0.14。算係賣到好價錢。上周最低只有賣到85。今周有70當然不會再賣85啦[贱笑]  
SOXL PUT
07-13 21:31
US20260717 70.0
SidePrice | FilledRealized P&L
Sell
Open
0.14
5Lot(s)
+28.58%
Holding
Direxion Daily Semiconductors Bull 3x Shares
$SOXL 20260717 70.0 PUT$ 賣put70有0.14。算係賣到好價錢。上周最低只有賣到85。今周有70當然不會再賣85啦[贱笑]
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2.46K
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PoorBoyLeon
·
07-13 21:46
$INTC 20260715 98.0 PUT$ Sold 2DTE PUT @ 98 strike. Red day, close to support.  To be assigned or keep the premiums. Happy with either. 😊 
INTC PUT
07-13 21:43
US20260715 98.0
SidePrice | FilledRealized P&L
Sell
Open
1.07
2Lot(s)
--
Closed
Intel
$INTC 20260715 98.0 PUT$ Sold 2DTE PUT @ 98 strike. Red day, close to support. To be assigned or keep the premiums. Happy with either. 😊
TOPglowzi: I sold the same expiry put too, this is exactly the kind of spot I like collecting premium
1
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766
General
LiverpoolRed
·
07-13 22:17
$PLTR 20260717 122.0 PUT$ selling put option to earn premium and leveraging my share price.  want to buy back at lower price
PLTR PUT
07-13 22:17
US20260717 122.0
SidePrice | FilledRealized P&L
Sell
Open
1.29
1Lot(s)
+82.95%
Holding
Palantir Technologies Inc.
$PLTR 20260717 122.0 PUT$ selling put option to earn premium and leveraging my share price. want to buy back at lower price
TOPlonglive100: I sold the 30C last week too, your 122P is way more aggressive. Theta helps fast into July, but how are you hedging vega here
1
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805
General
Stormytw
·
07-13 22:18
$Tesla Motors(TSLA)$ Regular tesla trading, more sideways but patience for robotaxi. It takes times to change the world
TSLA
07-13 22:16
USTesla Motors
SidePrice | FilledRealized P&L
Buy
Open
393.80
10
+0.52%
Holding
Tesla Motors
$Tesla Motors(TSLA)$ Regular tesla trading, more sideways but patience for robotaxi. It takes times to change the world
2
Report
920
General
菜饭之道
·
07-13 22:24
$ONDS 20270617 5.0 PUT$ 25% ROI in less than 1 year. Lets see how this trade turns out. Looking forward to some #CaiFanMoney.
ONDS PUT
07-13 22:23
US20270617 5.0
SidePrice | FilledRealized P&L
Sell
Open
1.26
150Lot(s)
-1.58%
Holding
Ondas Holdings Inc.
$ONDS 20270617 5.0 PUT$ 25% ROI in less than 1 year. Lets see how this trade turns out. Looking forward to some #CaiFanMoney.
TOPBellaFaraday: Sold ONDS puts before too, that 5 strike with this tenor pays pretty clean. 25% in under a year is solid
1
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989
General
逆天邪神云澈
·
07-13 22:42
$NVO 20260807 46.0 PUT$ Earnings play  Hope it expires worthless Setting a goal for Jul 2026: to collect more than $3,000 in premium (including premiums paid to close the options). June 2026: $1,721 Jul 2026 - Collected to date: $8,853
NVO PUT
07-13 22:41
US20260807 46.0
SidePrice | FilledRealized P&L
Sell
Open
1.06
1Lot(s)
+0.95%
Holding
Novo-Nordisk A/S
$NVO 20260807 46.0 PUT$ Earnings play Hope it expires worthless Setting a goal for Jul 2026: to collect more than $3,000 in premium (including prem...
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1.86K
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逆天邪神云澈
·
07-13 22:43
$NVO 20260807 46.0 PUT$ Earnings  play Hope it expires worthless Setting a goal for Jul 2026: to collect more than $3,000 in premium (including premiums paid to close the options). June 2026: $1,721 Jul 2026 - Collected to date: $8,960
NVO PUT
07-13 22:42
US20260807 46.0
SidePrice | FilledRealized P&L
Sell
Open
1.07
1Lot(s)
+1.87%
Holding
Novo-Nordisk A/S
$NVO 20260807 46.0 PUT$ Earnings play Hope it expires worthless Setting a goal for Jul 2026: to collect more than $3,000 in premium (including prem...
TOPtwiddly: I sell NVO puts too, theta doing the heavy lifting lol
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