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732
General
Shyon
·
09-17
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 chasin
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 ...
TOPsnixxx: I appreciate your cautious approach
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764
General
MHh
·
09-17
I won’t follow Elon to buy Tesla. The price now is due to his large volume trade but realistically, Tesla is losing its competitive edge in many European countries and China. So, I think fundamentally, it is not attractive for me to invest in. I also wouldn’t trade this as I am not sure if there are enough diamond hands around or we will see the sharp drop soon as many take profit. I don’t think Tesla can break out and surpass its previous high of $488. I think the price will start to collapse after reaching a maximum of $450. I guess for this week, Tesla could possibly stage another 10% upside as momentum is definitely there and many are encouraged by the large volume trade by Elon. Thereafter, I think we might see many taking profit.
I won’t follow Elon to buy Tesla. The price now is due to his large volume trade but realistically, Tesla is losing its competitive edge in many Eu...
TOPVenus Reade: Today could see $450 ,if it does, open a brief short as gaps below $420 exist even for this runaway train
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1.08K
General
Shyon
·
09-17
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 mo
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 manage...
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390
General
Shyon
·
09-17
For me, the stock I like most is NewMarket Corporation $NewMarket(NEU)$ . It has a strong track record of profitability and reliable dividend payouts, which I find attractive. On top of that, NEU has delivered gains year-to-date, showing resilience compared to others that are down. I also like that NEU operates in a niche specialty chemicals business, giving it stability and pricing power. It may not be flashy, but steady demand supports consistent cash flow for dividends. Compared to REITs or financials, I find NEU’s model more reliable. While I keep an eye on other high ex-dividend stocks, NEU stands out as the best balance of stability and growth. For my strateg

🎁Capturing Top 10 Ex_dividend: PSA, NEU, UNH, DPZ, EXR...

@Tiger_Earnings
Which High Ex-dividend Stock (on 15 September ~ 19 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 $PSA$ and $NEU$ 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.YTD25 of the Above 10 Stocks are as Below:Accordi
🎁Capturing Top 10 Ex_dividend: PSA, NEU, UNH, DPZ, EXR...
For me, the stock I like most is NewMarket Corporation $NewMarket(NEU)$ . It has a strong track record of profitability and reliable dividend payou...
TOPFrankRebecca: Great choice! NEU sounds solid! [Heart]
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9.45K
General
Aqa
·
09-17
🚀🚀🚀 Elon Musk is doing it again — powering $Tesla Motors(TSLA)$ share price 7-8% up and up to the moon, single handedly! Musk’s buy has boost confidence in Tesla stock. Another 10% upside this week is certain if there is other executives buying. Looking forward to TSLA’s next earnings report. Any strong deliveries and margins would certainly propel TSLA’s share price to surpass its previous high of $488. Thanks @Tiger_comments @Tiger_Earnings @TigerStars @Tiger_SG @Tiger_chat <
🚀🚀🚀 Elon Musk is doing it again — powering $Tesla Motors(TSLA)$ share price 7-8% up and up to the moon, single handedly! Musk’s buy has boost confi...
TOPValerie Archibald: Sales in Europe are crazy! Easy $480 - 3rd of October. Buy calls and enjoy!
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General
Barcode
·
09-18
$GoPro(GPRO)$ 🚀📸🔥 $GPRO Cup & Handle Targeting $2.75–$3.00 📸🔥🚀 I’m fully convinced GoPro is lining up for its Opendoor-style breakout. I brought the dip at $2.33 and we’re already pressing $2.40 with technical momentum building across multiple timeframes. The 4H chart is coiling under resistance at $2.50, the 30m and 5m Keltner/Bollinger bands are tightening, and the ascending trendline points straight into a potential breakout zone. Above $2.50, my eyes are on $2.75 and $3.00 as natural targets. I’m not looking at GoPro as just a “camera stock.” The market cap sits around $370M, but hidden inside is 450PB of video data now being licensed for AI training. To put that in perspective, Tesla’s FSD program is built on 200–500PB. GoPro’s first-pers
$GoPro(GPRO)$ 🚀📸🔥 $GPRO Cup & Handle Targeting $2.75–$3.00 📸🔥🚀 I’m fully convinced GoPro is lining up for its Opendoor-style breakout. I brought th...
TOPQueengirlypops: Lowkey feels like $GPRO’s building the same comeback energy $OPEN had, and I can’t stop thinking how wild it is that they’re sitting on more data than $TSLA uses for FSD. If that $2.50 wall cracks, it’s not just a technical breakout, it’s the market realizing the whole AI dataset angle is real. I love the vibe of buying the dip here because it’s exactly where underdogs start flipping into legends
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2.04K
General
Fistein
·
09-18
$BigBear.ai Holdings(BBAI)$  $10 Target Price by Goldmach Sachs analyst.  Growth Catalysts: BigBear.ai (BBAI) has secured multi-trillion U.S Defense Contracts, with its specialization in AI-driven decision-making tools for national security platforms and military equipments. It's backed up by U.S military sector with increasing U.S. defense budgets ($886B FY2024). Institutional Interest:  Goldman Sachs has increased BBAI stock holdings by 569% in Q3 2025, aligning with Congressional insider purchases as BBAI biggest stakeholders. 
$BigBear.ai Holdings(BBAI)$ $10 Target Price by Goldmach Sachs analyst. Growth Catalysts: BigBear.ai (BBAI) has secured multi-trillion U.S Defense ...
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629
Selection
nerdbull1669
·
09-18

MoneyHero (MNY) Narrower Adjusted EBITDA loss Or Profitability Could Give A Small Rally

$MoneyHero(MNY)$ is scheduled to release its fiscal Q2 2025 earnings on Thursday, September 19, 2025, before the market opens. Earnings Per Share (EPS): The consensus EPS forecast for Q2 2025 is a loss of $-0.02. This is a significant improvement from the reported loss of $-0.3 in the same quarter last year. Any surprise, positive or negative, relative to this forecast will be a major driver of stock price movement. Revenue: Investors will be looking for a solid revenue number, which is a key indicator of the company's growth in its core markets of Singapore, Hong Kong, Taiwan, and the Philippines. The company's ability to grow its top line will be critical to its long-term viability. Here is an analysis of what investors and traders should be watc
MoneyHero (MNY) Narrower Adjusted EBITDA loss Or Profitability Could Give A Small Rally
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873
Selection
nerdbull1669
·
09-18

Bullish or Bearish Momentum After Most Optimistic Rate-Cut Expectations Mixed

The Fed's latest move—a quarter-point cut with a forecast of two more in 2025 but only one in 2026—presents a mixed signal. Here is a breakdown of the likely market dynamics and whether a bearish momentum is on the horizon. 1. What the Fed Did vs. What the Market Expected Fed Action: A quarter-point cut now, with guidance for two more in 2025 and only one in 2026. Market Expectation (before meeting): Futures pricing suggested investors were betting on faster and deeper easing (3–4 cuts in 2025). This creates a gap between expectations and Fed guidance. 2. Market Reaction Dynamics Equities: Stocks have been rallying partly on hopes of aggressive cuts → If the Fed signals a slower pace, the market may reassess valuations, especially in high-duration sectors (tech, growth). Bonds/Yields: Yiel
Bullish or Bearish Momentum After Most Optimistic Rate-Cut Expectations Mixed
TOPDonnaMay: Absolutely insightful analysis! [Wow]
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1.05K
General
Shyon
·
09-18
I'm genuinely excited about Goldman Sachs $Goldman Sachs(GS)$   upgrading Alibaba's $Alibaba(BABA)$  target price to $179, especially with their bullish stance on its AI infrastructure. The news that Alibaba Cloud's valuation was raised to about $43 per ADR, alongside Barclays also lifting their target to $190 last week, has me feeling incredibly optimistic. With the Fed's recent 25 bps rate cut announced just this moning , I think the timing couldn't be better for a stock like Alibaba to shine. This combination of strong analyst support and a supportive monetary environment has me leaning heavily bullish. I truly believe in A
I'm genuinely excited about Goldman Sachs $Goldman Sachs(GS)$ upgrading Alibaba's $Alibaba(BABA)$ target price to $179, especially with their bulli...
TOPEnid Bertha: Fed approves quarter-point interest rate cut and sees 2 more coming this year.
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1.30K
General
Mickey082024
·
09-18

Synopsys Faces China Headwinds: Is the Stock Still Overvalued Despite the Pullback?

$Synopsys(SNPS)$ Introduction: Why Synopsys is in the Spotlight After Synopsys (NASDAQ: SNPS) released its most recent quarterly earnings, shares slid sharply, erasing part of the company’s strong multi-year gains. For long-term investors, this sudden drawdown raises important questions: Why did the stock drop so abruptly? Are these risks short-term noise, or a fundamental shift in Synopsys’ business model? And at today’s prices, is Synopsys a buy, a hold, or a sell? In this article, I’ll walk through Synopsys’ latest performance, highlight what management had to say about current challenges, and analyze the company’s long-term prospects. Most importantly, I’ll share my discounted cash flow (DCF) valuation model and explain why I believe the stock
Synopsys Faces China Headwinds: Is the Stock Still Overvalued Despite the Pullback?
TOPVenus Reade: RSI rebalance day, no real buyers stepped in. 405.50 retest this week if that holds we will go to 460 next week.
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706
General
Mickey082024
·
09-18

Rate Cuts in 2025: Catalyst for Growth or Warning Sign of Weakness?

$iShares 20+ Year Treasury Bond ETF(TLT)$ The U.S. stock market is once again at a pivotal juncture. After months of speculation, investors are finally on the cusp of receiving the rate cut they have been anticipating from the Federal Reserve. Optimism over this move is running high, particularly as trade tensions that once defined the global economic landscape continue to ease. The question now is whether these twin tailwinds—monetary easing and diplomatic progress—are sufficient to sustain the rally that has carried equity indices to fresh all-time highs. The stakes are significant. With valuations already stretched in certain corners of the market, even modest disappointment from the Fed or renewed geopolitical flare-ups could trigger a reversal
Rate Cuts in 2025: Catalyst for Growth or Warning Sign of Weakness?
TOPVenus Reade: Time for the dollar to rebound and TLT to consolidate around $86- $89 until EOY? I wonder why TLT is rising, who's responsible and whether the visit to the UK wasn't a bit overhyped?
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1.02K
Selection
Mickey082024
·
09-18

Elon Musk’s $1B Bet: Is Tesla Headed for $500 or Due for a Pause?

$Tesla Motors(TSLA)$ Tesla has never been a stranger to volatility. From its early days as a scrappy electric vehicle (EV) startup to its meteoric rise into one of the world’s most valuable automakers, the stock has always been a battleground between passionate believers and hardened skeptics. The latest chapter in this story comes with Tesla’s surge past $400 per share, propelled by none other than Elon Musk himself purchasing $1 billion worth of Tesla stock. For investors, the move represents a profound show of confidence. Insider buying on this scale is rare, and when it comes from a CEO as influential as Musk, it carries even more weight. But the timing of the purchase raises key questions: Is the breakout above $400 the start of a sustained t
Elon Musk’s $1B Bet: Is Tesla Headed for $500 or Due for a Pause?
TOPEnid Bertha: Elon purchased 1 billion in Tesla stock recently and the stock price took off. Elon is worth 450 billion. Think about it.
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1.16K
General
Shyon
·
09-18
For me, seizing the moment in trading means spotting catalysts early, and right now my focus is on IONQ. The recent stimulus and news of its MoU with the Department of Energy to deploy quantum technologies in space is a big deal. Government partnerships validate IONQ’s tech and unlock real growth opportunities that the market hasn’t fully priced in. This news comes at the right time, aligning with global pushes for innovation. In volatile markets, decisive action is key—I see IONQ as one of those moments where fundamentals and sentiment line up. Instead of chasing noise, I’d rather focus on a stock with clear momentum and a strong narrative. That’s why I’m watching IONQ closely. With its space quantum computing potential, strong momentum, and government backing, I believe it stands out as
For me, seizing the moment in trading means spotting catalysts early, and right now my focus is on IONQ. The recent stimulus and news of its MoU wi...
TOPAugustineMac-: It's exciting to see such a strong narrative around IONQ
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1.19K
General
Barcode
·
09-18
$Opendoor Technologies Inc(OPEN)$ 🔥🏠🚀 Opendoor Ignites: Real Estate Tech Breakout In Motion 🚀🏠🔥 I’m seeing Opendoor transition from a speculative rebound into a probability-weighted breakout setup that traders can’t ignore. The stock ripped +14.46% after management revealed its nationwide expansion plan: direct cash offers, agent partnerships, and full-scale platform integration across the U.S. Trader inflows drove double-digit gains before the close, and momentum has carried into overnight trading. 🔎 Key levels in play: • Support zones: $9.42 and $8.65; defended with conviction. • Breakout trigger: $10.50; the red band top that unlocks momentum. • First extension: $11.25; measured move target. • Channel roadmap: $14 → $16 if liquidity flushes co
$Opendoor Technologies Inc(OPEN)$ 🔥🏠🚀 Opendoor Ignites: Real Estate Tech Breakout In Motion 🚀🏠🔥 I’m seeing Opendoor transition from a speculative r...
TOPCool Cat Winston: I’m seeing the way you framed $OPEN’s $9.42 support and $10.50 breakout really line up with how $RDFN traded during its last channel extension. That kind of liquidity defense followed by compression usually isn’t noise, it’s structural re-accumulation.
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1.05K
Hot
Barcode
·
09-18

🍩⚡📈 Krispy Kreme Rockets +12% After FBI Director’s “Good Investment” Comment ~ ON Semi Also Gets a Lift 🍩⚡📈

$ON Semiconductor(ON)$ $Opendoor Technologies Inc(OPEN)$  Strong capital flows don’t wait for earnings reports; they respond to credibility shocks. When FBI Director Kash Patel casually called Krispy Kreme ($DNUT) “a good investment” during testimony and disclosed buys in ON Semiconductor ($ON), the tape lit up. DNUT spiked nearly +12% intraday from $3.12 to $3.50 before cooling to $3.35, while ON reclaimed the $50 handle with momentum underneath. 🍩 Krispy Kreme Technicals On the 4H chart, DNUT broke out of a tight Keltner/Bollinger squeeze. • Resistance: $3.40–3.45 (55 EMA cluster), then $3.70–3.90 if momentum extends. • Support: $3.15–3.20 (prior base). Lose it and the $2.90–3.00 shelf reopens. I’m w
🍩⚡📈 Krispy Kreme Rockets +12% After FBI Director’s “Good Investment” Comment ~ ON Semi Also Gets a Lift 🍩⚡📈
TOPRyan Cirulli: What does this mean?
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1.41K
General
Lanceljx
·
09-18
1. Currently, equities take up the largest portion of my portfolio, as they offer growth potential and liquidity. For the ultra-wealthy, however, the allocation often skews more towards alternatives (private equity, real estate, hedge funds), with equities still significant but less concentrated. 2. If I were to optimize my portfolio, I would not blindly copy the wealthy’s ratios. Their access to exclusive funds, lower liquidity needs, and higher risk tolerance shape those allocations. Instead, I’d adapt the principles—diversification across asset classes, exposure to alternatives—while balancing my personal cash flow, time horizon, and risk appetite. 3. I’m open to trying private equity or venture capital, but only with a small allocation. These asset classes can yield outsized returns,
1. Currently, equities take up the largest portion of my portfolio, as they offer growth potential and liquidity. For the ultra-wealthy, however, t...
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1.16K
Selection
ToNi
·
09-18

Why AtlasClear Holdings (ATCH) Could Be the Next Big Winner in Fintech

As of September 18, 2025, AtlasClear Holdings (ATCH) has emerged as a compelling opportunity for investors seeking high-growth potential in the fintech sector. Trading at just $1.62 with a market cap of $25.27 million, this micro-cap stock has shown remarkable resilience and upside potential, driven by strategic expansions, recent financing, and a promising business model. Here’s why ATCH could be poised for a breakout in the coming months. A Turnaround Story in the Making ATCH, a Florida-based fintech company, provides innovative trading, clearing, and settlement services through its proprietary platforms like AtlasFX, Rubicon, and SURFACExchange. Despite a challenging past with a year-to-date return of -83.13%, the stock has staged an impressive short-term rally, surging 329.29% in the p
Why AtlasClear Holdings (ATCH) Could Be the Next Big Winner in Fintech
TOPEnid Bertha: the earlier you get in the better off you are.. no turning back now...
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889
General
ToNi
·
09-18
Why Alibaba’s Future Looks Shaky: A Bearish Outlook It’s September 18, 2025, and while the buzz around Alibaba’s AI transformation is loud, I’m not convinced. With 144 posts on X and analyst upgrades from Goldman Sachs ($179 target) and Barclays ($190), the bullish case is clear. However, I see significant red flags, particularly the outsized influence of Chinese politics on its business. Here’s why I’m bearish on Alibaba and why caution is warranted. Political Risks Overshadow Growth China’s government has a tight grip on its tech giants, and Alibaba has felt the heat. The 2020 antitrust crackdown, which fined the company $2.8 billion, and the shelving of Ant Group’s IPO, are stark reminders of Beijing’s control. Even with recent regulatory easing, the political climate remains unpredicta
Why Alibaba’s Future Looks Shaky: A Bearish Outlook It’s September 18, 2025, and while the buzz around Alibaba’s AI transformation is loud, I’m not...
TOPchikki: Insightful perspective! Appreciated! [Great]
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