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Hot
Queengirlypops
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2025-09-10

🔥🚀💎 BITF JUST WENT MAIN CHARACTER MODE 💎🚀🔥

$Bitfarms Ltd.(BITF)$ 💥 $BITF ripped +24% today with 134.5M shares traded across US 🇺🇸 + Canada 🇨🇦 … that’s 24.5% of ALL shares outstanding flipping hands in one session. Record volume. Record conviction. Absolute berserk. I’m up massive here thanks to BC putting me in this play back in 2024; and I’m literally using her chart in this post so big thanks again for mapping this setup perfectly. 🫡 This isn’t just a random pump, it’s textbook: ⚡ Cup & Handle breakout ⚡ Reclaiming 200-MA with style ⚡ RVOL exploding after 2 months of coiling below 3 x ATR% off the 50-MA The tape is screaming continuation. And look who BITF just flexed on today’s leaderboard:    •   $BITF +24.22% (king of the hill)    
🔥🚀💎 BITF JUST WENT MAIN CHARACTER MODE 💎🚀🔥
TOPTui Jude: ⚡ Q, you called it clean. Watching BITF reclaim the 200-MA while stacking volume like that shows you had the foresight and patience most don’t. It reminds me of how $SMCI kicked off its own run when everyone else was doubting. Congrats on the monster move 🥳🙌🙌
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Tiger_chat
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2025-09-10

Ultra-Thin iPhone 17 Air: Overpriced? How Do You View?

The biggest highlight of this $Apple(AAPL)$ event was the debut of the brand-new ultra-slim iPhone 17 Air, alongside the fully upgraded iPhone 17 Pro series and the new iOS 26. Iphone 17 price : r/iphoneHowever, since many product details had already been leaked before the launch, the market reaction was muted. During the event, Apple’s stock price fell, closing down 1.48%.Would you consider switching to the iPhone 17 Air? It features an ultra-thin body, minimalist design, and a sleek look! But some people argue that its specs are too weak—basically just an updated version of the previous SE—yet the starting price is as high as $799. Could the price drop significantly later? After all, the Air is positioned like the old Plus version, which histori
Ultra-Thin iPhone 17 Air: Overpriced? How Do You View?
TOPneo26000: 📱 iPhone 17: For When Your Wallet’s Too Full Why fix your life when you can fixate on a phone that’s 0.2mm thinner? It’s got a camera that sees your regret, AI that whispers “treat yourself,” and a price tag that says “I skipped rent for this.” Because clearly, what you needed most was Mystic Titanium.
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ASX_Stars
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2025-09-10

Gold Hits All-Time Highs: Is It Too Late to Join the Party?

Gold has been on a tear this year—and it’s not just a technical bounce. We’re talking about a full-on bull market. Since January, gold has surged over 35%, recently pushing past US$3,680/oz for the first time in history. And unlike past rallies that fizzled out, this one is being fueled by a complex mix of macro fears, central bank strategies, and a growing distrust of traditional fiat systems.So, what’s really driving this move?To begin with, rate cut expectations from the Fed are back on the table. Slowing growth in the U.S. economy and a cooling job market have pushed markets to start pricing in a series of rate cuts by early 2026. That’s weakened the dollar and slashed real yields—textbook conditions for gold to thrive. At the same time, we’ve seen geopolitical uncertainty spike again.
Gold Hits All-Time Highs: Is It Too Late to Join the Party?
TOPShyon: I’d lean toward Australian gold stocks over physical gold or ETFs. Physical gold preserves value but doesn’t generate income, and ETFs simply mirror price moves. Miners like Northern Star and Evolution not only benefit from higher gold prices but also deliver profits, dividends, and growth—making them more attractive. Among them, Northern Star is the blue-chip choice with scale, strong finances, and steady payouts, while Evolution adds copper exposure for extra growth tied to electrification. Both offer more upside than holding the metal itself. I’d also keep a smaller, higher-risk position in Regis as a leveraged play. Overall, Australian miners give me exposure to gold’s bull run plus income and execution strength, making them my preferred choice. @ASX_Stars @Tiger_comments @TigerStars
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MaverickWealthBuilder
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2025-09-10

Oracle RPO Surges 3X Forecast, Fueling a Frenzied AI Narrative

$Oracle(ORCL)$ delivered a Q1 FY2026 earnings report that stunned investors with sheer scale of contractual backlog, but also revealed some structural mismatches in near-term execution.The headline number was striking: Remaining Performance Obligations (RPO) soared to $455 billion, up 359% YoY—nearly triple consensus expectations. Alongside this, Oracle sharply raised its long-term growth trajectory and CapEx guidance for Oracle Cloud Infrastructure (OCI). Investors embraced the narrative of Oracle as a go-to infrastructure provider for AI training and inference, sending the stock sharply higher in after-hours trading.While quarterly revenue came in at $14.9 billion and non-GAAP EPS at $1.47—roughly in line but slightly below estimates—the magnitu
Oracle RPO Surges 3X Forecast, Fueling a Frenzied AI Narrative
TOPMerle Ted: most targets are 350-380 and there is a long list including a 400 target ...with that much backlog and more to come as they stated on the call targets will go even higher
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WeChats
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2025-09-10
$UnitedHealth(UNH)$ $UnitedHealth(UNH)$   📈 UNH Breakout: Buffett’s Healthcare Bet Roars Past $320 — Buy or Bail? UnitedHealth Group (UNH) has smashed through the $320 resistance level, sending a clear signal to Wall Street: healthcare’s quiet giant isn’t done yet. With a reaffirmed 2025 outlook of $16+ EPS and revenue guidance of $445B–$448B, the numbers are steady. Wall Street’s consensus is even bolder, penciling in $16.24 EPS on ~$448.2B revenue. But here’s what’s really fueling excitement: Warren Buffett’s $1.6B stake. When the Oracle of Omaha places a billion-dollar bet, retail investors notice. UNH suddenly looks less like a slow-moving insurer and more like a
$UnitedHealth(UNH)$ $UnitedHealth(UNH)$ 📈 UNH Breakout: Buffett’s Healthcare Bet Roars Past $320 — Buy or Bail? UnitedHealth Group (UNH) has smashe...
TOPEVBullMusketeer: Buffett's bet on healthcare looks solid, but 20x P/E feels stretched. Watching $350 closely
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Tiger_Academy
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2025-09-10

CN Assets Select|09 A Guide to Counter-Cyclical Investing in China

Why Focus on China Assets Now?As we move into the second half of 2025, activity in China’s economy has picked up — supported not only by a sequence of policy measures but also by a clear rebound in several high-frequency indicators:Service activity at a 15-month high: In August 2025, China’s services sector recorded its strongest monthly expansion in 15 months, driven by a recovery in domestic demand and a pickup in external orders.Retail recovery and consumption stimulus: Retail sales showed renewed strength — in May year-on-year retail growth was +6.4%, with appliance replacement and promotional events (e.g., shopping festivals) contributing to the improvement.Persistent stabilization expectations: Multilateral institutions have noted that China retains room for policy support, which hel
CN Assets Select|09 A Guide to Counter-Cyclical Investing in China
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Daily_Discussion
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2025-09-10

🎁 Bet on TESLA Stock Movement and Win Tiger Coins!

🎁🎁🎁What do you think will happen to $Tesla Motors(TSLA)$ today? Vote on this post to bet on the stock's price and win a share of 300 Tiger Coins!Comments and reposts are welcome to participate!The gates are open! What's your first trade? 🚦Finding opportunity or avoiding traps today?Post your plan and get real-time feedback.Today’s Highlights in Markets:Big news, big impact.More NewsTiger Community TOP10 Tickers🎯 S&P500 Most Active Today 👉@TigerObserverWeekly Five Key Areas: Macro, Singapore Stocks, Options, Futures, EarningsCovering five major market segments this week to help you stay ahead of market trends and plan your tr
🎁 Bet on TESLA Stock Movement and Win Tiger Coins!
TOPShyon: I’m keeping my focus on Oracle $Oracle(ORCL)$ today. The company posted a mixed earnings report, but the standout was its backlog jumping to $455 billion from $138 billion last quarter—clear evidence of surging demand for its cloud and AI services. Despite missing slightly on EPS and revenue, Oracle’s public cloud grew 55% and landed multi-billion-dollar contracts with OpenAI, Meta $Meta Platforms, Inc.(META)$ , NVIDIA $NVIDIA Corp(NVDA)$ , and AMD $Advanced Micro Devices(AMD)$ . Capex is climbing and free cash flow turned negative, but that’s the price of scaling in AI infrastructure. To me, Oracle now looks like two businesses: a slow but steady legacy side and a fast-growing cloud arm. With cloud already nearly half of revenue, I see the market steadily re-rating Oracle as it cements its role in the AI boom. @Daily_Discussion @Tiger_comments @TigerStars
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PittyMeat
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2025-09-10
My take: Today’s flow is about pricing AI capacity, energy tightness, and real-yield drift. I’m watching: AI infra & suppliers: names levered to data center build-outs (GPU/ASIC supply chain, optics, power gear). When capex guides go up, these lead. Energy: crude’s backwardation + low inventories = refiners and integrateds bid on any supply headline. Gold miners: if real yields ease even a touch, beta lives here.  China ADRs: policy chatter = squeezes; fade euphoria, buy capitulation. Trade plan: Buy strength in AI infra on high-volume breakouts; rent energy on pullbacks; scale into AU gold if DXY stalls. Tight risk, let winners run.
My take: Today’s flow is about pricing AI capacity, energy tightness, and real-yield drift. I’m watching: AI infra & suppliers: names levered to da...
TOPReg Ford: AI infra’s high-volume breaks? Buy strength,capex guides will drive this!
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ToNi
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2025-09-09

Why QuantumScape (QS) Is a Long-Term Buy for Forward-Thinking Investors

The electric vehicle (EV) industry is undergoing a transformative boom, and at the heart of this revolution lies the race to develop next-generation battery technology. QuantumScape (QS), a leader in solid-state battery innovation, is capturing the attention of investors with its potential to redefine energy storage. Despite its pre-revenue status and high volatility, QS’s cutting-edge technology, strategic partnerships, and alignment with the EV megatrend make it a compelling long-term investment. This article explores why QS is a stock to watch, covering its technology, market opportunity, financial position, and investment considerations. Solid-State Batteries: The Future of EVs QuantumScape is pioneering solid-state battery technology, which promises significant advantages over traditi
Why QuantumScape (QS) Is a Long-Term Buy for Forward-Thinking Investors
TOPValerie Archibald: At it's core, QS has always been nothing but a stock dumping scheme and a insider get rich sham. 15 straight years of zero revenues while dumping nearly 600 million shres on the public should be criminal.
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Elliottwave_Forecast
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2025-09-09

Elliott Wave Blue Box Payoff: CADJPY Drops as Predicted

In this technical blog, we are going to take a look at the past performance of CADJPY Daily Elliott wave Charts that we presented to our members. In which, the decline from 7.10.2024 high took place in a double three corrective sequence and showed a lower sequence calling for more downside to happen. Therefore, our members knew that selling the bounces in the direction of the right side tag remained the preferred path. We will explain the Elliott wave structure & selling opportunity our members took below: CADJPY Daily Elliott Wave Chart From 7.19.2025 Elliott Wave Blue Box Payoff: CADJPY Drops as Predicted CADJPY Daily Elliott Wave Chart from 7.19.2025 Weekend update. In which the pair is showing 5 swings lower low sequence supporting 6th bounce to fail for another leg lower to c
Elliott Wave Blue Box Payoff: CADJPY Drops as Predicted
TOPColinThorndike: Incredible analysis! So enlightening! [Wow]
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Elliottwave_Forecast
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2025-09-09

Alnylam (ALNY) Should Rally Into $479-$494 Before Correction Start

Alnylam Pharmaceuticals Inc., (ALNY) discovers, develops & commercializes therapeutics based on ribonucleic acid interference. It comes under Healthcare – Biotech sector & trades as “ALNY” ticker at Nasdaq. ALNY is showing strong rally from April-2025 low in previous article & expect further rally once (4) pullback ends. It rallied more than 40% since last update in (3) of ((3)). It expects one more push higher to finish April-2025 cycle in ((3)) before correcting next. We like to buy the pullback in ((4)) in 3, 7 or 11 swings at extreme area. ALNY – Elliott Wave Latest Weekly View:  It ended ((I)) at $140 high since inception in June-2025 & ((II)) pullback at $31.38 low in October-2016. Above there, it is showing nest as the part of (III) of ((III)). It placed (I) of
Alnylam (ALNY) Should Rally Into $479-$494 Before Correction Start
TOPCatherineGunter: Seems like you're well-informed on ALNY's movements
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Lanceljx
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2025-09-09
1. Robinhood vs. AppLovin – which business model has more staying power in the S&P 500? Robinhood: Strengths: Strong brand recognition among retail traders, significant user base, and exposure to the continued financialisation of younger demographics. Weaknesses: Its revenue is highly tied to trading volumes (particularly options and crypto), which are cyclical and sensitive to market sentiment. It also faces regulatory risks, customer churn when markets quiet down, and stiff competition from larger brokerages. Sustainability depends on expanding into more stable revenue streams (cash management, retirement accounts, etc.), but progress is mixed. AppLovin: Strengths: It provides a mission-critical service—adtech that helps mobile game developers monetise. The company’s AI-driven softwa
1. Robinhood vs. AppLovin – which business model has more staying power in the S&P 500? Robinhood: Strengths: Strong brand recognition among retail...
TOPSiliconTracker: AppLovin's adtech moat looks solid long-term, but index inclusion might trigger short squeeze drama
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fibance
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2025-09-09
$NIO Inc.(NIO)$ $Tesla Motors(TSLA)$  Went down to Tesla, NIO and ONVO stores today to check out the cars in person. Managed to experience the all new Model Y L, ES8, Firefly, L90, L60 and test drove ET9. Here are some of my thoughts. 1. Tesla Model Y L is really underwhelming compared to the 6-seater competition in China. Interior is really bare. The 3rd row is relatively cramped, floor is raised. My head was 1-2 fingers away from the glass (I'm 1.8M) 2. ES8 feels premium and spacious. The interior feels very welcoming. The sound system is amazing. Third row is more roomy than Model Y L. Frunk is huuuuge. 3. Firefly looks a lot better in real life. It's a lot more spacious than the mini. 4.
$NIO Inc.(NIO)$ $Tesla Motors(TSLA)$ Went down to Tesla, NIO and ONVO stores today to check out the cars in person. Managed to experience the all n...
TOPEnid Bertha: I been holding NIO since 2021. Holding 31k shares at $12. Longs need to wake up and see that the executives are doing a horrible job running this company. I will hold till it hits zero or $25. I held for 4 years, I’ll keep holding for another 4 more.
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Spiders
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2025-09-09

CPI & PPI Week: Will 25 or 50 bps Break the Stalemate?

Last week, the U.S. labor market showed signs of unexpected weakness. The job report released on September 5th revealed that employers added only 22,000 jobs in August, while the unemployment rate ticked up to 4.3%. It raises questions about the broader health of the economy, and whether the labor market can continue absorbing shocks without further deterioration. This week, markets are turning their attention to key inflation indicators: Producer Price Index (PPI) on Wednesday and Consumer Price Index (CPI) on Thursday. These readings are critical because they provide insight into whether inflation pressures are easing or persisting despite slower job growth. Investors are trying to reconcile weaker employment data with ongoing inflation trends, which creates a complex environment for mon
CPI & PPI Week: Will 25 or 50 bps Break the Stalemate?
TOPWade Shaw: Holding TLT makes sense, but will Fed cuts really come soon?
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Barcode
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2025-09-10

🚑📊🔥 $UNH: The Mother of All Short Covers? Thank You, Mr. Buffett! 🚑📊🔥

$UnitedHealth(UNH)$ $Alibaba(BABA)$ $SPDR S&P 500 ETF Trust(SPY)$ I’m fully convinced $UNH is setting up for one of the most asymmetric upside trades of the year. With Berkshire’s stake anchoring conviction, Congressional buys lighting the fuse, shorts overloaded, and fundamentals stabilizing, this looks less like a recovery and more like a full-scale rerating. 🧮 Discounted Cashflow Conviction I’ve run the DCF, and the result is decisive. Equity value per share comes in at $580.03, nearly 70% upside from here. Present value of the next decade of cashflows plus terminal value makes the current market price deeply disconnected from intrinsic worth. At an 8.5% dis
🚑📊🔥 $UNH: The Mother of All Short Covers? Thank You, Mr. Buffett! 🚑📊🔥
TOPHen Solo: 📈I can’t ignore how you linked the ACA subsidy extension to the DCF anchor. Policy catalysts like that often get overlooked until they directly hit multiples, same way $ELV rerated on Medicare margins. If UNH holds 320 into October, the setup into 450 stretch is a lot stronger than consensus admits.
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Barcode
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2025-09-10

🔥📊🚀 SPY at War: $648 Defense, $650 Magnet, CPI Breakout Looms 🔥📊🚀

$SPDR S&P 500 ETF Trust(SPY)$ $S&P 500(.SPX)$ 🚨📉🕵️‍♀️ I’m absolutely convinced the battle for $SPY is being fought in real time. $648 proved its strength as intraday support, igniting a $1.6 rebound directly into the $650 magnet. The reclaimed Dark Pool level at $648.82 has become the market’s anchor, and all flows are converging here ahead of PPI and CPI. ⚡ Liquidity Flush in Motion On the 4H Keltner/Bollinger chart, price is coiled tight at the upper envelope; a classic setup before a liquidity flush. On the 30m, every dip toward $648.97 has been absorbed, while sellers stack firepower at $650.52. This isn’t random chop; it’s controlled positioning. 📊 Options Flow: Precision Fuel Flow data shows
🔥📊🚀 SPY at War: $648 Defense, $650 Magnet, CPI Breakout Looms 🔥📊🚀
TOPHen Solo: 🧲Your framing of $648 as the trench and $650 as the magnet is spot on. It’s exactly the kind of coiled spring I’ve tracked in $VIX before volatility events. Positioning is wound so tight that once CPI prints, the move won’t just be drift, it’ll be decisive.
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Michane
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2025-09-10
9.9 (September 9). Today's a shopping date & I went mad on my phone.. From grocery browsing to catch the best sales within shopee, TikTok then finally Tiger - Yes, I'm the kind of housewife who doesn't have to go to the office however, I do earn my own money ok.. so are you that housewife like me?[Observation]   Tbh I don't believe September is the month to stay away from trading as long as we have the upperhand with the knowledge of Options trading. So if you have yet to start, go redeem your Options handbook from Tiger & learn to trade Options today.  Ps. Don't say that Tiger or nobody teach you how, after all most traders learn it our own by studying YouTube etc.[Sly]  
9.9 (September 9). Today's a shopping date & I went mad on my phone.. From grocery browsing to catch the best sales within shopee, TikTok then fina...
TOPzoomzi: It's inspiring to see someone making the most of their time and investing in their knowledge
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Barcode
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2025-09-10

💥🏦🚀 Citigroup’s Breakout + Options Flow: Smart Money Loads Up 🚀🏦💥

$Citigroup(C)$ $Financial Select Sector SPDR Fund(XLF)$ $JPMorgan Chase(JPM)$ 📈 I’m fully convinced Citigroup ($C) is entering a structural re-rate that the market can no longer ignore. A 17-year base has finally broken, and the conviction in options flow is unmistakable. $550K just surged into the 17Oct $92.5C, while 19Sep $82.5C ITM calls are trading at delta 0.96–0.97, effectively shadowing the stock. That isn’t speculation; that’s institutional leverage positioning for more upside. 📊 Options Greeks Reinforce the Setup ITM deltas replicate stock almost one-for-one, while OTM deltas in the 92.5–97.5C range build convexity that rewards momentum. Gamma is climbin
💥🏦🚀 Citigroup’s Breakout + Options Flow: Smart Money Loads Up 🚀🏦💥
TOPHen Solo: 📈The employee profitability comparison really stood out to me, $C lagging peers like $GS but still showing a structural re rate setup is important context. Combined with resilient consumer spending and buybacks, the setup feels more like a rotation cycle than a short lived bounce.
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Barcode
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2025-09-10

📊🚀🔥 Robinhood vs AppLovin: Staying Power or Sell-the-News in the S&P 500? 🔥🚀📊

$Robinhood(HOOD)$ $AppLovin Corporation(APP)$ $Enphase Energy(ENPH)$  🧭 Thesis This is a high-conviction, flow-fueled upgrade for HOOD and APP. Expect a near-term inclusion pop as indexers pile in during the late-September rebalance window, followed by a digestion phase. The “index effect” often fades in 30–45 days, but how much it fades depends on fundamentals and cycle positioning. My edge? Buy dips pre-rebalance, trim into inclusion strength, and reload post-event once liquidity stabilises. 📣 What’s Driving This S&P Dow Jones Indices is adding Robinhood Markets and AppLovin to the S&P 500. Both stocks ripped on the news, and major media flagged the
📊🚀🔥 Robinhood vs AppLovin: Staying Power or Sell-the-News in the S&P 500? 🔥🚀📊
TOPHen Solo: 🔥I really liked how you integrated options flow with those fundamentals, the $1.6M APP put shows hedging pressure but doesn’t kill the trend, and HOOD’s $492K call sweep at $130 lines up perfectly with your upside zones, that’s the kind of flow-backed conviction traders need.
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