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SmartReversals
·
02-09

Weekly Tech Watch: NDX, AVGO & AAPL at Critical Levels

Tech heavyweights enter the week at pivotal technical junctions. As volatility persists, three key names—$NDX, $AVGO, $AAPL—demand close attention for signals of either continuation or reversal. Here’s how their setups are shaping up. 1. $NASDAQ 100(NDX)$ The decline toward the lower Bollinger Band played out as anticipated. For the move to stay sustainable, the Nasdaq 100 must recover and hold $25,123.7. It sounds simple, but with the $VIX at 18.0, volatility remains high, caution is still the priority. 2. $Broadcom(AVGO)$ Most long-wick hammer candles have preceded bounces, just as we saw on Thursday, which led into Friday’s rally. The second hammer has presented more traction, if that's the case again,
Weekly Tech Watch: NDX, AVGO & AAPL at Critical Levels
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OptionsAura
·
02-09

Walmart's stock price rose strongly, showing signs of overbought in the short term

In the past two weeks,$Walmart (WMT) $The stock price continued its strong upward trend, and continued to attract capital inflows against the background of the overall stability of the consumer defense sector. The disk structure shows that most trading days closed in the positive range, and the price kept refreshing the stage high, reflecting the market's recognition of its fundamental stability and profit expectations. Although the trading volume did not explode, it remained at a healthy level overall, indicating that the rising process was mainly driven by continuous buying rather than short-term sentiment. From a technical point of view, the price slope after continuous rises has obviously accelerated, the short-cycle momentum indicator has entered
Walmart's stock price rose strongly, showing signs of overbought in the short term
TOPsingsongone 1n: $NASDAQ Composite(.IXIC)$This stock is good
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AfraSimon
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02-09

From Hype to Hazard: $HIMS's Reckless Growth Leads to Implosion

I don't think there has ever been a bigger RED flag than $Hims & Hers Health Inc.(HIMS)$ CEO Dudum retweeting a known charlatan stock pumper course seller. This action alone should warrant his termination, but he did it a day before selling shares. Yet, HIMS investors completely ignored this obvious red flag because they were watching through rose-colored glasses. However, this was not the only red flag the company did: - Giving out an aggressive 2030 guidance was a red flag. Hims is not a mature company to know its sales 5 years in advance. Any CEO of a fast-growing company who can tell their sales 5 years from now, is either 1 lying 2 delusional 3 or trying to pump the stock. - Expanding internationally, when the US TAM is 100x, the global
From Hype to Hazard: $HIMS's Reckless Growth Leads to Implosion
TOP披着牛皮的雷熊: It's so hateful that this kind of CEO releases a dangerous product without good research and it is removed from the shelves within a few days, what is it doing
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wx1985
·
02-09
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AfraSimon
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02-09

Betting on $SOFI: Why This Could Be a Historic Entry Point

New position in $SoFi Technologies Inc.(SOFI)$ . Larger allocation than usual...here's why. $S&P 500(.SPX)$ inclusion candidate. Rebalancing happens quarterly with next one being March 20th, '26. Near term catalyst. Inclusion could pop the stock 5%-10%. Anticipation alone can be a strong tailwind. Just launched crypto trading, but unlike $Robinhood(HOOD)$ $Coinbase Global, Inc.(COIN)$ $SoFi Technologies Inc.(SOFI)$ monetizes relationships...not trading volume + market activity. Revenue is tied to member LTV. Lower rates are mega bullish for SOFI too...student loan refi's, mo
Betting on $SOFI: Why This Could Be a Historic Entry Point
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787
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Aaronykc
·
02-09
$Tesla Motors(TSLA)$  dropped to the 200 sma and bounced hard just as I predicted in last week's post. Now the question is, is this just a dead cat bounce and lower we go? The nasdaq 100 made a lower low on the daily chart. I'm watching for the lower high, could be any of the moving averages overhead or it could clear all of them letting everyone think higher we go and form a bull trap. 2026 is tougher to navigate with all this sideways chop, but if you're a long term investor like me it doesn't matter just buy great companies at low valuations and hold them through the ups and downs. Whatever happens in the short term is anyone's guess, in 5 to 10 years my portfolio will be a lot more valuable than it is now that's all I know! Huat ah! [Mise
$Tesla Motors(TSLA)$ dropped to the 200 sma and bounced hard just as I predicted in last week's post. Now the question is, is this just a dead cat ...
TOPMarsBloom: Might be a dead cat bounce, lah. TSLA's solid-just hold tight![看涨]
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DaraC
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02-09
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258
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jfsrevg
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02-09

$ARRY: A Relative Strength Leader in $TAN

$Array Technologies Inc.(ARRY)$ - Relative Strength Leader Forming a 19-Month Rounding Base with Nett Institutional Inflows A few $Invesco Solar ETF(TAN)$ solar names are on my focus and stalk list published exclusively today, but ARRY stands out. It has the longest multi-month base, shows net institutional inflows over the past three months, and meets CANSLIM parameters, with price bottoming with last 3 consecutive quarters of YoY EPS and Sales Growth, exceeding estimates. Price is now just 2% below its 52-week high at less than 3.6 x ATR% from 50-MA, with a solid three-week cushion ahead of the next earnings report on Feb 25 after hours. This could be a classic 'Institutions move first, price follows' st
$ARRY: A Relative Strength Leader in $TAN
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587
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BTS
·
02-09
$Wal-Mart(WMT)$  $Microsoft(MSFT)$  $Palantir Technologies Inc.(PLTR)$   The recent market action marks a historic apex, where the real economy begins harvesting AI gains once reserved for tech creators With Walmart (WMT) becoming the first traditional retailer to hit a $1 trillion market cap while software stocks crash, the market stands at a crossroad, signaling a pivot where operational AI integration is now valued as highly as software innovation。。。 Investors now bet that real-world AI users offer more upside than software sellers, fearing that AI-automated coding will erode traditional SaaS pricing power and competitive moats Whi

Software Selloff vs. Walmart $1T: Start of the “Software Death Loop”?

@Tiger_comments
Software Stocks Crash as Walmart Hits $1 Trillion! Is this the biggest market shift of 2025? The market is showing a brutal split right now: Software stocks are getting crushed. While $Wal-Mart(WMT)$ just crossed a $1 trillion market cap, up ~14% YTD — outperforming Apple, Microsoft, and Amazon 1) What happened: software names got hit hard One of the biggest triggers behind this selloff is the market repricing how fast AI could disrupt parts of the software stack. After new developments around Anthropic’s Claude (and the broader narrative that AI tools can increasingly replace knowledge-work workflows), investors started questioning: How much of “software value” is truly defensible anymore? Damage report (single day): ~$285B market cap wiped out So
Software Selloff vs. Walmart $1T: Start of the “Software Death Loop”?
$Wal-Mart(WMT)$ $Microsoft(MSFT)$ $Palantir Technologies Inc.(PLTR)$ The recent market action marks a historic apex, where the real economy begins ...
TOPAugustineMac-: Spot on! MSFT and PLTR are essential buys for the AI shift.[强]
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這是甚麼東西
·
02-07
The recent earnings reports from Google, Amazon, and Microsoft have highlighted a common theme: strong growth, but also sharply higher capital expenditures (CapEx). This has led to a mixed reaction from investors, with some stocks recovering from initial declines, while others have continued to fall. Google's earnings report showed strong growth, but the company's CapEx guidance was higher than expected, leading to an initial 7% drop in the stock price. However, the stock managed to recover and closed only 0.6% lower. Amazon, on the other hand, reported strong growth, but its CapEx guidance was even higher, leading to a 10% decline in the stock price. Microsoft's earnings report last week also showed a major surge in CapEx, and the stock has fallen about 15% over the past two weeks. This s
The recent earnings reports from Google, Amazon, and Microsoft have highlighted a common theme: strong growth, but also sharply higher capital expe...
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這是甚麼東西
·
02-07
The stage is set for DBS's highly anticipated earnings release on February 9. With the stock trading at $59.66, just shy of the $60 mark, investors are eagerly awaiting the results to determine if this psychological barrier will be breached. Let's delve into the two possible scenarios: Scenario A: Breakout to $60+ A strongearnings report,particularly in the wealth management segment, could be the catalyst for a breakout above $60. If DBS reports impressive growth in this area, it may exceed market expectations, leading to a sustained rally. This would indicate that the bank's strategic efforts are yielding positive results, and investors are confident in its continued growth prospects. Scenario B: Buy the Rumor, Sell the Fact Conversely, if the market has already factored in the expec
The stage is set for DBS's highly anticipated earnings release on February 9. With the stock trading at $59.66, just shy of the $60 mark, investors...
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527
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gintnil
·
02-09

Daily Crypto Market Summary 9 Feb 2026

Bitcoin (BTC) Bitcoin Recovers Above $72,000 as Institutional Bulls Defend Long-Term Thesis Bitcoin (BTC) has managed a modest recovery, climbing back above the $72,000 mark ($72,222) after a brutal week of selling that saw prices dip below $60,000. Despite the short-term volatility, institutional conviction remains unshaken. Strategy (formerly MicroStrategy) founder Michael Saylor hinted at further accumulation with his "Orange Dots Matter" post, suggesting the firm is buying the dip even as its holdings sit below cost basis with a $3.4 billion unrealized loss. Similarly, Bitwise CEO Hunter Horsley called the sub-$70k levels a "once-in-a-lifetime" entry point, reinforcing the narrative that smart money is absorbing the panic selling. However, the market is navigating significant headwinds
Daily Crypto Market Summary 9 Feb 2026
TOPzippyloo: Solid bounce! Bulls ain't budging.[看涨]
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1M40
·
02-06
$Microsoft(MSFT)$ Finally PE drop to 24. Couldn't resist it. Start building position. Everyday I'm using Windows, sharepoint, teams, Hotmail. Don't mention Microsoft own 30% of OpenAI/Chatgpt. 
MSFT
02-06 03:29
USMicrosoft
SidePrice | FilledRealized P&L
Buy
Open
398.00
5
+0.55%
Holding
Microsoft
$Microsoft(MSFT)$ Finally PE drop to 24. Couldn't resist it. Start building position. Everyday I'm using Windows, sharepoint, teams, Hotmail. Don't...
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1.12K
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Aaronykc
·
02-06
$Microsoft(MSFT)$ Everyone dumping this wide moat company like it's a shitcoin lol that's great sell me more i wish I had more money I would love to buy as much as I can 
MSFT
02-06 03:51
USMicrosoft
SidePrice | FilledRealized P&L
Buy
Open
397.00
4
+0.80%
Holding
Microsoft
$Microsoft(MSFT)$ Everyone dumping this wide moat company like it's a shitcoin lol that's great sell me more i wish I had more money I would love t...
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1.98K
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BillionaireN
·
02-06
$Palantir Technologies Inc.(PLTR)$ $Palantir Technologies Inc.(PLTR)$ got early assignment  proud owner of palantir... a ...gain
PLTR
02-06 13:41
USPalantir Technologies Inc.
SidePrice | FilledRealized P&L
Buy
Open
155.00
400
-15.01%
Holding
Palantir Technologies Inc.
$Palantir Technologies Inc.(PLTR)$ $Palantir Technologies Inc.(PLTR)$ got early assignment proud owner of palantir... a ...gain
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Terra_Incognita
·
02-06
$Sterling Construction(STRL)$ STRL: taking about 11% profit on the stock while also took the opportunity to recycle capital for other trades. 200 shares at $390 took noticeable chunk off my trading margin and is among some of the slower moving trades.  Will try to load back up if stock turns lower, else happy to get the money back into my pocket on an otherwise pretty round week.
STRL
02-06 23:40
USSterling Construction
SidePrice | FilledRealized P&L
Sell
Close
390.00
200
+11.43%
Closed
Sterling Construction
$Sterling Construction(STRL)$ STRL: taking about 11% profit on the stock while also took the opportunity to recycle capital for other trades. 200 s...
TOPMichaelPerez: Well played taking that profit! Smart capital recycle.[得意]
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Terra_Incognita
·
02-07
$MSFT 20260220 395.0 PUT$ MSFT: selling this put at the money Strike of $395 and also near gap fill formed on 30th April 2025.  Will be looking for this as support as rebound.  If market worsen the man will decide to either take assignment or roll out to buy more time.  Getting MSFT at $395 is an acceptable risk for me.
MSFT PUT
02-07 00:13
US20260220 395.0
SidePrice | FilledRealized P&L
Sell
Open
8.55
1Lot(s)
+54.98%
Holding
Microsoft
$MSFT 20260220 395.0 PUT$ MSFT: selling this put at the money Strike of $395 and also near gap fill formed on 30th April 2025. Will be looking for ...
TOPzuzu99: Solid strategy! Selling put at support shows confidence. Accepting assignment is bold.[强]
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Shyon
·
02-08
$Kulicke & Soffa(KLIC)$ After KLIC's sharp surge this week following its impressive earnings, I decided to lock in 70% of the profits from my position. The earnings beat clearly validated the company's operational strength, with solid revenue momentum and better-than-expected margins driving renewed market confidence. In situations like this, price often reacts faster than fundamentals can fully justify in the short term, creating an opportunity to manage risk proactively. The main reason for trimming the position is disciplined capital management. A strong post-earnings rally typically pulls forward future gains, and sentiment can quickly swing once the initial excitement fades. By securing a significant portion of profits, I reduce down
KLIC
02-07 02:02
USKulicke & Soffa
SidePriceRealized P&L
Sell
Close
70.00+21.61%
Closed
Kulicke & Soffa
$Kulicke & Soffa(KLIC)$ After KLIC's sharp surge this week following its impressive earnings, I decided to lock in 70% of the profits from my posit...
TOPzippixo: Solid profit-taking strategy! Keep that discipline[强]
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