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1.56K
General
Terra_Incognita
·
2025-09-16
$GOOGL 20251219 165.0 CALL$  Sharing winning options to earn weekly coins.  Caught this GOOGL long call during the 23rd June dip and bought the 6 months long call at the money $165 for about $1.6k.  Little would I know GOOGL continue to scale higher and its closing at $251.61, reaping me a 4x profit on investment in the past 3 months.  I've also sold covered call in this contract as hedge and that is at $260 strike. Hope to boost additional premium through this trade strategy. 
$GOOGL 20251219 165.0 CALL$ Sharing winning options to earn weekly coins. Caught this GOOGL long call during the 23rd June dip and bought the 6 mon...
2
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0
Selection
Deonc
·
2025-09-17

Time to Take Profit.

TSLA : 3 Forces Driving It Higher ? Read to know ! $Tesla Motors(TSLA)$   $Tesla Motors($Tesla Motors(TSLA)$  )$ shares are on the move again, climbing nearly +30% this month and reversing much of its 2025 slump. Just September 2025 alone, TSLA has risen from $325 levels at the start of the month to presently hovering around the $410-mark (as of 15 Sep 2025 closing). (see below) The scrip is close to doubling its value as compared to the lows of March 2025, when it was trading at around $222. From being one of the weakest in the "Magnificent 7" earlier this year, TSLA's September surge has once again put it back in the spotlight and b
Time to Take Profit.
TOPMerle Ted: Tesla's going to lose that $400 and gain it back several times before christmas, it's going to be that same old boring wild Ride that I love about Tesla stock
Comment
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60.04K
General
Elliottwave_Forecast
·
2025-09-17

Microsoft Corp. $MSFT Blue Box Area Offers A Buying Opportunity

Hello everyone! In today’s article, we’ll examine the recent performance of Microsoft Corp. ($MSFT) through the lens of Elliott Wave Theory. We’ll review how the rally from the April 07, 2025 low unfolded as a 5-wave impulse followed by a 3-swing correction (ABC) and discuss our forecast for the next move. Let’s dive into the structure and expectations for this stock. 5 Wave Impulse Structure + ABC + WXY correction $MSFT 8H Elliott Wave Chart 9.04.2025: In the 8-hour Elliott Wave count from Sep 04, 2025, we saw that $MSFT completed a 5-wave impulsive cycle at red III. As
Microsoft Corp. $MSFT Blue Box Area Offers A Buying Opportunity
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61.09K
General
Elliottwave_Forecast
·
2025-09-17

Microsoft Corp. $MSFT Blue Box Area Offers A Buying Opportunity

Hello everyone! In today’s article, we’ll examine the recent performance of Microsoft Corp. ($MSFT) through the lens of Elliott Wave Theory. We’ll review how the rally from the April 07, 2025 low unfolded as a 5-wave impulse followed by a 3-swing correction (ABC) and discuss our forecast for the next move. Let’s dive into the structure and expectations for this stock. 5 Wave Impulse Structure + ABC + WXY correction $NVDA $MSFT 8H Elliott Wave Chart 9.04.2025: In the 8-hour Elliott Wave count from Sep 04, 2025, we saw that $MSFT completed a 5-wave impulsive cycle at red III. As expected, this initial wave prompted a pullback. We anticipated this pullback to unfol
Microsoft Corp. $MSFT Blue Box Area Offers A Buying Opportunity
TOPtwiddly: Great analysis! Watching for those entry opportunities in that blue box area could pay off big.
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9.38K
Hot
koolgal
·
2025-09-17
$USA Rare Earth Inc.(USAR)$ USAR has been on a tear this year, up 8.5% today and 20% year todate.  President Trump is setting up a USD 5 billion fund to help US  rare earth companies so as to reduce dependence on overseas supply.  I believe that USAR will be on an upward momentum as a result. @CaptainTiger  @TigerClub  @Tiger_comments  @TigerStars
USAR
09-17 08:06
USUSA Rare Earth Inc.
SidePrice | FilledRealized P&L
Buy
Open
15.02
1
+6.80%
Holding
USA Rare Earth Inc.
$USA Rare Earth Inc.(USAR)$ USAR has been on a tear this year, up 8.5% today and 20% year todate. President Trump is setting up a USD 5 billion fun...
TOPDKim: Hi Koolgal, any reason why you choose this rather than MP Material. I was scanning for rare earth counter too.
25
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912
General
hakunaurtata
·
2025-09-16
$OSCR 20250926 17.5 PUT$ Selling puts for premiums at 17.5 strike which is around the top of the weekly Ichimoku cloud, will manage the position according to price action. Price is back testing support levels and I'm still bullish on this position. 
OSCR PUT
09-16 22:03
US20250926 17.5
SidePrice | FilledRealized P&L
Sell
Open
0.80
10Lot(s)
--
Closed
Oscar Health, Inc.
$OSCR 20250926 17.5 PUT$ Selling puts for premiums at 17.5 strike which is around the top of the weekly Ichimoku cloud, will manage the position ac...
TOPWade Shaw: 17.5 strike at cloud top—what if support breaks below cloud?
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1.41K
General
Taglich nur
·
2025-09-16
$MU 20271217 80.0 PUT$ 30% after 1 month. Good run so took profit before it possibly goes against me. 
MU PUT
09-16 22:09
US20271217 80.0
SidePrice | FilledRealized P&L
Buy
Close
6.35
1Lot(s)
+33.73%
Closed
Micron Technology
$MU 20271217 80.0 PUT$ 30% after 1 month. Good run so took profit before it possibly goes against me.
TOPDaisyMoore: Nice move! Locking in those profits! [Victory]
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1.79K
General
Miss Vee
·
2025-09-16
$WeRide Inc.(WRD)$  Finally sold this one. Lunch money. Now on the hunt for new stock to buy [Grin]  [Serious]  
WRD
09-16 22:34
USWeRide Inc.
SidePriceRealized P&L
Sell
Close
10.38+2.24%
Closed
WeRide Inc.
$WeRide Inc.(WRD)$ Finally sold this one. Lunch money. Now on the hunt for new stock to buy [Grin] [Serious]
TOPbouncee: Awesome sell! Enjoy that lunch money! [Grin]
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2.76K
General
AyKing
·
2025-09-16
$BitMine Immersion Technologies Inc.(BMNR)$ Decided to close this shares before FOMC speak tomorrow. Free up my capital for other opportunity.
BMNR
09-16 22:55
USBitMine Immersion Technologies Inc.
SidePrice | FilledRealized P&L
Sell
Close
51.88
10
+20.29%
Closed
BitMine Immersion Technologies Inc.
$BitMine Immersion Technologies Inc.(BMNR)$ Decided to close this shares before FOMC speak tomorrow. Free up my capital for other opportunity.
TOPPandoraHaggai: Smart move! Love the strategy! [Smart][Heart]
1
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1.88K
General
Summertrades
·
2025-09-17
$NVDA 20250919 175.0 PUT$ Estimated 2.50 from calculating how much the options price will hit if the stock price i predicted reaches 175$, based on comparing same "difference" of the projected move for the options price that point in time. workeddd
NVDA PUT
09-17 00:03
US20250919 175.0
SidePrice | FilledRealized P&L
Sell
Close
2.50
1Lot(s)
+19.40%
Closed
NVIDIA
$NVDA 20250919 175.0 PUT$ Estimated 2.50 from calculating how much the options price will hit if the stock price i predicted reaches 175$, based on...
TOPskippix: Interesting analysis
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1.08K
General
VNW Capital
·
2025-09-17
$Microsoft(MSFT)$ MSFT chopping around 50 SMA, likely to rebound soon. Keeping for long-term investment. Using profit from earlier trade to buy shares.
MSFT
09-17 02:15
USMicrosoft
SidePrice | FilledRealized P&L
Buy
Open
511.64
1
-9.30%
Holding
Microsoft
$Microsoft(MSFT)$ MSFT chopping around 50 SMA, likely to rebound soon. Keeping for long-term investment. Using profit from earlier trade to buy sha...
TOPKittyBruno: Great strategy! Holding through the chop could really pay off in the long run. Exciting times ahead
1
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2.19K
General
Summertrades
·
2025-09-17
$Apple(AAPL)$ Based on past data and pattern of AAPL's daily possible movement, this was nearing the peak so I sold.
AAPL
09-16 22:11
USApple
SidePrice | FilledRealized P&L
Sell
Close
240.40
50
+1.30%
Closed
Apple
$Apple(AAPL)$ Based on past data and pattern of AAPL's daily possible movement, this was nearing the peak so I sold.
1
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3.34K
General
mster
·
2025-09-17
$SPY 20250916 659.0 PUT$ Been selling 0DTE the past days in SPY.  As the FED's rate cut is round the corner, am playing it safe of avoiding possible assignments by selling a further out strike.  The IV has been very low for the past days with moving range of only $2-$3.  Thus even with strike that's just $3 out, the premium became so diluted, unless manage to catch the day low and even with that, it needs to be early part of the day before the extrinsic value gets eroded as the day passes.  This CSP was opened shortly after market opens when the price trended near day's low. the strike was just about $1.5 away. In any case with the price still hovering near 660 after market, this option should expire wo
SPY PUT
09-16 21:51
US20250916 659.0
SidePriceRealized P&L
Sell
Open
0.55--
Closed
SPDR S&P 500 ETF Trust
$SPY 20250916 659.0 PUT$ Been selling 0DTE the past days in SPY. As the FED's rate cut is round the corner, am playing it safe of avoiding possible...
TOPNatalieTommy: Awesome strategy! Fingers crossed for that expiry! [Victory]
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1.51K
General
Bonta
·
2025-09-17
$HEX.HK 20250929 440.00 PUT$ I closed $HEX.HK 20250929 440.00 PUT$  ,>84% profits. Taking profits to free margin >84% profits. Taking profits to free margin 
HEX.HK PUT
09-17 11:25
HK20250929 440.00
SidePrice | FilledRealized P&L
Buy
Close
2.94
6Lot(s)
+84.21%
Closed
HEX 250929 440.00 PUT
$HEX.HK 20250929 440.00 PUT$ I closed $HEX.HK 20250929 440.00 PUT$ ,>84% profits. Taking profits to free margin >84% profits. Taking profits to fre...
1
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2.43K
General
Terra_Incognita
·
2025-09-17
$CELH DIAGONAL 250926/250919 CALL 60.0/CALL 62.0$ CELH: Collect $129 (0.7%) premium for this covered call trades.  take profit and roll the contract to gain more premium.  The existing 19th Sept short calls are almost depleted so decided to close it.  Using premium from selling new call, with expiry on 26th Sept and lowered strike at $60 to gain better premiums and risk adjusted.  CELH dropped the past 2 trading sessions and closed Tues at $55.27 so $60 strike is still a good margin away.  My long calls protected this with also $60 strikes so I'm slightly in paper loss on that one since the price closed below.  Longer term bullish on CELH so I'm going to
CELH Diagonal
09-16 23:46
US60.0/62.0
SidePrice | FilledRealized P&L
Credit
Close
-0.43
3
--
Closed
CELH DIAGONAL 250926/250919 CALL 60.0/CALL 62.0
$CELH DIAGONAL 250926/250919 CALL 60.0/CALL 62.0$ CELH: Collect $129 (0.7%) premium for this covered call trades. take profit and roll the contract...
1
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810
General
過路人
·
2025-09-17
$SMC.HK 20250929 110.00 CALL$ 我唔係話佢唔勁,但我就真係唔信佢,今個月之內,可以上到110咁勁囉,是此交易屬無貨賣call,,不適合一般投資者去做,因為風險極高[胜利]  
SMC.HK CALL
09-17 14:57
HK20250929 110.00
SidePrice | FilledRealized P&L
Sell
Open
0.05
3Lot(s)
--
Closed
SMC 250929 110.00 CALL
$SMC.HK 20250929 110.00 CALL$ 我唔係話佢唔勁,但我就真係唔信佢,今個月之內,可以上到110咁勁囉,是此交易屬無貨賣call,,不適合一般投資者去做,因為風險極高[胜利]
2
Report
4.29K
General
Alvinlim888
·
2025-09-17
$ALB.HK 20250929 120.00 PUT$ Almost 87% Quickly close it ahead of fomc to reduce exposure 
ALB.HK PUT
09-17 10:30
HK20250929 120.00
SidePrice | FilledRealized P&L
Buy
Close
0.13
10Lot(s)
+87.04%
Closed
ALB 250929 120.00 PUT
$ALB.HK 20250929 120.00 PUT$ Almost 87% Quickly close it ahead of fomc to reduce exposure
TOPBorisBack: Smart move! Reducing exposure is key! [Smart]
2
Report
30.96K
Selection
JC888
·
2025-09-17

FIGR - just another Stablecoin IPO. Buy?

Stablecoin issuer Figure Technologies increased the size and raised the price range of its initial public offering first mentioned on Tue, 9 Sep 2025 as retail investors bid up crypto-related stocks, confirming a Reuters report. The company revised its IPO at a price range of $20 to $22 a share – up from its previous range of $18 to $20 a share. It also raised the number of shares to 31.5 million from around 26 million. Initial FIGR's IPO would have raised as much as $526 million and valued the company at $4.1 billion. With revision and based on top end of new pricing range, Figure's IPO will raise roughly $693 million and value the company at $4.66 billion. IPO’s proceeds will fund (i) corporate growth, (ii) working capital, and (iii) potential acquisitions, further amplifying its scalabi
FIGR - just another Stablecoin IPO. Buy?
TOP0billionaire: Impressive insight on FIGR! [Great]
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Report
4.17K
Selection
Tiger_SG
·
2025-09-17

How Do the Wealthy Allocate Their Assets? Compare Your Portfolio with JPMorgan’s Findings!

In 2024, J.P. Morgan surveyed 190 family offices worldwide, revealing the investment preferences of top-tier wealthy individuals. The results show that their portfolios are diversified, balancing stability and growth. Here’s the breakdown of their asset allocation:Equities (publicly listed stocks): 26.26%Private Equity (unlisted companies, e.g., tech startups): 17.14%Real Estate (residential rentals, commercial property): 14.47%Cash (bank deposits, money market funds): 8.80%Investment-Grade Bonds (government or large corporate bonds): 10.16%Hedge Funds (quantitative, macro strategies, etc.): 5.23%Other Investments (art, luxury goods, wineries, etc.): 5.04%Venture Capital (early-stage or high-growth companies, e.g., internet firms): 4.89%Private Credit (loans to SMEs, earning interest): 4.0
How Do the Wealthy Allocate Their Assets? Compare Your Portfolio with JPMorgan’s Findings!
TOPShyon: My portfolio is much simpler compared to wealthy families in J.P. Morgan’s survey. I keep about 50% in equities for long-term growth, 20% in managed funds for diversification, 20% in fixed deposits for safety, and 10% in high-risk assets like cryptocurrency for potential big returns. Compared to their allocation, I’m heavier in equities and riskier assets, while they spread across real estate, bonds, and private equity. I prefer keeping things simple and easy to track, which helps me stay consistent. I don’t think I’d fully follow their ratios. Private equity and venture capital are interesting but too risky and illiquid for my comfort. My current setup suits my goals and risk tolerance, though I remain open to adjusting if market conditions change. Over time, I may also explore adding more fixed income for stability. @Tiger_SG @TigerStars @Tiger_comments
21
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18.12K
Selection
Tiger_comments
·
2025-09-17

Triple Witching Day: Big Volatility, Big Opportunities! What’s Your Plan?

Every March, June, September, and December on the third Friday, the market experiences a rare event called Triple Witching Day. 🚀On this day, tons of options and futures contracts will expire at the same time—leading to big price swings and heavy trading volume! 💥This Friday, Sep 19 will be one of those Triple Witching Day!🪄 Here’s what typically happens:📈 Surging trading volume – as traders close or roll positions.🌪️ Spikes in volatility – driven by big portfolio adjustments and hedging activity.🕐 “Witching hour” effects – the final hour of trading can see dramatic price swings.For active traders, it can mean short-term opportunities.For long-term investors, it might be a day to stay cautious and avoid unnecessary risk.🎩 So, what’s your game plan for Triple Witching Day?🤔Grab the volatili
Triple Witching Day: Big Volatility, Big Opportunities! What’s Your Plan?
TOPShyon: For me, Triple Witching Day is more of an observation day rather than an active trading one. I seldom trade options since the risks are higher and my knowledge of options strategies is still quite limited, so I prefer to keep things simple and focus more on the underlying stocks themselves. My approach is to watch how the market reacts during the “witching hour” and study the volume and volatility spikes. These moments often reveal important levels of support and resistance, which can help me better understand price action for the stocks I’m following. So for this Friday, I’ll likely stick to monitoring the stocks on my watchlist, take notes on the unusual market moves, and avoid unnecessary risk. I believe patience is also a strategy, and protecting capital is just as important as chasing opportunities. @Tiger_comments @TigerStars
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