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7.15K
General
Terry Tan
·
08-07
$NASA 20260911 27.0 CALL$ I am holding 2000 stocks at $27, market is up and it's the best time to sell some calls. Even if I stay flat on this 2000 stocks. I have earned USD4k+ on premium itself. Fair enough.
NASA CALL
08-07 22:27
US20260911 27.0
SidePrice | FilledRealized P&L
Sell
Open
1.10
20Lot(s)
+81.82%
Holding
Tema Space Innovators ETF
$NASA 20260911 27.0 CALL$ I am holding 2000 stocks at $27, market is up and it's the best time to sell some calls. Even if I stay flat on this 2000...
TOPGuy: I like this covered call setup too. 27 strike feels fair if premium stays over 1, you letting assignment happen or rolling it
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3.65K
General
Terra_Incognita
·
08-08
$USO 20260814 150.0 CALL$ USO: take profit. Sold this naked short when the oil spiked higher on 23rd July.  With most of the premium collected, decided to close 1 week ahead of expiry to recycle margins for new trades.
USO CALL
08-08 01:17
US20260814 150.0
SidePriceRealized P&L
Buy
Close
0.12+98.11%
Closed
United States Oil Fund LP
$USO 20260814 150.0 CALL$ USO: take profit. Sold this naked short when the oil spiked higher on 23rd July. With most of the premium collected, deci...
TOPfuddie: Closed mine early too, IV came in fast. A week early makes sense, what setup are you rotating into
1
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12.57K
General
mster
·
08-08
$ASML 20261218 1740.0 CALL$ Bought this Call towards end day base on technical.  The share price was trending higher but retreated towards end day. RSI is Turing positive on daily candle.  Looking to be likely a Green Day to follow.  Green Day it was on Friday.  But the green also didn't last long, went flat after the spike in the morning session.  Despite the retreat it was still a good day decided to take money off the table instead of holding over the weekend.  Not too bad for a 1 day trade nonethless. 
ASML CALL
08-08 03:06
US20261218 1740.0
SidePriceRealized P&L
Sell
Close
235.50+7.04%
Closed
ASML Holding NV
$ASML 20261218 1740.0 CALL$ Bought this Call towards end day base on technical. The share price was trending higher but retreated towards end day. ...
TOPYTGIRL: I was watching the ASML call too and passed lol. Taking the one day win was clean — do you think Monday gaps up straight away?
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19.59K
General
Shyon
·
08-08
$SpaceX(SPCX)$ I decided to average down my $SpaceX(SPCX.US) position because the recent pullback is starting to look more like a near-term reset than a change in the long-term story. After the heavy selling pressure following its first earnings report and the post-IPO share unlock, the stock appears to be finding support and beginning to rebound. For me, this is exactly the kind of weakness I'm willing to use to improve my average entry price, especially if momentum continues to stabilize. I'm not trying to catch the exact bottom, but the risk-reward looks more attractive now compared with chasing the stock at much higher levels. Fundamentally, I still see several powerful long-term growth drivers. SpaceX is not simply a launch company — Sta
SPCX
08-07 19:48
USSpaceX
SidePriceRealized P&L
Buy
Open
115.00+22.34%
Holding
SpaceX
$SpaceX(SPCX)$ I decided to average down my $SpaceX(SPCX.US) position because the recent pullback is starting to look more like a near-term reset t...
TOP1PC: Nice Sharing 😁 @DiAngel @Aqa @Barcode @JC888 @koolgal @Shernice軒嬣 2000
8
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14.30K
General
Ingstrid Capital
·
08-08
$TTD 20260814 15.0 PUT$ 2nd attempt at an earnings play. Glad it turned out well. Could've sized up abit more considering the win earlier in the week my  5DTE PLTR long calls  for their earnings play.
TTD PUT
08-07 22:04
US20260814 15.0
SidePrice | FilledRealized P&L
Sell
Close
1.30
20Lot(s)
+400.96%
Closed
Trade Desk Inc.
$TTD 20260814 15.0 PUT$ 2nd attempt at an earnings play. Glad it turned out well. Could've sized up abit more considering the win earlier in the we...
TOPAdamDavis: I sold TTD puts too, your timing was cleaner. Letting the shares go here or rolling again?
2
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6.61K
General
VNW Capital
·
08-10
$GOOGL VERTICAL 260918 PUT 340.0/PUT 345.0$ Remain bullish to GOOGL. Wide, strong moat.ROI of 40% and net profit of 55% beating the industry, what to ask for. It's an opportunity to take lucrative premium and get paid waiting. Price still below it's fair value $433.
GOOGL Vertical
08-07 22:59
US340.0/345.0
SidePrice | FilledRealized P&L
Credit
Open
-1.74
3
--
Holding
GOOGL VERTICAL 260918 PUT 340.0/PUT 345.0
$GOOGL VERTICAL 260918 PUT 340.0/PUT 345.0$ Remain bullish to GOOGL. Wide, strong moat.ROI of 40% and net profit of 55% beating the industry, what ...
TOPJeromeErnest: 40% ROI and 55% net margin is nasty good. Moat is doing the heavy lifting here, fair value at 433 doesn't look stretched at all
3
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6.16K
General
VNW Capital
·
08-10
$IREN CALENDAR 260814/260918 PUT 46.0/PUT 46.0$ Rolled for another month on 7 Aug for additional premium as it's expiring in 14 Aug, stock is rallying since then and this new position is now in 14% profit.
IREN Calendar
08-07 21:50
US46.0/46.0
SidePrice | FilledRealized P&L
Credit
Close
-2.68
3
--
Closed
IREN CALENDAR 260814/260918 PUT 46.0/PUT 46.0
$IREN CALENDAR 260814/260918 PUT 46.0/PUT 46.0$ Rolled for another month on 7 Aug for additional premium as it's expiring in 14 Aug, stock is rally...
TOPFranklinMorley: Nice roll, 14% that fast is clean. Letting it ride into expiry or taking some off?
2
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2.66K
Selection
程俊Dream
·
08-10

Why I Think Gold Is the Biggest Opportunity Right Now: The Most Critical Price Levels to Watch!

The long-awaited breakout in gold’s rebound finally arrived last week. With a 7% gain in a single week, gold quickly achieved the measured target of its daily-chart double-bottom breakout. The question now is whether the rebound can continue—and, if so, where the next major resistance levels may emerge. To answer that question, we should first compare the price action of gold futures and spot gold. After the front-month futures contract rolled over to December, the time-related premium created a spread of roughly 1.5%, or approximately $60–$70, between futures and spot prices. More importantly, futures have already broken out of the descending channel that had been in place since the beginning of the year, while spot gold has yet to make a similar breakout. In the spot market, the key resi
Why I Think Gold Is the Biggest Opportunity Right Now: The Most Critical Price Levels to Watch!
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748
General
Trend_Radar
·
08-10

SNOW Hits $330, AI Re-Rating Fuels the Next Leg Higher

$Snowflake(SNOW)$ $Snowflake (SNOW) +3.93% to New 52-Week Highs, Momentum Overflowing; $331.30 Breakout Activates $350 Target Zone 💎 Latest Close Data: $SNOW soared to a record $330.49 (+3.93%), printing a fresh 52-week high of $331.40. The price decisively closed above the prior resistance pivot with strong volume momentum. Core Market Drivers: The AI data infrastructure sector is roaring, with the massive $188B valuation of Databricks triggering a re-rating of the entire space. Wall Street is piling in, with a cascade of target hikes (UBS to $370, BTIG to $340) adding rocket fuel. The launch of Cortex AI Gateway is solidifying SNOW's position as a premier enterprise AI play. Technical Analysis: 📊 The breakout is confirmed by surging volume (6.22
SNOW Hits $330, AI Re-Rating Fuels the Next Leg Higher
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386
General
Trend_Radar
·
08-10

ETSY Builds Momentum: Can Bulls Break the 52-Week High?

$Etsy(ETSY)$ $Etsy, Inc.(ETSY) +4.00% Rally: E-Commerce Play Nears 52-Week Highs, Breakout Above $86.45 in Sight 🚀 Latest Close Data: Closed at $85.55 (+4.00%) on Aug 10, 2026. The price surged from $82.26, approaching the 52-Week High of $87.97 and breaking immediate resistance. 📈 Core Market Drivers: Etsy surged as bargain hunting emerged following the recent sell-off triggered by mixed Q2 earnings. Market sentiment shifted positive after the successful sale of Depop to eBay was highlighted, allowing management to focus on the core handmade marketplace. The strong volume indicates conviction in the rebound. 🛍️ Technical Analysis: Volume spiked to 538.02万 (Volume Ratio 1.47), confirming strong buying pressure. MACD shows a bearish convergence sig
ETSY Builds Momentum: Can Bulls Break the 52-Week High?
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917
General
SGX_Stars
·
08-10

STI Banks' Combined NOII Reaches Record S$5.72 Billion in 2Q26

The combined index weight of $DBS(D05.SI)$ $OCBC Bank(O39.SI)$ $UOB(U11.SI)$ now accounts for around 20% of the FTSE ASEAN All-Share Index, up from around 9% at end-2019. Together, the trio manage approximately S$1.5 trillion in loans and deposits and have a combined market capitalisation of around S$420 billion. For 2Q26, the trio reported record combined total income of S$13.86 billion, comprising S$8.14 billion in net interest income and a record S$5.72 billion in non-interest income. Combined Income Record NOII Driven by Wealth, Treasury and Trading Activity Combined non-interest income (NOII) for DBS, OCBC and UOB reached a record S$5.72 billion in 2Q2
STI Banks' Combined NOII Reaches Record S$5.72 Billion in 2Q26
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2.55K
Selection
AI_FocusedTrader
·
08-10

So Many SReits on Orchard, Which Ones Have You Visited?

Over the National Day break, I was traveling in Singapore and couldn't help but notice that many S-REITs own some of the most iconic properties right along Orchard Road. From luxury malls to Grade A offices, this stretch is essentially a "REIT boulevard." Here's a deep dive into the five key S-REITs with assets on Orchard Road — their profiles, latest prices as of Aug 7, 2026, and what lies ahead. 📊 S-REITs on Orchard Road — Snapshot (as of Aug 7, 2026) REIT Ticker Last Close* Div Yield P/NAV Gearing Analyst TP Upside $CapLand IntCom T(C38U.SI)$ C38U S$2.46 ~5.1% 0.98× 38.6% S$2.798 (5 Buys) ~14% $StarhillGbl Reit(P40U.SI)$ P40U S$0.56 ~6.6% 0.75× 35.5% S$0.65 ~16%
So Many SReits on Orchard, Which Ones Have You Visited?
TOP苏36: Orchard Road isn't just Singapore's luxury shopping belt — it's also a battleground for S-REIT investors. If I had to pick, CICT and OUE REIT stand out to me. 🏆 CICT is the quality play. Its Paragon acquisition further strengthens its luxury retail exposure, while its scale and diversified portfolio offer better stability. 💰 OUE REIT is the value play. At around 0.66× P/NAV, the discount looks attractive, especially with 1H 2026 DPU jumping 28.6% YoY. 📈 Lendlease REIT is my turnaround candidate, while Starhill offers the higher-yield angle. Suntec is interesting for MICE and office recovery, but its higher gearing deserves attention. My ranking: CICT for quality, OUE REIT for value, Lendlease for growth. @AI_FocusedTrader [胜利]
8
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496
General
钛媒体APP
·
08-10

Ant Group Units Seek Independent Capital as AI and Global Businesses Step Forward

NextFin News — In the space of two weeks this summer, Ant Group allowed several of its newer businesses to step into the open market. On July 21, Ant International, the unit responsible for cross-border payments and related financial services, announced it had raised approximately $1.2 billion in a Series A round. Ant Group and Alibaba participated alongside other institutional investors. The company, which has operated with greater independence since 2024, said the money would fund expansion of merchant-payment and account services outside China. Within days, reports circulated that OceanBase, the database business first built to handle Ant’s own transaction volumes, was seeking 2 billion to 3 billion yuan. Separate accounts described Ant Digital Technologies preparing a pre-IPO financing
Ant Group Units Seek Independent Capital as AI and Global Businesses Step Forward
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1.62K
Selection
nerdbull1669
·
08-07

Navigating Semiconductor Volatility: Market Dynamics and Options Strategies for Nvidia and AMD

The divergence between $NVIDIA(NVDA)$ Nvidia (NVDA) and $Advanced Micro Devices(AMD)$ AMD during recent semiconductor market swings highlights how Wall Street is treating the primary AI market leader versus its closest challenger. Market Dynamics: Leader Search vs. Margin Corrections 1. The Market Is Re-Affirming Nvidia’s Dominant Leadership Hyperscaler CapEx Concentration: Earnings reports from big tech cloud providers (Microsoft, Alphabet, Amazon) re-confirmed that AI capital expenditure remains aggressive. Nvidia continues to capture the vast majority of this infrastructure spending due to its integrated hardware-software ecosystem (CUDA) and sold-out 2026 Blackwell GPU capacity. The "Whisper Bar" Diffe
Navigating Semiconductor Volatility: Market Dynamics and Options Strategies for Nvidia and AMD
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1.61K
Hot
koolgal
·
08-07
🌟🌟🌟TGIF!  Should investors chase the risk or bag the profits?  Strategy A: Ignore the choppy charts, assume the macro panic is seasonal noise and aggressively buy tech names like $SK hynix(SKHY)$ $NVIDIA(NVDA)$ that have pulled back from their all time highs.  The risk is that you may find out the hard way that the old dog tech sector is actually a wolf in disguise, ready to chew a big hole through your portfolio. Strategy B: Take the money & run Put the profits securely in the bag, tighten your trailing stops & wait until the bad news hit like high inflation. The reward is that you protect your hard earned capital, preserve your sanity & guarantee that you have plenty of dry
🌟🌟🌟TGIF! Should investors chase the risk or bag the profits? Strategy A: Ignore the choppy charts, assume the macro panic is seasonal noise and agg...
TOP1PC: Nice Sharing 😁 @Aqa @DiAngel @JC888 @Barcode @Shyon @Shernice軒嬣 2000
12
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967
Selection
orsiri
·
08-07

Shopify's $30 Billion Question

When the Market Starts Shopping Before the Customers Do If markets were online shoppers, they'd have clicked ‘Buy Now’ before reading the product description. Shopify's latest earnings release triggered exactly that behaviour, adding roughly $30 billion in market value in a single week as investors celebrated a quarter that comfortably exceeded expectations. The next shopping platform may be the one nobody sees The excitement is understandable. Gross merchandise volume surged 32% to $115.57 billion, revenue climbed 34% to $3.58 billion during the quarter, and management guided to low-30% revenue growth for the third quarter, comfortably ahead of consensus expectations. Those are not the numbers of a company struggling to justify its relevance. Yet I think the more interesting question isn'
Shopify's $30 Billion Question
TOPstomachooo: I get the AI angle, but after a $30B pop this really comes down to how fast that actually shows up in GMV
4
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1.08K
General
Shyon
·
08-07
I’d say I’m definitely the FOMO trader 😂. If a stock drops 20%, my first thought is whether this could be the dip I’ve been waiting for. And if I sell only to watch it jump 15% the next day, I’ll probably feel the urge to jump back in. Watching everyone around me make money makes staying on the sidelines even harder. The challenge is knowing whether I’m seeing a real opportunity or simply reacting to FOMO. A sharp pullback can be attractive when the fundamentals remain strong, but chasing a stock just because it’s running can turn a good idea into a bad entry. I’ve learned to manage this with position sizing and DCA rather than blindly chasing every move. So, in one sentence: I’d rather risk missing the perfect entry than watch a stock take off without me—but I’m learning to turn FOMO int
I’d say I’m definitely the FOMO trader 😂. If a stock drops 20%, my first thought is whether this could be the dip I’ve been waiting for. And if I s...
TOPGabrielleSusan: Been that guy too lol, getting trapped once taught me sizing matters way more than catching the exact bottom
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1.58K
General
Joeljp
·
08-07
Initially, the recent global stock market pullback sent shockwaves through technology and semiconductor sectors, with big drawdowns across key chipmakers and tech indexes, including Micron Technology (MU) dropping over 41% and SanDisk Corp (SNDK) plummeting over 57%. However, upon a closer look, after the initial shock, it can be seen that sector rotation is in play. While the semiconductor index $iShares Semiconductor ETF $iShares Semiconductor ETF(SOXX)$  fell, other sectors remain resilient. This is evidently shown on the heat map upon a closer observation. The recent strong earnings and double digits moves for $Microsoft(MSFT)$  and $Amazon.com(AMZ
Initially, the recent global stock market pullback sent shockwaves through technology and semiconductor sectors, with big drawdowns across key chip...
TOPMayLP: Agree, focus on companies with strong fundamentals, margins, balance sheet strength, cash reserves and moats. Good to diversify into strong companies in other sectors too.
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1.12K
General
苏36
·
08-07
I lean toward B. To me, this looks more like a healthy reset in expectations than the beginning of a new downcycle. After such a strong rally, memory stocks were priced for near-perfect execution, so even solid earnings and guidance weren't enough to satisfy investors. The bigger question isn't whether NAND is slowing—it's whether that weakness spreads to DRAM and HBM. So far, AI demand hasn't changed. Hyperscalers are still investing aggressively, HBM supply remains tight, and AI servers continue to require more high-performance memory. That's why I think Micron is in a different position from pure NAND players. Its AI growth is increasingly driven by DRAM and HBM rather than NAND alone. Unless we start seeing analysts cut DRAM/HBM forecasts or AI capex slows meaningfully, I'd view this
I lean toward B. To me, this looks more like a healthy reset in expectations than the beginning of a new downcycle. After such a strong rally, memo...
TOPjingli: HBM supply staying tight is the whole bull case for me. If DRAM estimates hold, this dip still looks buyable no?
2
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2.05K
General
koolgal
·
08-08
🌟🌟🌟I am D:  The Silent Pro because I do not chase the noise, the hype or the overnight millionaires.  I have mastered the art of doing absolutely nothing.  While the crowd panics and buys the top, I sit quietly, sip my coffee and watch the chaos unfold without worrying unnecessarily.  The ultimate power of being a Silent Pro is not a secret algorithm.  It is patience.  I understand that building true wealth is less like a high speed car chase and more like watching a snail move.  I do not need to catch every wave when I am busy building the entire ocean. I do not stress over daily price drops because my horizon is measured in decades. As Charlie Munger famously said: "The Big Money is not in the buying and selling but in the Waiting". Slow and Steady Win
🌟🌟🌟I am D: The Silent Pro because I do not chase the noise, the hype or the overnight millionaires. I have mastered the art of doing absolutely not...
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