🔥📈🐉 BABX Breakout: I’m Positioning Ahead of the Next $49 Run 🐉📈🔥
$GRANITESHARES 2X LONG BABA DAILY ETF(BABX)$$Alibaba(BABA)$ 🐲🐉📈🅱️ U͛ L͛ L͛ I͛ S͛ H͛🔺 📈 Why I’m Convicted I’m fully convinced GraniteShares 2x Long BABA Daily ETF ($BABX) is in the middle of a structural breakout. I’ve watched this trade accelerate for two sessions straight, fueled by a surge in liquidity and volume that signals institutions are stepping in, not just retail momentum. Price has already exploded +15% into $43.52, and I believe this isn’t the end of the move. 🔑 Technical Roadmap I’m tracking the $45.28 resistance as the key pivot. If we clear that level on strong turnover, the path opens toward $49.29, which aligns with the next liquidity pocket. My support zones are anchored at $38.93 and d
$SPDR S&P 500 ETF Trust(SPY)$ 📈🔥📊 SPY Red Band Test at $657.80. I’m tracking $SPY after hitting the red band extension at $657.80. Strong intraday demand keeps price pinned above $655 support while resistance sits near $658. Flows show 0DTE puts now lead calls by $900k+, while 1DTE calls lead puts by $3M+, and ≤90DTE puts lead calls by $2M+. The action confirms short-dated expiries continue to drive strength, while longer-dated flow remains in a tight battle. A decisive break above $658 could open further momentum. 📢 Don’t miss out! Like, Repost and Follow me for exclusive setups, cutting-edge trends, and insights that move markets 🚀📈 I’m obsessed with hunting down the next big movers and sharing strategies that crush it. Let’s outsmart the mar
$Hims & Hers Health Inc.(HIMS)$ 💊📈🔥 HIMS Sep12 calls lit up with explosive gamma. The $52C sits at Delta 0.516, Gamma 0.148, and Theta -0.280, giving the sharpest payoff near spot. ITM 50C carries Delta 0.801 for stability but heavy Theta decay, while OTM 55C+ are pure lotto tickets with Delta <0.17. Momentum stays strongest at 52. 📢 Don’t miss out! Like, Repost and Follow me for exclusive setups, cutting-edge trends, and insights that move markets 🚀📈 I’m obsessed with hunting down the next big movers and sharing strategies that crush it. Let’s outsmart the market and stack those gains together! 🍀 Trade like a boss! Happy trading ahead, Cheers, BC 📈🚀🍀🍀🍀 @SPACE ROCKET
Here Is Why Equinox Gold (EQX) High-Beta Beneficiary If Gold March Towards $4,000
If gold continues its march toward $4,000, $Equinox Gold Corp.(EQX)$ could absolutely be a high-beta beneficiary especially given its leverage to production growth and reserve expansion. In this article, I would like to discuss how these stacks up and how investors might trade it. Gold Price Potential Upside Movement If we looked at Gold, we can see that it might be going through consolidation and if we followed the previous pattern, we might see a potential breakout, so we might want to capture this opportunity to see how we can trade gold-related stocks. EQX Upside Potential in a $4,000 Gold Scenario Current Price: ~$10.97 USD, up ~2.14% recently Analyst Targets: Price targets range from $6.87 to $15.23, with some bullish forecasts reaching up to
Echoes of Equilibrium: Why CPI’s Quiet 2.9% is the Symphony Conductor for a Quantum-Powered Bull Symphony
In the cacophony of Wall Street’s daily drama, yesterday’s CPI release on September 11, 2025, played like a maestro’s baton—subtle, unassuming, yet orchestrating a crescendo that propelled the Nasdaq Composite to a dizzying 22,043.07, its latest record high, while the Dow Jones Industrial Average shattered the 46,000 barrier for the first time in history.   At 2.9% year-over-year inflation for August—precisely in line with economist forecasts—the data didn’t scream; it whispered. No fireworks, no shocks, just a steady pulse that markets interpreted as permission to dream bigger. But here’s the twist that sets this moment apart from the rote rallies of yesteryear: this isn’t your grandfather’s bull market fueled by cheap money alone. No, in 2025, CPI’s equilibrium is the silent enabler of
Twin Flames Ignite: Figure and Gemini’s IPOs Herald a Quantum Fusion of Crypto and Capital Markets As the sun rises on September 12, 2025, the Nasdaq’s trading floor pulses with an electric undercurrent, not from the usual suspects like AI behemoths, but from two crypto-native upstarts rewriting the rules of finance. Figure Technologies (FIGR) made its electrifying debut yesterday, shares rocketing 44% from a $25 IPO price to open at $36, settling around $32 for a $7.6 billion valuation after raising $787.5 million.   Today, Gemini (GEMI), the Winklevoss twins’ crypto exchange powerhouse, prices its IPO at $24-$26 per share—up from an initial $17-$19 range—aiming to haul in $425 million at a $3.1 billion valuation, buoyed by Nasdaq’s audacious $50 million strategic stake.   This isn’t
Alibaba Price Target Raised to USD 190: Open Sesame to More Upside?
🌟🌟🌟Barclays has just whispered the magic words "Open Sesame" and raised $Alibaba(BABA)$ $BABA-W(09988)$ price target to USD 190, unlocking a potential 36% gain. If you have been holding Alibaba and wondering whether to exit the cave.... maybe don't. The treasure chest might not be fully looted yet. Why Hold Alibaba? Alibaba's Cloud Genie is out. Alibaba Cloud's revenue has been growing triple digits for 8 quarters. That is not smoke and mirrors. That is compounding magic. Instant Commerce Pain? Temporary : Analysts think that the losses are peaking. Big Banks are Bullish :
Remember, if you don't see your trading set-up and you didn't take any trades at all then you did really good.Your trading performance comes down to 10 things:1. How well you can spot your trading set-up in real time while the market is open from 9:30am to 11am EST2. How well you execute your entry and exits.3. How much confidence you have (comes from practice and preparation)4. What pressure you have on that money (trading account, do you need money to pay rent)5. How you behave under pressure6. How discipline and patient you are7. Your mindset8. Your personal goals and stresses9. How focused you are during the trades10. Your review process and journallingFor whom haven't open CBA can know more from below:🏦 Open a CBA today and enjoy privileges of up to SGD 20,000 in trading limit with 0
$S&P 500(.SPX)$ - Bullish Resolution: After a series of indecisive candles and bearish divergences, the price rallied. Key elements to watch ->1) Bearish RSI divergence broken2) Bearish Stochastic crossover invalidated3) Price action completely above the Bollinger band4) Previous Bollinger breach was followed by flat consolidation5) The move above the Bollinger band can continue until the price reaches overbought levels.Looks like the rally goes directly to the FOMC meeting.Posted for subscribers on Saturday: Bullish mode as long as the price stays above $6,458. and the $Cboe Volatility Index(VIX)$ reversed at 15.3.ImageFor whom haven't open CBA can know more from below:🏦 Open a CBA today and enjoy
Continue accumulating and holding positions in Russell 2000-linked assets
$iShares Russell 2000 ETF(IWM)$ 📈 Long-Term Investment Strategy & AnalysisCurrent Zone: BullishPosition: Buy and HoldDuration in Bullish Zone: 20 daysCumulative Return: +4.1%In a Bullish zone, investors benefit from a strong upward bias with relatively mild corrections. This environment favors long-term capital appreciation, with downside risks limited compared to bearish regimes.Strategy: Continue accumulating and holding positions in Russell 2000-linked assets (ETFs, index funds, small-cap exposure).Rationale: The probability of entering a Bearish zone in the next 10 days remains negligible (0%).Action Point: Maintain exposure. Any dip during correction trends should be seen as an opportunity to strengthen positions, rather than reduce exposu
IONQ recent correction is transitioning into a fresh uptrend cycle
$IONQ Inc.(IONQ)$$DEFIANCE DAILY TARGET 2X LONG IONQ ETF(IONX)$ 📈 Long-Term Investment Strategy & AnalysisCurrent Zone: BullishPosition: Buy and HoldDuration in Bullish Zone: 10 daysCumulative Return: +7.6%The Bullish zone supports a long-term strategy of accumulation and holding, as sustained buying pressure provides a favorable backdrop for higher returns with relatively low downside risk.Strategy: Continue holding existing positions and accumulate on dips.Rationale: Probability of entering a Bearish zone in the next 10 days remains 0%, indicating stability in the bullish cycle.Action Point: Stay invested until a clear Bearish signal emerges.IONQ’s long-term growth thesis—anchored in quantum comput
RGTI is still in a bearish zone but on the verge of a bullish transition
$Rigetti Computing(RGTI)$$Defiance Daily Target 2X Long RGTI ETF(RGTX)$ 🔹 Long-Term Investment Strategy & AnalysisThe stock currently resides in a Bearish trend zone, where the recommended stance remains “Sell and Observe.”Bearish Zone Dynamics:Downtrend: Strong downward flows with only minor upward corrections.Rebound Trend: Temporary upward moves within a larger downward cycle.Historically, investing in this environment yields low returns with elevated risk, as selling pressure outweighs buying momentum. A key long-term takeaway is that patient investors should avoid premature accumulation until a confirmed bullish transition occurs.Strategic Considerations:Risk Mitigation: Stay defensive, avoid he
Tesla is navigating a Bearish cycle with strong selling momentum
$Tesla Motors(TSLA)$$Direxion Daily TSLA Bull 2X Shares(TSLL)$$GraniteShares 2x Short TSLA Daily ETF(TSDD)$ 🔹 Long-Term Investment Strategy & AnalysisTesla’s long-term outlook continues to be weighed down by its Bearish trend zone. In such an environment, the recommended stance is “Sell and Observe.”Bearish Zone Dynamics:Downtrend: Persistent downward flows with only short-lived bounces.Rebound Trend: Temporary rallies within the dominant bearish cycle.Strategic Considerations:Risk Management First: Avoid heavy exposure, as long-term upside is not supported by current momentum.Observation Mode: Investors should monitor closely, waiting for confirmation of a
$SPDR S&P 500 ETF Trust(SPY)$ Oracle’s surprise earnings effectively broke the market’s pullback, and also expanded the volatility range for $SPY$. This week’s range looks like $645–655$, and next week we may see a test of $660$. $Oracle(ORCL)$ Option flow is out and surprisingly muted—at least in terms of big block trades. Sorting by open interest, there’s more aggressive opening of puts and more closing of calls. The bulls are not piling in right away; most are on the sidelines after the 35% surge, even though $330$ isn’t expensive from a valuation perspective.After the initial excitement, Wall Street analysts are taking a very “corporate” view of the backlog: unless it’s converting directly to reven
Another big crypto IPO is here! Crypto exchange $Gemini Space Station Inc(GEMI)$, founded by the Winklevoss twins, is set to go public on September 12 (ET) on the NASDAQ. With strong retail interest and big-name backers, all eyes are on its market debut.What do you think Gemini’s stock will close at on its first trading day? Drop your prediction and win 888 Tiger Coins!🔍 Quick FactsFounded in 2014, Gemini is a New York-based crypto exchange offering trading, custody, and stablecoin services. It currently manages over $18 billion in assets.The IPO price range has been raised to $24–$26 per share, with 16.7 million shares on offer. This could raise up to $433 million and value the company at around $3.1 billion.Nasdaq itself is investing $50 million
$NEBIUS(NBIS)$ and $CoreWeave, Inc.(CRWV)$ growing like crazy shouldn't be surprising.Satya Nadella publicly explained 6 months ago on a podcast that $MSFT would be leasing a lot of capacity going forward rather than building all itself.Here is what I think is happening:These neo-cloud businesses, both $NEBIUS(NBIS)$ and $CoreWeave, Inc.(CRWV)$ , exist solely because $NVIDIA(NVDA)$ wants them to exist.Nvidia has an equity stake in both companies, and they are both members of the Nvidia Partners Program. Nvidia grants early access to its chips to the partners.Nvidia does that bec
$S&P 500(.SPX)$ no follow through on the gap up today but still managed to hold above 6500. If there's a positive reaction to CPI SPX should set up for 6600 before FOMC Next week.SPX Sept 12 6560C is best above 6530 tmrw. I'd avoid calls if SPX fails to hold 6500 $Palantir Technologies Inc.(PLTR)$ through 168 can run to 174-177 nextPLTR Sept 12 170C can work above 168 $Invesco QQQ(QQQ)$ all about 583, once it can close above this level on a daily candle it will run to 590,600QQQ Sept 12 585C is best above 583Good luck everyone🫡 !!For whom haven't open CBA can know more from below:🏦 Open a CBA today and enjoy privileges of up to SGD 20,000 in trading limit with
Hello everyone! Today i want to share some technical analysis with you!1. $Opendoor Technologies Inc(OPEN)$ up +38% in after hours trading:✅ New CEO Appointment✅ Return of Co-Founders✅ New $40M InvestmentMore fuel for the squeeze.Image2.The market called $UnitedHealth(UNH)$ “too cheap” once it hit single-digit earnings.Will $Lululemon Athletica(LULU)$ earn the same treatment?Image3. $Taiwan Semiconductor Manufacturing(TSM)$ Seasonal strength lining up with a breakout on TSMSince 1997, October has been its best month:🟢 78% win rate🟢 +5.8% avg returnImage4. $Alphabet(GOOG)$ See ya s
SEC’s Ethereum ETF Staking Delay: Market Shocker – Time to Pivot?
The SEC’s sudden delay of staking for BlackRock’s spot Ethereum ETF has rattled markets, with Ethereum dropping to $3,250, Bitcoin slipping to $120,500, and the S&P 500 easing to 6,508.34. The VIX edges up to 14.50, oil holds at $74.60/barrel, and the dollar index strengthens to 105.2 amid uncertainty. Posts found on X reflect “SEC overreach” frustration and “sell-off fears,” though some see a “buy-the-dip” chance. BlackRock’s $968 million Ethereum ETF inflows this week contrast the setback, while JPMorgan’s blockchain initiatives with Indian banks process $2.5 billion weekly, hinting at broader crypto resilience. This deep dive unpacks the delay’s impact, market reactions, key assets, outlook, trading opportunities, and a strategy to navigate this twist. Market Reaction: The Staking S
📈Gold Prices Soar to Record Highs! US & HK Stocks and ETFs Map!
Gold Prices Soar to Record Highs! How Can Investors Capture Opportunities in the US and Hong Kong Stock Markets?Recent Gold Market Drivers:Monetary policy expectations: The anticipation of rate cuts by the U.S. Federal Reserve (due to cooling inflation, weaker job data) has lifted gold. Lower real interest rates make gold more attractive.US dollar weakness: As the dollar weakens, gold gains in local-currency terms in many regions, increasing demand.Inflation and geopolitical risk: Persistent inflation and macroeconomic uncertainty (trade tensions, central bank behavior, global debt burdens) are pushing investors toward safe-haven assets.Central bank demand: Continued buying by central banks (especially in Asia) is supporting demand.US Gold Stocks: The six companies selected are major gold