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2025-09-09

🚨💡🔥 The $OKTA Story Just Flipped: From Loss-Making SaaS to Profitable AI Infrastructure 🔥💡🚨

$Okta Inc.(OKTA)$ I’m calling it now: $OKTA has crossed the line from hope to execution. After years of deep losses, the company has delivered $130M profit and is now aligning with the single biggest secular tailwind in tech: AI identity security. This isn’t a recovery trade; it’s a full-blown re-rating moment. 📊 Technical Structure Setting the Stage I’m watching price reclaim above the 10/21 EMAs, with a 2–2 weekly reversal signaling trend shift. Support sits at $91.95, while resistance lines up at $99.39 → $103.99 → $108.81. The reclaim of the 20W MA at $101 is the trigger that unleashes a path toward $113–124. Volume profile confirms the liquidity shelf, and Keltner/Bollinger compression on lower timeframes points to imminent volatility expansi
🚨💡🔥 The $OKTA Story Just Flipped: From Loss-Making SaaS to Profitable AI Infrastructure 🔥💡🚨
TOPCool Cat Winston: I like how you framed the $101 level as the trigger because that lines up perfectly with what I’ve been seeing on other SaaS charts like $CRM. The fact that Okta flipped to $130M profit makes this setup more credible than most growth names trying to hold breakouts.
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625
General
Barcode
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2025-09-09

🚖📈🌍 Uber Technologies: Breakout Momentum into the S&P 100 🚖📈🌍

$Uber(UBER)$ I’m fully convinced Uber is one of the most mispriced mega-cap stories in the market right now. The stock is not only reclaiming key technical levels after last Friday’s shakeout, but it is also stepping into the S&P 100, replacing Charter Communications: a structural shift that forces institutional flows and solidifies Uber’s place as a permanent market heavyweight. With free cash flow ramping toward $8.5B by 2025 and EPS growth projected north of 30%, Uber’s earnings power is being drastically underestimated. 🟣 Technical Setup Uber’s bounce is technically significant. On the 4H and 30m charts, price has reclaimed above critical EMAs with both Bollinger and Keltner channels compressing, signaling the setup for another leg hi
🚖📈🌍 Uber Technologies: Breakout Momentum into the S&P 100 🚖📈🌍
TOPCool Cat Winston: 🛫I like how you tied the S&P 100 inclusion to institutional flows because that’s exactly what happened when $NVDA made the same leap. The $93–94 support you flagged looks key and I agree $100 is a realistic checkpoint with that cash flow profile scaling this hard.
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11.20K
Selection
Barcode
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2025-09-09

🚑📈💊 UnitedHealth Ignites a Healthcare Wedge Breakout 🚑📈💊

$UnitedHealth(UNH)$ $Direxion Daily Healthcare Bull 3X Shares(CURE)$ I’m fully convinced this move in UnitedHealth ($UNH) isn’t just noise; it’s the ignition point that could reshape healthcare momentum across both single-stock and leveraged ETF structures. 💡 UnitedHealth Inverse Head & Shoulders (Micro Frame) This morning’s price action confirmed the bullish IHS breakout with $318 now acting as the inflection pivot. As long as that level holds, the setup points toward $325–$330. Options flow backs it up: calls are leading with a 0.28 put/call ratio, IV30 elevated to 34.33, and expected daily swings near $6.90. The skew flattening signals traders aren’t hedging downside, they’re leaning into upside con
🚑📈💊 UnitedHealth Ignites a Healthcare Wedge Breakout 🚑📈💊
TOPCool Cat Winston: 📊I like how you tied UNH holding $318 into the bigger CURE wedge setup, that’s a clear roadmap. Reminds me of how $JNJ held its long-term trend last quarter and then the sector followed. The skew flattening detail really adds conviction that the upside is building here.
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1.27K
General
Barcode
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2025-09-09
$Baidu(BIDU)$ 🚀🔥📊 Baidu Awakens: The Long Sleep Ends 🚀🔥📊 📉 After years in a multi-decade wedge, $BIDU has finally turned from deep compression into breakout mode. The bounce from $86 has ignited a powerful short-term uptrend, with EMAs stacked bullish and momentum riding the top of Keltner and Bollinger channels. 📈 Near term, $102–$104 acts as dynamic support while resistance sits at $112 and $125. A clean push through $125 unlocks $150, with structural upside into $200–$250 if the wedge completes. 🧭 The trend is now obvious: short-term and long-term rising. What was once a slow grind is turning into acceleration, and markets love catching up fast when a long-suppressed name finally releases. 👉❓Do you see $BIDU reclaiming $200 faster than the mark
$Baidu(BIDU)$ 🚀🔥📊 Baidu Awakens: The Long Sleep Ends 🚀🔥📊 📉 After years in a multi-decade wedge, $BIDU has finally turned from deep compression into...
TOPHen Solo: 📈The way you framed $BIDU’s structure from $200–$250 makes perfect sense, it’s the type of setup that institutions usually rotate into once the trend confirms. It reminds me of the way $NVDA’s wedge completion turned into a runway breakout.
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1.09K
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koolgal
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2025-09-09
🌟🌟🌟A Covered Call Strategy is more than just a tactical play.  It is when you believe in the company and you have invested in its shares.  But markets do not  move in straight lines. A Covered Call is an options strategy where you own the underlying stock (this is your cover). Sell a call option on that stock (this is your income) You are basically saying: "I believe in this stock long term but I don't expect it to skyrocket in the short term.  So while I wait, I will earn a premium." Covered calls are the dividend of conviction.  They reward patience.  They turn dormant capital into active income. For me, Covered Calls is striking a balance between holding and releasing, between belief and pragmatism.  This is the essence of what it means to be a though
🌟🌟🌟A Covered Call Strategy is more than just a tactical play. It is when you believe in the company and you have invested in its shares. But market...
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nerdbull1669
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2025-09-09

Chewy Inc (CHWY) Active Customer Growth and New Initiative Result Performance To Watch

$Chewy, Inc.(CHWY)$ is scheduled to report its fiscal Q2 2025 earnings before the market opens on Wednesday, September 10, 2025. This report will provide key insights into the company's performance amidst a challenging macroeconomic environment and its continued push into new business segments. Revenue: The consensus forecast for Q2 is approximately $3.1 billion, which would represent a 7.8% increase from the year-ago quarter. A beat on this number would be a strong signal that the company's growth initiatives are gaining traction. Non-GAAP EPS: Analysts are expecting a non-GAAP EPS of around $0.33 per share, a significant jump of 37.5% year-over-year. This reflects the company's focus on operational efficiency and profitability. Summary of Chewy'
Chewy Inc (CHWY) Active Customer Growth and New Initiative Result Performance To Watch
TOPMerle Ted: Technicals looking very good ahead of earnings which I expect will be solid as well as forward guidance.
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1.63K
General
SmartReversals
·
2025-09-09

SPX - Fear and Greed Divergence

$S&P 500(.SPX)$ - Fear and Greed Divergence:The bright side of the current situation, with the SPX near all-time highs while the Fear & Greed Index falls to neutral, is that any pullback from here could lead to oversold conditions relatively quickly.Today's green day was anticipated in the Weekly Compass, but the question now is whether the resulting doji candle is bullish or bearish. As highlighted, the last two times this pattern appeared, the outcome was bearish. $Apple(AAPL)$ $Alphabet(GOOG)$ $Alphabet(GOOGL)$ $Broadcom(AVGO)$
SPX - Fear and Greed Divergence
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1.07K
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TRIGGER TRADES
·
2025-09-09

SPX is set up to make a new high

$S&P 500(.SPX)$ is set up to make a new high and extend to 6600-6630 for the 5th wave 📈If CPI + FOMC fuel the move, there’s even blow-off-top potential toward 6800 🚀Lean remains bullish against the 6443 low 🔑 as below would invalidate this projection❌ with a close below 6393 sending a short signal 📉 $SPDR S&P 500 ETF Trust(SPY)$ $E-mini S&P 500 - main 2509(ESmain)$ $NASDAQ 100(NDX)$ $Invesco QQQ(QQQ)$ $E-mini Nasdaq 100 - main 2509(NQmain)$ $Dow Jones(.DJI)$
SPX is set up to make a new high
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3.99K
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OptionsDelta
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2025-09-08
$NVIDIA(NVDA)$ This week, institutions have been running bull call spreads by selling the $170$ call and buying the $180$ call. There’s also some outright call selling at the $175$ strike.Overall, the expected trading range this week is $160–175$, with a low probability of a flash crash.A pullback is anticipated this week, so if you see a rally on Monday, it’s a good spot to sell calls—look at strikes above $175$, such as $NVDA 20250912 175.0 CALL$ . $Broadcom(AVGO)$ The target for this week is $350$, and the stock could reach $400$ by year-end. In the near term, expect some choppiness—don’t chase strength. Wait for a pullback to sell p
$NVIDIA(NVDA)$ This week, institutions have been running bull call spreads by selling the $170$ call and buying the $180$ call. There’s also some o...
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Tiger_Chart
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2025-09-08

👇🤔Weekly Top 20 Insider Sells: MSFT, NVDA, DASH, TMUS & More

标题:👇🤔Weekly Top 20 Insider Sells: WMT, DDOG, TMUS & MoreHi Tigers~ The following are the top 20 stocks with the most Insider Sells in the past week.Data source: Bloomberg, data cutoff date: September 1st, 2025.Read more for the upcoming week>>Weekly: Inflation in focus as September Fed meeting approach 🎁Weekly Higher EPS Estimates: ADBE, SNPS, KR, CASY, RBRK & More 🎁Capturing Top 10 Ex_dividend: SPG, ELV, FDX, CME, TRV... 💰 NEW ALPHA|Trading Strategy to Outperform the Markets: HWM/MTH/NGVTEditor
👇🤔Weekly Top 20 Insider Sells: MSFT, NVDA, DASH, TMUS & More
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14.86K
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Tiger_Earnings
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2025-09-08

🎁Weekly Higher EPS Estimates: ADBE, SNPS, KR, CASY, RBRK & More

😀Hi Tigers,We invite you to take a closer look at the possible winners by EPS in the Q2 earnings season.In this post, we have highlighted the top 10 stocks by market capitalization with an estimated higher EPS ahead of their earnings in the period from September 8 to September 12.Read more >> 🎁Capturing Top 10 Ex_dividend: SPG, ELV, FDX, CME, TRV...1.Why EPS Matters?Earnings per share(EPS), refers to the income per share brought to investors/shareholders in the open market.EPS is calculated as a company's profit divided by the outstanding shares of its common stock. The resulting number serves as an indicator of a company's profitability.Investors like companies with high profitability, and the market always rewar
🎁Weekly Higher EPS Estimates: ADBE, SNPS, KR, CASY, RBRK & More
TOPTigerAI: Here is the summary of the top stocks with estimated higher earnings per share (EPS) for the upcoming earnings season from September 8 to September 12. This includes their financial data, analyst recommendations, and key metrics. Weekly List of Top Stocks with Estimated Higher EPS | Stock | Estimated EPS (TTM) | Current Price (USD) | Market Cap (USD) | P/E Ratio | 5-Day Capital Flow | Analyst Recommendation | Trading Volume ||--------------------|-------------------------|-------------------------|----------------------|----------------|--------------------------------|-----------------------------|---------------------|| Adobe Inc. (ADBE) | 15.63 | $348.97 | 147.61B | 22.33 | -$12.91M | 11 buy, 6 hold | 1.61M || Synopsys, Inc. (SNPS) | 4.60 | $598.14 | 110.06B | 43.17 | -$7.01M | 5 buy, 15 hold | 1.39M || Kroger Co. (KR) | 3.64 | $67.75 | 44.79B | 18.63 | -$2.95M | 6 buy, 14 hold | 5.58M || Casey's General Stores, Inc. (CASY) | 0.91 | $505.64 | 18.68B | 34.54 | -$8.37M | 3 buy, 8 hold | 281K || Chewy, Inc. (CHWY) | 0.91 | $42.33 | 8.09B | 46.41 | -$9.57M | 9 buy, 9 hold | 1.66M || GameStop Corp. (GME)| 0.47 | $22.61 | 9.23B | 47.96 | -$0.61M | 1 buy | 11.18M || RH (RH) | 4.12 | $251.00 | 3.83B | 60.92 | -$1.64M | 5 buy, 6 hold | 1.39M || Rubrik Inc. (RBRK) | -2.82 | $90.93 | 17.59B | -32.27 | -$4.55M | 5 buy, 14 hold | 2.92M || Korn Ferry (KFY) | 4.59 | $73.23 | 3.80B | 15.92 | -$0.98M | 2 buy, 1 hold | 1.66M || Synopsys Inc. (SNPS)| 4.60 | $598.14 | 110.06B | 43.17 | -$7.01M | 5 buy, 15 hold | 1.39M | Summary Insights Adobe Inc. is expected to maintain a strong performance given its consistent profitability and high market capitalization. Its P/E ratio indicates robust earnings relative to share price. Chewy, Inc. and GameStop Corp. are both relatively low priced with high P/E ratios, indicating strong growth expectations from the market despite their recent trading volumes being substantial. The Kroger Co. exhibits a solid EPS figure, coupled with a moderate P/E ratio, suggesting steady performance with potential for growth. RH and Casey’s General show positive EPS but comparatively high P/E, which might signal overvaluation if earnings growth slows. Investors typically look for companies that not only show good EPS but also have favorable market sentiments and analyst recommendations that align with growth expectations. NOTE: Always perform thorough personal research or consult with financial advisors regarding investment choices. TigerAI is provided solely as a tool to assist with investment research. Any content generated is for informational purposes only and does not take into account your personal objectives, financial situation, or needs. It does not constitute any investment advice, offer, solicitation, or recommendation regarding any financial products or strategies. We do not guarantee the accuracy or completeness of the content and past performance is not indicative of future results. You should not make any investment decisions based solely on the output. Always conduct your own research and consult a licensed financial advisor where appropriate.
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Tiger_Earnings
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2025-09-08

🎁Capturing Top 10 Ex_dividend: SPG, ELV, FDX, CME, TRV...

1. Which High Ex-dividend Stock (on 8 September ~ 12 September) do You Like the Most?Be Sure To Check Out the Last Chance to Buy the Top 10 High dividend stocks going to Ex-dividends This Week: many companies like $SPG$ and $ELV$ showing below are about to give decent dividends into "your pocket".Editor's notes:A dividend-paying stock ex-dividend date, or ex-date, is very important to investors. In a nutshell, if you buy a dividend stock before the ex-dividend date, then you will receive the next upcoming dividend payment.If you purchase the stock on or after the ex-dividend date, you will not receive the dividend. Some investors utilize strategies whereby they will purchase stocks just prior to an ex-dividend date and sell shortly thereafter.2. YTD25 of the Above 10 Stocks are as Below:In
🎁Capturing Top 10 Ex_dividend: SPG, ELV, FDX, CME, TRV...
TOPMHh: Not familiar with most except fedex. Bullish that it should have captured a significant market share and many companies would engage it for delivery. Price target by analyst at $265-$283. @SR050321 @Wayneqq @SPOT_ON @Universe宇宙 @Fenger1188 @Kaixiang @HelenJanet @LuckyPiggie @DiAngel @Success88 come join
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DavidSG
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2025-09-08
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1.28K
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Princesgp
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2025-09-03
$GOOG 20251017 230.0 CALL$  🚨 Stock Market Alert – My Google Call 🚨 For the last one month, I have been making this call because I had strong conviction that Google is definitely moving ahead of AIA. The reason is simple: Google has been launching several powerful tools that are not just products, but entire gateways to bring millions more people into the Google ecosystem. ✅ These tools are going to change the way people work, learn, and connect. ✅ Once people enter, they stay — because Google becomes the base of their digital lives. ✅ This network effect is what creates long-term strength in the stock. And now, today, my call is opening at a very high price. I will be cashing out part of my position, but the real messag
$GOOG 20251017 230.0 CALL$ 🚨 Stock Market Alert – My Google Call 🚨 For the last one month, I have been making this call because I had strong convic...
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Two Tigerz Deep
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2025-09-03
Replying to @Barcode:👍👍👍👍//@Barcode:$NVIDIA(NVDA)$ $GraniteShares 2x Long NVDA Daily ETF(NVDL)$ $Direxion Daily NVDA Bear 1X Shares(NVDD)$ 🚀📊🔥 Nvidia on the Edge: My Call Today Is “No More Than 3% Decline” 🔥📊🚀 I’m calling it straight: $NVDA at $169.56 (-1.95%) just slipped under its 50-day MA at $171 for the first time since May, wiping out $340B in value in a four-day, -7% slide. Puts have overtaken calls on Mag 7 net drift, and institutions hedged with a $180C sell against a $190C buy. That pins near-term trading between $165 and $180, with deeper suppo
Replying to @Barcode:👍👍👍👍//@Barcode:$NVIDIA(NVDA)$ $GraniteShares 2x Long NVDA Daily ETF(NVDL)$ $Direxion Daily NVDA Bear 1X Shares(NVDD)$ 🚀📊🔥 Nvid...
TOPJackQuant: Thanks for sharing your strategy!
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Palentte
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2025-09-03
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Princesgp
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2025-09-03
$NVIDIA(NVDA)$   NVIDIA has been the face of the AI boom, but right now the stock is showing signs of weakness. Despite posting record Q2 revenue of over $46 billion, up more than 50% year-on-year, investors are cautious because growth in certain regions like China has slowed and the overall tech sector is pulling back. At the moment, NVIDIA is trading around the $170 level, and short-term momentum looks shaky. If selling pressure continues, the stock could very well test the $155 $NVIDIA(NVDA)$  mark, which many see as a key support level and potential bottom. But here’s the bigger picture: NVIDIA is still sitting on massive cash reserves, has announced a $60
$NVIDIA(NVDA)$ NVIDIA has been the face of the AI boom, but right now the stock is showing signs of weakness. Despite posting record Q2 revenue of ...
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ILuvPrata
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2025-09-03
Comment
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1.27K
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Calwsh
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2025-09-03
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