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PeterDiCarlo
·
09-17

Hot Stock Updates - AAPL, JD & AMD

1. $Apple(AAPL)$ On July 1st I called the bottom on AAPLSaid we’d see $250 to $280 in the next 3–6 monthsSince then? Up 20% and moving with perfection 📈2. $JD.com(JD)$ On July 18th we called for JD to hit $45–$55 by year end 🎯It’s playing out exactly as expected 📈I’m still long — and the call flow just got insane3. $Advanced Micro Devices(AMD)$ This 1-indicator strategy beat buy-and-hold by 5x over 24 years 1656% vs just 346% on AMD 📈And right now… the setup just triggered againFor 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 commission. Trade SG, HK, US stocks as well as ETFs unli
Hot Stock Updates - AAPL, JD & AMD
TOPMulk: Hi Pete should we keep bitprime as stock is going down?
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2.56K
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PeterDiCarlo
·
09-17

BMNR & MARA Show Strong Bullish Trends

1. $BitMine Immersion Technologies Inc.(BMNR)$ BMNR +28% since our Point of Control bounce call 📍Now it’s pressing into thin volume on the THT Volume Profile… price can rip through like butter.⚡ This setup looks primed for a parabolic leg in the coming weeks.Image2. $MARA Holdings(MARA)$ MARA was an easy buyPoint of Control support + Smart Money Zone held perfectly 🔥Now we’ve got a clean volume gap on the THT Volume Profile $20 is coming 🎯ImageFor 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 commission. Trade SG, HK, US stocks as well as ETFs unlimitedly!Find out more here:
BMNR & MARA Show Strong Bullish Trends
TOPJay K: Hi there, which tool or platform you use to generate this vertical volume chart? (Newbie here)
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1.72K
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PeterDiCarlo
·
09-17

BMNR up 35% since Sept 9 bottom call — today changes everything

On Sept 9, I called the bottom on $BitMine Immersion Technologies Inc.(BMNR)$ ....it’s up 35% in 12 days 📈But today, something happened that changes everything 👇🧵Here’s why this setup was different from the startBack on Sept 8th, all signals aligned:✅ Bullish market structure✅ Smart Money Zone support✅ Point of Control at $54✅ BX Trender showing buyers stepping inSystem triggered. We took the trade.Smart Money Zone = institutional discountWe don’t buy highs.We buy where big money accumulates.BMNR pulled into our purple Smart Money ZoneAnd price exploded +127% in just 7 daysThen pulled back — and heldImageThen came the Point of Control 📍The red line on our THT Volume ProShows the highest volume traded over 150 weeksThat’s where institutions sitTha
BMNR up 35% since Sept 9 bottom call — today changes everything
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1.09K
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Michael Esther
·
09-17

IONQ & META Will Surge Upward

1.When $Tesla Motors(TSLA)$ was at $50 it ran 12,000% in the next 10 years. $Apple(AAPL)$ returned 227,000% since its IPO. $IONQ Inc.(IONQ)$ is still early at $60 and in a few years it can also run 10,000%This year it is up 700% so far.A stock chart for IONQ Inc, displaying a price of 62.36 USD. The chart shows a line graph with price fluctuations from September 2024 to August 2025, peaking recently. Text overlays include "Market Summary > IONQ Inc," "62.36 USD," and "+54.54 (697.44%) past year."IONQ at $60 is the same as $NVIDIA(NVDA)$ at $20 before the massive 2000% breakout.Happy for everyone who is banking in 2025
IONQ & META Will Surge Upward
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904
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Isleigh
·
09-17

📉 Fed Cut + 🕊️ Dovish Pivot = New ATHs? Not So Fast.

Markets are cheering a likely 25 bps Fed cut this week and Trump's 'VERY WELL' trade update with China—but this rally might be running on borrowed time. Yes, easing trade tensions + rate cuts = textbook fuel for an equities breakout. But let's zoom out: 1. Fed Cuts = Weak Growth Signal Historically, rate cuts outside of a recession often precede one. A 25 bps trim may relieve pressure now, but it also signals that the Fed sees a slowdown coming. If earnings don't re-accelerate, valuations will stretch unsustainably. 2. Trade War Over? Or Just Paused? Markets love 'resolution headlines', but there's no formal deal yet. One rogue tweet or tariff retaliation can reverse sentiment overnight. 3. Where's the Real Rotation? We're not seeing strong inflows into small caps or cyclicals. The breadth
📉 Fed Cut + 🕊️ Dovish Pivot = New ATHs? Not So Fast.
TOPEVBullMusketeer: Selective picks crucial now.Gold & BTC hedge makes sense with this volatility
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854
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Michael Esther
·
09-17

25bp cut but if 50bp is done SPY will hit $672+

Up $3,300,000+ for 2025 and FOMC will be the most important for $SPDR S&P 500 ETF Trust(SPY)$ .25bp cut but if 50bp is done SPY will hit $672+Most of the time SPY will make 15%-20% within 1 year so stick to these plays $Apple(AAPL)$ $Meta Platforms, Inc.(META)$ $NVIDIA(NVDA)$ $SPDR S&P 500 ETF Trust(SPY)$ $Tesla Motors(TSLA)$ When FEDS cut rates more people will be able to spend money since interest is lowered.And more spending fuels economy. I think stock will go higher if fed cutFor whom haven't open CBA can know more from below
25bp cut but if 50bp is done SPY will hit $672+
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1.71K
General
TRIGGER TRADES
·
09-17

SPX Fifth Wave Finale Incoming

$S&P 500(.SPX)$ Fifth Wave Finale Incoming 🚨Tomorrow’s FOMC could be the spark for a BLOW-OFF TOP burst 🚀 in this 5th wave advance — with upside potential into 6700–6800 🎯⚠️ But beware: this same event could mark a sell-the-news turning point that triggers a multi-week/month correction.🔑 Key Trigger: A daily close below 6556 sends a sell signal → favoring the 5th wave is complete and opening risk down to 6200–6000 support. $SPDR S&P 500 ETF Trust(SPY)$ $E-mini S&P 500 - main 2512(ESmain)$ $E-mini Nasdaq 100 - main 2512(NQmain)$ $NASDAQ 100(NDX)$
SPX Fifth Wave Finale Incoming
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1.54K
General
DividendWave
·
09-17

MSFT with a quarterly dividend increase +9.6%

$Microsoft(MSFT)$ with a quarterly dividend increase +9.6%$0.91 per share / quarter (+$0.08)ex-dividend for first dividend at this level Nov. 20payable Dec. 11ImageMSFT latest 10% dividend increase (in line with past 7 years increases)a look at Free Cash Flow/dividend payments/payout over the yearsDividend payout for FY25 was ~34% (higher than FY24 due to lower FCF, driven by higher Capex)ImageMSFT Cash flow and Capex ImageMSFT Cash flow and CapexImageFor 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 commission. Trade SG, HK, US stocks as well as ETFs unlimitedly!Find out more here:💰Join the TB Contra Telegram Gro
MSFT with a quarterly dividend increase +9.6%
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1.27K
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SmartReversals
·
09-17

AAPL, META, AMZN & TSLA Show Strong Bullish Trends

1. $Apple(AAPL)$ A resilient bounce from the May 2025 crash. The bullish setup is clear, with a supportive RSI suggesting a bounce to $244-$256. Key support is at $222Image2. $Meta Platforms, Inc.(META)$ The charts don't lie. META's performance line closely tracks, and at times exceeds, its entire sub-industry. After a sharp decline in 2022 and a huge recovery, Meta is a major force moving the market.Image3. $Amazon.com(AMZN)$ & $Tesla Motors(TSLA)$ Market Update: While major indices are flat to lower, the Consumer Discretionary sector is showing relative strength, up 0.5%.Gains in mega-caps Amazon and Tesla are prov
AAPL, META, AMZN & TSLA Show Strong Bullish Trends
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1.26K
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SmartReversals
·
09-17

How the SPX might react to tomorrow’s Fed announcement?

JPMorgan’s scenario map for how the $S&P 500(.SPX)$ might react to tomorrow’s Fed announcement:• Rate hike (1% odds): S&P 500 could slide -2% to -4%. • No change (4% odds): index might dip -1% – 2%. • 25-bp cut with hawkish guidance (40% odds): roughly flat to down up to -0.5%. • 25-bp cut with dovish tone (47.5% odds): index could advance about +0.5%. • 50-bp cut (7.5% odds): swing anywhere between –1.5% and +1.5%. $Invesco QQQ(QQQ)$ $SPDR S&P 500 ETF Trust(SPY)$ $NVIDIA(NVDA)$ 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 0
How the SPX might react to tomorrow’s Fed announcement?
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993
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SmartReversals
·
09-17

SPX - A visit to the 20 DMA is imminent

$S&P 500(.SPX)$ : A visit to the 20 DMA is imminent; the question is, how fast will it get there?When the rally started, rejections from the upper Bollinger Band were slow. However, recently they have become rapid and intense. A brewing bearish Stochastic crossover further supports the pullback thesis. Technicals suggest the visit to the 20 DMA, currently at $6,488, will be fast.ImageFor 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 commission. Trade SG, HK, US stocks as well as ETFs unlimitedly!Find out more here:💰Join the TB Contra Telegram Group to Get $10 Trading Vouchers Now🎉
SPX - A visit to the 20 DMA is imminent
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1.31K
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pretiming
·
09-17

The Russell 2000’s short-term pullback reflects natural consolidation within an extended rally

$iShares Russell 2000 ETF(IWM)$ 🏦 Long-Term Investment Strategy & AnalysisTrend Zone: The Russell 2000 remains in a Bullish environment (49% level), historically associated with higher returns and controlled downside risk.Investment Position: The recommended stance continues to be Buy and Hold, as the medium- to long-term uptrend is intact.Risk Outlook: The probability of entering a Bearish zone over the next 10 days is 0%, highlighting a low chance of sustained downside.Investor Guidance: Long-term investors should remain invested. Corrections within a bullish environment are generally opportunities to accumulate, not signals to exit.📈 Short-Term Investment Strategy & AnalysisCurrent Position: A correction trend is underway, with selling f
The Russell 2000’s short-term pullback reflects natural consolidation within an extended rally
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961
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pretiming
·
09-17

TMC is showing early signs of a bullish recovery following extended weakness

$The Metals Company(TMC)$ 🏦 Long-Term Investment Strategy & AnalysisTrend Zone: TMC has transitioned into a Bullish environment (7% level) after spending much of the past month in Bearish territory (average −35%).Investment Position: The recommended strategy remains Buy and Hold, as bullish entry points typically precede strong upward flows.Outlook: Over the next 10 days, the trend level is expected to rise toward 55% Bullish, indicating an expanding base of buying pressure.Investor Guidance: Long-term investors should stay positioned. Corrections in the early Bullish zone often represent accumulation opportunities rather than exit signals.📈 Short-Term Investment Strategy & AnalysisCurrent Position: The stock is transitioning into a correct
TMC is showing early signs of a bullish recovery following extended weakness
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4.05K
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OptionsBB
·
09-17

Google vs. Microsoft: Which Is the Better Sell Put Candidate?

Google RecapAs of this post, Google is up 18% in September and 33% year-to-date.The major antitrust suit against Google still has 1–2 years to resolve, but the impact is expected to be limited.Google Cloud demand is surging thanks to Gemini’s success—65% of Google Cloud customers are now using its AI tools.Gemini recently overtook all other tracked AI sites for traffic, moving from #2 to #1.Google Cloud now has 13 product lines generating over $1B in annual revenue.Microsoft RecapAs of this post, Microsoft is up 1.7% in September and 21% year-to-date.Microsoft disclosed that Copilot now has 100 million monthly active users.70% of Fortune 500 companies are heavy Copilot users. Within the M365 suite, Copilot is the fastest-growing product.Copilot is showing 20–30% productivity gains in test
Google vs. Microsoft: Which Is the Better Sell Put Candidate?
TOPVenus Reade: Microsoft’s $30B UK investment is a long-term play to lead in AI and cloud. If we don’t build, Amazon or Google will.
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4.99K
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Kenny_Loh
·
09-17

Fed Rate Cuts Ignite Singapore REIT Surge: Are Yield Opportunities Set to Soar?

This week’s FOMC meeting is widely expected to result in a 25 basis point rate cut, marking the first such move in 2025 as the Federal Reserve responds to a softening US labor market and persistently moderate inflation. Market consensus places a greater than 90% probability on this outcome, with a small minority of analysts considering the chance of a larger half-point cut. FOMC Expectations and Rationale Most analysts and market participants expect the Federal Reserve to cut its benchmark interest rate by 0.25%, lowering the federal funds rate to the 4.00–4.25% range. The cut is in response to slowing job growth, rising unemployment (now around 4.3%), and inflation that has moderated but remains above the 2% target. The "dot plot" and economic projections to be released with the meeting w
Fed Rate Cuts Ignite Singapore REIT Surge: Are Yield Opportunities Set to Soar?
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4.72K
Selection
OptionsDelta
·
09-16

Waiting for FOMC and Triple Witching

$Tesla Motors(TSLA)$ This week, the price has held within the $395–435$ range.As mentioned yesterday, institutions rolled positions again: selling the $432.5$ and $435$ calls ($TSLA 20250919 435.0 CALL$ ), buying the $452.5$ and $455$ calls ($TSLA 20250919 455.0 CALL$ ). The odds of another short squeeze this week are low, so selling options expiring this week could be considered.There are also large put spreads to provide a floor: $410$ ($TSLA 20250919 410.0 PUT$ ) and $395$ ($TSLA
Waiting for FOMC and Triple Witching
TOPRainy777: Tesla went up as Musk bought millions not because of fundamentals. Without this buying pressure, it could drop again.
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66.53K
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Elliottwave_Forecast
·
09-16

UPST Favors ((2)) Pullback – Bullish Structure Remains Intact

Upstart Holdings, Inc., (UPST) operates a cloud-based artificial intelligence (AI) lending platform in the United States. The company operates through three segments: Personal lending, Auto lending & others. It comes under Financial services sector and trades as “UPST” ticker at Nasdaq. As expected in last article, UPST ended ((1)) impulse from April-2025 low at $93.67 high & correcting in ((2)) in 3 or 7 swings. We like to buy the next pullback in 3, 7 or 11 swings at extreme area, when reach. UPST – Elliott Wave Latest 4-hour View:  It made all time high of $401.49 in October-2021 & all-time low of $11.93 in May-2023 since inception. Above $11.93 low, it can either be nesting or diagonal structure, missing one more push higher above February-2025 high. Once it confirms 5
UPST Favors ((2)) Pullback – Bullish Structure Remains Intact
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65.13K
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Elliottwave_Forecast
·
09-16

OPEN Stock: Real Value Emerging or Just a Retail Trap?

OPEN ’s makes selling homes easier by offering fast cash offers. Then, it repairs and resells the homes through its platform. Buyers also complete their purchases online. This digital process cuts delays and avoids agent fees. As a result, customers save time and money. Recently, Opendoor added AI tools to improve pricing. Investors now see potential for scalable growth. Still, the company reports losses despite rising demand. Therefore, analysts stay cautious about long-term profits. Opendoor’s stock soared in 2025, climbing nearly 500% year-to-date. This surge followed a major leadership change. Shopify’s former COO Kaz Nejatian became CEO. Co-founders Keith Rabois and Eric Wu also returned to the board. Investors welcomed the shift and bet on a tech-driven comeback. Moreover, Opendoor a
OPEN Stock: Real Value Emerging or Just a Retail Trap?
TOPGeraldAdela: Wow, what an insightful analysis! [Great]
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