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625
General
BotakGuy
·
08-31
$Apple(AAPL)$ Increasing my apple position slowly. I hope to buy enough to do covered call options if the premiums are worthwhile. 
AAPL
08-31 21:45
USApple
SidePrice | FilledRealized P&L
Buy
Open
316.88
5
--
Closed
Apple
$Apple(AAPL)$ Increasing my apple position slowly. I hope to buy enough to do covered call options if the premiums are worthwhile.
1
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12.03K
General
BillyR
·
09-02
$Palantir Technologies Inc.(PLTR)$ Buy low sell high got me 5 more shares. Let's see if it works. Hope I catch up with the index gains 😂
PLTR
09-02 08:22
USPalantir Technologies Inc.
SidePrice | FilledRealized P&L
Buy
Open
179.98
50
-7.36%
Holding
Palantir Technologies Inc.
$Palantir Technologies Inc.(PLTR)$ Buy low sell high got me 5 more shares. Let's see if it works. Hope I catch up with the index gains 😂
7
Report
5.48K
General
Terra_Incognita
·
09-02
$META 20260904 550.0 PUT$ META: Take Profit for this short put as META continue to rebound from its $540 lows couple of weeks ago.  Expiring this Fri but with little remaining premium value. Decided to close and sell a fresh put further out to capture more premiums on the way up. 
META PUT
09-02 22:13
US20260904 550.0
SidePriceRealized P&L
Buy
Close
0.15+97.76%
Closed
Meta Platforms, Inc.
$META 20260904 550.0 PUT$ META: Take Profit for this short put as META continue to rebound from its $540 lows couple of weeks ago. Expiring this Fr...
TOPblinki: 540 really did mark the bounce zone. Rolling out here makes sense, the remaining premium is basically dust and META still looks bid into next week
2
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5.75K
General
BillionaireN
·
09-03
$ORCL 20260911 123.0 PUT$ Oracle is a global technology leader best known for creating the world's most popular commercial relational database, alongside enterprise software and cloud computing services
ORCL PUT
09-02 22:25
US20260911 123.0
SidePrice | FilledRealized P&L
Sell
Open
1.12
2Lot(s)
+99.11%
Holding
Oracle
$ORCL 20260911 123.0 PUT$ Oracle is a global technology leader best known for creating the world's most popular commercial relational database, alo...
TOPbouncee: That Sep expiry is close enough that theta burns fast, so selling this put here feels a bit late. Oracle cloud growth matters more than the database story now
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11.49K
General
Hakunayourtatas
·
09-03
$CIFR CALENDAR 260904/260925 PUT 17.0/PUT 17.0$ $CIFR CALENDAR 260904/260925 PUT 17.0/PUT 17.0$  Rolling expiring puts for another 3 weeks, premiums starting to get lesser with each roll as strike gets further away from the current share price.  Support is at ~14.50 to 15, with the recent drop to close to 14.  Volume is decreasing concurrently as the share price goes down in this slow and painful drawdown. RSI remains rangebound on the lower levels in the 30s, William's Range remains in oversold levels around 80s.  Probably one last flush towards the bottom of t
CIFR Calendar
09-03 02:03
US17.0/17.0
SidePrice | FilledRealized P&L
Credit
Close
-0.60
5
--
Closed
CIFR CALENDAR 260904/260925 PUT 17.0/PUT 17.0
$CIFR CALENDAR 260904/260925 PUT 17.0/PUT 17.0$ $CIFR CALENDAR 260904/260925 PUT 17.0/PUT 17.0$ Rolling expiring puts for another 3 weeks, premiums...
TOPAlanBright: RSI and Williams being oversold is not enough by itself, shrinking volume on the way down still looks like classic bleed. I would trust a real price-volume divergence more here
5
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1.08K
General
逆天邪神云澈
·
09-03
$LULU 20260904 110.0 PUT$ Earnings play Be water, my friend—stay calm, adapt, and let the market do its thing. Watch me pocket $30K in premiums in Sep. Jun/Jul/Aug: $1,721 / $26,431 / $34,103 Sep 2026: $2,711
LULU PUT
09-03 22:07
US20260904 110.0
SidePrice | FilledRealized P&L
Sell
Open
1.88
1Lot(s)
--
Closed
Lululemon Athletica
$LULU 20260904 110.0 PUT$ Earnings play Be water, my friend—stay calm, adapt, and let the market do its thing. Watch me pocket $30K in premiums in ...
Comment
Report
5.56K
General
菜饭之道
·
09-03
$TSLA 20280121 270.0 PUT$ TSLA crossing the upper bollinger band seems like potential resistance soon. Decided to close to lock in some #CaiFanMoney.
TSLA PUT
09-03 22:46
US20280121 270.0
SidePrice | FilledRealized P&L
Buy
Close
25.90
11Lot(s)
+14.48%
Closed
Tesla Motors
$TSLA 20280121 270.0 PUT$ TSLA crossing the upper bollinger band seems like potential resistance soon. Decided to close to lock in some #CaiFanMoney.
TOPRaymondReed: 270 strike makes sense here. Upper band break with fading volume usually means the move is getting tired
1
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9.13K
General
VNW Capital
·
09-03
$META VERTICAL 260911 PUT 570.0/PUT 565.0$ META rose 3.7% during the 1st 30 minutes of the trading day, pushing my profit to 85%. Since there are is only 8 days to go before expiration, it's perfect time to book profit ☺️.
META Vertical
09-03 21:42
US570.0/565.0
SidePrice | FilledRealized P&L
Debit
Close
0.30
3
--
Closed
META VERTICAL 260911 PUT 570.0/PUT 565.0
$META VERTICAL 260911 PUT 570.0/PUT 565.0$ META rose 3.7% during the 1st 30 minutes of the trading day, pushing my profit to 85%. Since there are i...
TOPMichaelPerez: Booking with 8 DTE is fair, but 85% on META can still feel early when momentum is this clean
5
Report
7.76K
General
Terra_Incognita
·
09-03
$NVDA 20260904 200.0 PUT$ NVDA: taking profit. Good rise the past 3 sessions and we're seeing NVDA holding on to its gains after earnings.  Taking the opportunity to close the trade ahead of time.
NVDA PUT
09-03 01:30
US20260904 200.0
SidePriceRealized P&L
Buy
Close
0.08+95.58%
Closed
NVIDIA
$NVDA 20260904 200.0 PUT$ NVDA: taking profit. Good rise the past 3 sessions and we're seeing NVDA holding on to its gains after earnings. Taking t...
TOPBurnellStella: Fast take profit tbh. Feels like the post-earnings bounce still has a bit left before bears really lean again
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4.63K
General
Terra_Incognita
·
09-04
$PLTR 20260911 160.0 PUT$ PLTR: take profit.  Nice run up by PLTR today after 2 days down prior.  Take the opportunity to close this short put due next Fri 11th Sept but with 90% of the premiums already collected. 
PLTR PUT
09-04 00:14
US20260911 160.0
SidePriceRealized P&L
Buy
Close
0.28+89.84%
Closed
Palantir Technologies Inc.
$PLTR 20260911 160.0 PUT$ PLTR: take profit. Nice run up by PLTR today after 2 days down prior. Take the opportunity to close this short put due ne...
TOPMarialina: Closing at 90% premium is clean, especially with expiry that close. PLTR still looks strong but theta left was barely worth the tail risk
1
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3.13K
General
Ingstrid Capital
·
09-04
$PLTR 20260904 190.0 CALL$ Roller-coaster. What goes up still have to come back down to chill right?
PLTR CALL
09-04 02:24
US20260904 190.0
SidePrice | FilledRealized P&L
Sell
Open
0.40
60Lot(s)
--
Closed
Palantir Technologies Inc.
$PLTR 20260904 190.0 CALL$ Roller-coaster. What goes up still have to come back down to chill right?
TOPpizzi: 8 quarters of margin improvement is the part I care about, not one shakeout. PLTR still feels bid
1
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502
General
koolgal
·
09-03
🌟 $Dell Technologies Inc.(DELL)$ blockbuster earnings report proved that enterprise level demand for physical AI data centre infrastructure is accelerating. Dell's total revenue surged 58% YoY to a record USD 47.0 billion, outperforming analysts estimate of USD 44.92 billion.  Non GAAP adjusted EPS crushed expectations, coming in at USD 7.04 vs USD 4.92 expected. Dell booked an astonishing USD 60.9 billion in new AI server orders during the quarter alone. Dell's management has upgraded its full year FY27 revenue target by a huge USD 25 billion to USD 192 billion.  They also forecasted AI server sales to triple to USD 74 billion. What an amazing earnings report! It is no wonder Dell shares surged by almost 16% post earnings. Will I chase
🌟 $Dell Technologies Inc.(DELL)$ blockbuster earnings report proved that enterprise level demand for physical AI data centre infrastructure is acce...
TOPNicoleBryce: That FY27 revenue guide bump by 25B is the loudest part here. DCA makes sense, but 60.9B in AI server orders says the pullback might stay shallow lol
13
Report
932
General
koolgal
·
09-03
🌟🌟🌟 $Broadcom(AVGO)$ smashed out an absolute record of USD 15.2 billion in revenue for a single quarter.  It earned USD 4.1 billion from AI custom chips alone and packed away a mind blowing USD 6.1 billion in pure, cold cash profit. By any normal standard, this is a legendary victory. But instead of celebrating, investors sold off and its stock dropped by almost 4%.  Why?  Because Broadcom's immediate next quarter forecast merely matched expectations instead of pulling off a miracle. In this crazy market, matching official goals is not enough anymore.  Broadcom must provide top notch guidance. The Verdict: Buy the Dip or Wait? I would dollar cost average Broadcom as it is impossible to time the bottom of this drop.  If th
🌟🌟🌟 $Broadcom(AVGO)$ smashed out an absolute record of USD 15.2 billion in revenue for a single quarter. It earned USD 4.1 billion from AI custom c...
TOP1PC: Nice Sharing 😁 @DiAngel @Aqa @Shyon @Barcode @JC888 @Shernice軒嬣 2000
10
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712
General
苏36
·
09-03
I’d pick C — Both, because agentic cybersecurity could create a new AI value chain rather than a winner-takes-all market. NVIDIA sits underneath the ecosystem: more autonomous security agents mean more inference, accelerated computing and potentially recurring demand beyond traditional AI training. CrowdStrike owns the application layer, where successful deployment could translate into deeper Falcon adoption, higher module penetration and stronger ARR. However, I wouldn’t treat SafeMind as an immediate revenue catalyst. The real investment signal will be enterprise customers actually deploying it at scale, trusting AI to take increasingly autonomous actions, and ultimately paying more for the platform. If that happens, NVDA captures the infrastructure upside while CRWD captures the softwa
I’d pick C — Both, because agentic cybersecurity could create a new AI value chain rather than a winner-takes-all market. NVIDIA sits underneath th...
TOPmizzmo: Inference demand is the longer tail here. If security agents stay on all day, that means steadier token flow and more chip demand beyond the training cycle
1
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785
General
Shyon
·
09-03
I’m staying cautiously bullish rather than turning bearish. After such a strong rally, I agree the near-term risk/reward is less attractive, especially with the 10-year yield near 4.8% and the Fed back in focus. September could bring more volatility, so I’m prepared for a pullback rather than chasing strength. I don’t think the AI story is broken yet. I’m watching whether AI leaders can turn massive capex into sustainable revenue and earnings growth. If the fundamentals remain strong, I would view weakness as an opportunity to accumulate rather than exit. My approach is to manage position size, keep some cash ready, and add selectively during meaningful pullbacks. I’m not trying to predict the exact top — I’d rather use September volatility to build my high-conviction semiconductor and AI
I’m staying cautiously bullish rather than turning bearish. After such a strong rally, I agree the near-term risk/reward is less attractive, especi...
TOPsmile000: I care more about whether capex converts into real earnings than the September chop. Foundry capacity and pricing power will tell the story faster than sentiment.
6
Report
812
General
Fistein
·
09-04
$Silvercorp Metals Inc(SVM)$ 15 Target Price, due to global Silver output deficit  --About SilverCorp Metals Inc (SVM)-- Silvercorp Metals Inc. (SVM) is a profitable silver-focused producer with low-cost underground mining operations in China, along with exploration and development assets globally. --Growth Catalysts for SilverCorp Metals Inc (SVM)-- 1). Ying Mining District Expansion & Upgrades: Silvercorp has completed the flotation line expansion at its flagship Ying Mining District in Henan Province, increasing processing capacity to 1,500 tonnes per day. Ongoing underground development and equipment upgrades aim to maintain high throughput and improve long-term operational efficiency. 2). Kuanping & Exploration Projects: Explorati
$Silvercorp Metals Inc(SVM)$ 15 Target Price, due to global Silver output deficit --About SilverCorp Metals Inc (SVM)-- Silvercorp Metals Inc. (SVM...
TOPjingli: 15 only works if Curipamba actually stays on schedule. That second asset is what can rerate SVM harder than just silver beta
1
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1.22K
General
koolgal
·
09-04
🌟🌟🌟The Memory Monopoly - 3 Giants 1 Crown: Which one to choose if I can only have 1?  Drum roll ... $SK hynix(SKHY)$ . Why? While competitors $Micron Technology(MU)$ & Samsung are playing catch up, Hynix captures the Crown. Just days ago, Hynix had a groundbreaking ceremony for a USD 4 billion advanced packaging fab in Indiana.  It is USA's first HBM packaging hub, designed to pump out the next generation HBM4E chips directly to   US giants NVIDIA, Microsoft & Google. Hynix CEO also warned that this global memory chip shortage is going to persist through 2030. When the market experiences a long term memory drought, standard DRAM prices go up. But premium customised HBM, backed
🌟🌟🌟The Memory Monopoly - 3 Giants 1 Crown: Which one to choose if I can only have 1? Drum roll ... $SK hynix(SKHY)$ . Why? While competitors $Micro...
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1.17K
Hot
koolgal
·
09-04
🌟🌟 For weeks, the market was filled with doubts about $NVIDIA(NVDA)$ .Are Nvidia's margins sustainable? Will a cheaper rival chip away at its crown?  Is the hardware moat starting to crack? NVIDIA's response? A USD 12.9 billion buyout of Hugging Face.  This triggered an immediate market rally that pushed NVIDIA up to USD 228.69.  Nvidia isn't just building the engines anymore.  It now owns the highway, the toll booths & the map. Hugging Face is the beating heart of the open source AI revolution.  It is where every developer, startup & mega company goes to share & download AI models. By absorbing Hugging Face into its ecosystem, NVIDIA has effectively built a fortress around its software stack.  The momen
🌟🌟 For weeks, the market was filled with doubts about $NVIDIA(NVDA)$ .Are Nvidia's margins sustainable? Will a cheaper rival chip away at its crown...
TOPHaydenBruce: Software mix is what the market still underprices here. If Hugging Face tightens model distribution around CUDA, that margin premium can actually expand
12
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1.65K
General
bs6969
·
09-04

💰📈 My Covered Call Strategy: Turning TIGR, GRAB, QUBT & CLSK Into Potential Income Tiger Brokers | Market Rebound: Rally or Pullback? Capture potential opportunities. Stay Flexible with Options

🐯 Why I Am Selling Calls Instead of Just Holding When I buy a stock, I don’t want my capital to simply sit there and wait for the share price to rise. One strategy I am using is selling covered calls against shares that I already own. A covered call means holding the underlying shares while selling call options against them. The trade-off is straightforward: I receive premium income, but I accept that my upside can be capped if the stock rises above the strike price. My current example is Tiger Brokers (TIGR). I have 300 TIGR shares, which allows me to sell 3 call contracts, assuming the standard 100-share contract size. The objective isn’t to predict exactly where TIGR will trade four months from now. My objective is to collect option income while I wait. ⸻ 💵 TIGR: Collecting Around $1.22
💰📈 My Covered Call Strategy: Turning TIGR, GRAB, QUBT & CLSK Into Potential Income Tiger Brokers | Market Rebound: Rally or Pullback? Capture potential opportunities. Stay Flexible with Options
TOPShernice軒嬣 2000: High-beta growth equities (PLTR, HOOD, ORCL) offer attractive options premiums for income generation while providing upside exposure. Lower interest rates generally lower the cost of capital and boost valuations for high-growth tech firms, creating potential upside momentum.
3
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837
Selection
nerdbull1669
·
09-04

Navigating Yield Paradoxes and Sector Rotations Ahead of NFP and Inflation Data

A striking divergence has emerged in financial markets: private-sector payroll firm ADP reported a meagre addition of just 38,000 jobs, signaling marked labor market deceleration, yet U.S. Treasury yields have paradoxically surged higher rather than declining. In this article we would like to share a comprehensive analysis of the macroeconomic mechanisms driving this yields surge, the structural implications of the upcoming Official U.S. Nonfarm Payrolls (NFP) report from the Bureau of Labor Statistics (BLS) alongside upcoming Consumer Price Index (CPI) inflation data, and the downstream impact across key equity sectors. 1. The Yield Paradox: Dissecting ADP Deceleration vs. Bond Yield Spikes The recent ADP Employment Report indicated an addition of merely 38,000 private-sector jobs, a shar
Navigating Yield Paradoxes and Sector Rotations Ahead of NFP and Inflation Data
TOPchenobserver: XLRE is not one bucket. Data center REITs can offset some rate pain from AI demand, while office REITs still look more exposed. I care more about that split than the headline sector call.
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