CommunityConnect with experts, uncover more opportunities
1.02K
General
PeterDiCarlo
·
02-11 10:20

Support Isn’t a Buy Signal: NFLX, MSFT, HIMS at Critical Levels

Several high-profile names — NFLX, MSFT, and HIMS — are now sitting at major long-term support zones where historical rebounds have been sharp and profitable. These are the exact levels that attract aggressive dip buyers: 1. $Netflix(NFLX)$ NFLX is sitting on the exact support where it has usually bounced hard in the past. This is the spot everyone wants to buy. I’m still not touching it. Until ONE specific signal flips on my system, I won’t go long. 2. $Microsoft(MSFT)$ Is now finally the time to buy $MSFT after a 20% drop? Price just hit a massive long‑term support zone that usually marks major bottoms… but my Monthly BX is still dark red, which is not a buy in my system. 3.
Support Isn’t a Buy Signal: NFLX, MSFT, HIMS at Critical Levels
Comment
Report
863
Selection
Daily_Discussion
·
02-11 10:21

🚀Reveal your secrets to building a fortune on the market!

Hi,Tigers: The market is experiencing severe fluctuations.🦅 🎯What are some good money-making strategies? Share your great ideas! Let’s break it down. These stories drove the markets. More NewsTiger Community TOP10 Tickers 🎯 S&P500 Most Active Today 👉@TigerObserver Weekly Five Key Areas: Macro, Singapore Stocks, Options, Futures, Earnings Covering five major market segments this week to help you stay ahead of market trends and plan your trades effectively! 📈 Wednesday — Options Market The S&P 500 and the Nasdaq rose solidly after a shaky start on Monday (Feb 9), as technology stocks found their footing following last week's AI-sparked selloff, wh
🚀Reveal your secrets to building a fortune on the market!
TOP這是甚麼東西: The market is currently in a "sell now, ask questions later" phase, targeting any sector where human intermediaries earn high fees for processing data or providing advice.
15
Report
244
General
jfsrevg
·
02-11 10:17

Solar Watch: ARRY Strengthens, AXTI Stretches

Momentum dispersion is widening across growth and solar-related names this week, with AXTI ($AXT Inc) pressing extended levels, while TAN components like ARRY ($Array Technologies) and RUN ($Sunrun) show constructive base structures and relative strength leadership. $AXT Inc(AXTI)$ is in a strong trend with VARS and has a history of pulling back from 10× ATR% from the 50-MA since recapturing it's 200-MA in January 2025. It's currently at at 5.5 x ATR% from 50-MA and has traded at beyond 1xATR for the last 3 bullish day, short term extended in all aspect imo. $Sunrun(RUN)$ – Another $Invesco Solar ETF(TAN)$ name with a clean, extended base with 7-month VARS alongsid
Solar Watch: ARRY Strengthens, AXTI Stretches
Comment
Report
725
General
jfsrevg
·
02-11 10:11

Patience or Denial? HIMS Drops as Red Flags Turn Real

$Hims & Hers Health Inc.(HIMS)$ – Multiple Technical and Fundamental Red Flags Ahead of Current Breakdown Price is down -28.65% MTD, but several warning signs had already emerged since early November. These included VARW warning, a major support break aligning with the first YoY EPS deceleration since 2022, weakening price follow-through, and a loss of the 200-MA for the first time since 2023. Don't let patience turns into denial in a losing position. "Hims & Hers shares fall after BofA cuts price target to $21 and flags heightened FDA-related risks to its GLP-1 business. The company is halting sales of its compounded Wegovy pill following an FDA probe and faces a $Novo-Nordisk A/S(NVO)$ federal pa
Patience or Denial? HIMS Drops as Red Flags Turn Real
Comment
Report
774
General
pretiming
·
02-11 08:58

TSLA at a Crossroads: Bearish Structure, Bullish Transition Signals Emerging

$Tesla Motors(TSLA)$ 1. Comprehensive Daily Analysis of TSLA’s Price Action and Market Drivers On February 10, 2026, TSLA closed at $425.2, rising +1.89%, reflecting a short-term rebound within an overall bearish trend zone. The price movement suggests temporary buying interest emerging after extended downside pressure rather than a confirmed structural reversal. Key drivers influencing daily price behavior include: Rebound momentum: Short-term upward movement appears consistent with a rebound trend within a bearish environment. Consolidation structure: Box-pattern fluctuations indicate temporary stabilization following prior declines. Market correlation: With a 77% alignment to the U.S. Stock Market Average Index, broader market direction remains
TSLA at a Crossroads: Bearish Structure, Bullish Transition Signals Emerging
Comment
Report
434
Selection
nerdbull1669
·
02-11 08:08

Pinterest (PINS) Fight For Shrinking Share Of Digital Ad Pie

$Pinterest, Inc.(PINS)$ is set to report its fiscal Q4 2025 earnings on Thursday, February 12, 2026, after the market closes. As of early February, the stock has faced significant pressure, trading near its 52-week lows (around $19-$20), making this a high-stakes report. Analysts have a "Moderate Buy" consensus, but recent price target cuts suggest a "show-me" story for investors. Q4 2025 Estimates & Key Metrics The market is looking for evidence that Pinterest’s AI-driven ad tech and "Pinterest Assistant" are actually translating into higher monetization. 1. The "Gen Z" Factor Pinterest has successfully pivoted to a younger demographic. Watch the Monthly Active User (MAU) growth specifically for Gen Z. If this segment slows, the long-term gro
Pinterest (PINS) Fight For Shrinking Share Of Digital Ad Pie
TOPJohnMitchell: Reckon they'll nail guidance with AI push, mate. Might bounce hard![看涨]
1
Report
670
Selection
nerdbull1669
·
02-11 06:31

Coinbase Global (COIN) Face "Gut Check" For Its Earnings Release

$Coinbase Global, Inc.(COIN)$ is scheduled to report its fiscal Q4 2025 earnings on Thursday, February 12, 2026, after the market close. Coming off a year of shifting market dynamics, this report is seen as a "gut check" for the stock, which has faced significant downward pressure over the last month. Investors are increasingly looking past volatile trading fees toward the company's "everything exchange" evolution. Earnings Estimates & Expectations Wall Street has become increasingly cautious leading into this print, with the consensus EPS estimate revised downward by roughly 6% in the last 30 days. Coinbase reported its fiscal Q3 2025 results on October 30, 2025. It was a standout quarter that showcased the company's aggressive "Everything Ex
Coinbase Global (COIN) Face "Gut Check" For Its Earnings Release
TOPHilaryWilde: Yeah, COIN may smash it with crypto adoption![吃瓜]
1
Report
2.43K
Selection
OptionsDelta
·
02-11 01:11

Squeeze the Shorts, Continue Range-Bound

Positive news from OpenAI, with monthly growth rate recovering by 10%, directly ignited a short squeeze on Monday, crushing the bears. However, subsequent market action will likely continue with sector rotation. $NVDA$ Both large bullish and bearish single-leg orders appeared (not a spread): $NVDA 20260220 175.0 PUT$ , 64,000 contracts opened. $NVDA 20260220 207.5 CALL$ , 78,000 contracts opened. Based on the overall opening activity, the price is highly likely to continue oscillating within the large 170-190 range from this week into next. Therefore, the 207.5 call is quite intriguing; currently, it seems difficult for the price to break above 200 even
Squeeze the Shorts, Continue Range-Bound
Comment
Report
2.97K
General
Trend_Radar
·
02-10 21:35

HON break above $241.72 to initiate a new bullish leg toward $245-$250

$Honeywell(HON)$ Honeywell (HON) Inches Up +0.61%: Testing All-Time High at $241.72, Momentum Builds Latest Close Data Closed at $239.84 on Feb 10, up +0.61% ($1.46). The stock is trading just $1.88 (0.78%) below its 52-week high of $241.72. Core Market Drivers The stock continues to ride strong momentum, driven by robust earnings performance (EPS TTM: $8.04) and a solid ROE of 28.20%. Recent executive appointments in key divisions like Building Automation and Aerospace signal a focus on operational excellence and future growth. Technical Analysis Volume was subdued at 3.01M shares (Volume Ratio: 0.63), indicating consolidation. The MACD remains in a bullish trend with DIF at 8.69 and DEA at 7.45, showing positive momentum. However, the RSI(6) at 8
HON break above $241.72 to initiate a new bullish leg toward $245-$250
Comment
Report
3.68K
General
Trend_Radar
·
02-10 21:37

Can BA break above $248 to test the 52-week high at $254?

$Boeing(BA)$ The Boeing Company (BA) Edges Up +0.69%: Consolidation Mode Below $254 High Latest Close Data: Closed at $244.71 (US) on 2026-02-10, up +0.69%. The stock is now 3.8% below its 52-week high of $254.35. Core Market Drivers: 1) Ongoing investor focus on Boeing's long-term commercial aircraft delivery recovery and defense contract execution amid global supply chain normalization. 2) The market is digesting recent quarterly results showing persistent operational challenges, reflected in negative earnings. Technical Analysis: Volume was 4.71M shares (Volume Ratio 0.67), indicating below-average participation. The MACD histogram is negative at -2.82, but the DIF (3.80) is rising above the DEA (5.21), suggesting bearish momentum may be weakenin
Can BA break above $248 to test the 52-week high at $254?
1
Report
2.51K
General
Trend_Radar
·
02-10 21:28

CSCO hold primary support at $78.05 amid potential short-term pullback

$Cisco(CSCO)$ Cisco Systems(CSCO) Tested $87.25 High: Momentum Builds After Strong Earnings Latest Close Data Closed at $86.78 (ET), up +2.31% ($1.96), just 0.54% below its 52-week high of $87.25. Core Market Drivers The stock is riding post-earnings momentum. Strong demand for its networking hardware and security solutions, coupled with a solid dividend yield of 1.88%, continues to attract investors. Positive sentiment in the broader tech sector is providing a tailwind. Technical Analysis Volume was 22.9M shares (Volume Ratio 0.76), slightly below average, indicating consolidation after the recent run-up. MACD (DIF: 2.21, DEA: 1.17, MACD: 2.07) shows a strong bullish expansion. RSI(6) at 83.56 is in overbought territory, signaling potential for a
CSCO hold primary support at $78.05 amid potential short-term pullback
Comment
Report
2.67K
General
Trend_Radar
·
02-10 21:16

HKD soars 6.21% to $1.54 testing near-term resistance at $1.57

$AMTD Digital Inc.(HKD)$ AMTD Digital Inc.(HKD) Soared +6.21%: Defying Low Turnover, Tests $1.57 Resistance Latest Close Data Closed at $1.54 (+6.21%) on Feb 10, 2026, now 71.8% below its 52-week high of $5.47. Core Market Drivers Positive net capital inflow of $36.6k for the day suggests renewed buying interest. Low daily turnover (0.15%) indicates limited liquidity but also potential for high volatility on any significant news. Technical Analysis Volume was 460.1k shares (VR 0.94), near average. RSI(6) at 70.5 nears overbought territory, signaling potential for a short-term pullback. MACD (DIF: 0.0104, DEA: -0.0066) shows a bullish crossover, indicating building upward momentum. Key Price Levels * Immediate Pivot: $1.54 (Today's close & previ
HKD soars 6.21% to $1.54 testing near-term resistance at $1.57
Comment
Report
1.46K
General
Trend_Radar
·
02-10 21:09

Can SIMO break above its 52-week high at $137.94 to reach $145?

$Silicon Motion Technology(SIMO)$ Silicon Motion Technology Corp. (SIMO) Jumps +7.41%: NAND Controller Leader Nears 52-Week High, $145 Target in Sight Latest Close Data Closed at $137.55 on Feb 10, up +7.41% ($9.49). Price is just $0.39 shy of its 52-week high of $137.94. Core Market Drivers Strong momentum driven by optimism in the NAND flash memory market recovery and sustained demand for storage controllers in AI/data center applications. The stock continues to attract significant institutional interest. Technical Analysis Volume of 1.07M shares (Volume Ratio 0.99) confirms solid participation. MACD (6.36/6.07) shows a bullish expansion with the histogram turning positive. RSI-6 at 87.3 signals overbought conditions, suggesting near-term consol
Can SIMO break above its 52-week high at $137.94 to reach $145?
Comment
Report
721
General
Trend_Radar
·
02-10 21:02

APH rallied 5.85% to $144.20, rebounding from support near $138.86

$Amphenol(APH)$ Amphenol Corp. (APH) Rallies +5.85%: Strong Bounce from Support, Eyes $163.89 Target Latest Close Data Closed at $144.20 (+5.85%) on 2026-02-10, now ~13.7% below its 52-week high of $167.04. Core Market Drivers The stock's strong rebound follows a recent consolidation near its support level. A significant net capital outflow of ~$58 million over the past five days, paired with heavy small-lot selling, suggests retail profit-taking amidst institutional accumulation. Technical Analysis Volume of 9.32M shares was below average (VR=0.64), indicating a lack of panic selling during the drop. The RSI(6) at 53.15 has climbed out of oversold territory, signaling a momentum shift. The MACD remains negative at -4.10, suggesting the broader dow
APH rallied 5.85% to $144.20, rebounding from support near $138.86
Comment
Report
862
General
Trend_Radar
·
02-10 19:08

Can MGM Clear $38.10 After Rising 1.52% to $38.06?

$MGM Resorts International(MGM)$ MGM Resorts International (MGM) Edges +1.52%: Testing Resistance Near $38, Bullish Momentum Building Latest Close Data Closed at $38.06 on 2026-02-10 ET, up +1.52%. Current price is ~7.9% below its 52-week high of $41.32. Core Market Drivers The stock is consolidating near recent highs as the broader consumer discretionary sector shows resilience. MGM's core Las Vegas and regional casino operations continue to benefit from steady travel demand, while its digital and international segments provide long-term growth optionality. Technical Analysis Daily trading volume of 4.23M shares was slightly below average (Volume Ratio: 0.54). The MACD (DIF: 0.373, DEA: -0.140, MACD: 1.026) shows a strong bullish crossover and exp
Can MGM Clear $38.10 After Rising 1.52% to $38.06?
Comment
Report
587
General
Trend_Radar
·
02-10 20:54

VTRS surged 6.72% to $15.56, briefly touching its 52-week high of $15.60

$Viatris Inc.(VTRS)$ Viatris Inc. (VTRS) Soared +6.72%: Pharma Giant Hits 52-Week High at $15.60 Latest Close Data Closed at $15.56 (ET 2026-02-10), up +6.72% ($0.98). The stock touched its 52-week high of $15.60 during the session. Core Market Drivers The strong rally appears to be driven by broad market rotation into value and defensive sectors. The company's attractive ~3.08% dividend yield may have attracted income-focused investors amid a volatile macro backdrop. Recent capital flow data shows significant institutional buying interest. Technical Analysis Volume surged to 19.84M shares, nearly double the 20-day average (Volume Ratio: 1.98), confirming the breakout. MACD (0.34) is accelerating upward, with DIF (0.64) > DEA (0.47), signaling
VTRS surged 6.72% to $15.56, briefly touching its 52-week high of $15.60
Comment
Report
633
General
Trend_Radar
·
02-10 20:46

Can Q break above its 52-week high at $107.84 after a 7.11% rally?

$Qnity Electronics Inc(Q)$ Qnity Electronics Inc (Q) Soars +7.11%: Testing 52-Week High at $106.29, Bullish Momentum Intact Latest Close Data Closed at $105.20 on 2026-02-10, up +7.11% (+$6.98). Now just $2.64 (-2.4%) below its 52-week high of $107.84. Core Market Drivers The stock surged on high volume, potentially driven by positive sector rotation or anticipation of upcoming earnings. Strong institutional ownership (Vanguard, BlackRock) provides underlying support. The absence of specific negative news allowed technical momentum to dominate the session. Technical Analysis Volume of 2.78M shares shows active participation (Volume Ratio 1.37). The 6-day RSI at 67.1 is approaching overbought territory but confirms strong short-term momentum. MACD his
Can Q break above its 52-week high at $107.84 after a 7.11% rally?
Comment
Report
520
General
OptionsBB
·
02-10 20:45

2/10 Hot Tech Stock Options: Tech Giants Ramp Up AI Arms Race

$TSLA$ Key News: Cybercab autonomous electric vehicle enters mass production at the Texas factory, aiming to increase utilization to 50-60 hours per week. Energy segment emerges as a new growth driver; Shanghai energy storage factory operational; $200 billion budgeted for AI and Energy sectors in 2026. FSD advances localized training in China, though constrained by regulations, using existing data for tuning. Options Analysis: Current Implied Volatility (IV) is relatively high, indicating market expectation for significant price movement. Overall sentiment leans bullish. This Week (2/13): Expected to swing widely within $400 - $430. Next Week (2/20): The range may widen to $395 - $440. Key Support: $400 - $405. This interval has highly concentrated put option (PUT) open interest, forming a
2/10 Hot Tech Stock Options: Tech Giants Ramp Up AI Arms Race
1
Report
628
General
Trend_Radar
·
02-10 20:24

Will GLW Push Higher or Consolidate After Testing $132 on Heavy Volume?

$Corning(GLW)$ Corning (GLW) Soars +7.56%: Tests 52-Week High at $132, Momentum at Peak Latest Close Data Closed at $131.39 on 2026-02-10, up +7.56% (+$9.23). The stock is trading near its 52-week high of $132.32. Core Market Drivers Strong buying momentum continues, likely fueled by optimism around its core businesses in specialty glass, optics, and advanced materials for tech and automotive sectors. The significant daily volume of 15.7M shares (Volume Ratio: 1.35) confirms heightened institutional interest. Technical Analysis Volume is robust, supporting the bullish move. MACD (DIF: 8.28, DEA: 5.55, MACD: 5.46) shows a strong bullish expansion, with the DIF accelerating above the signal line. The 6-day RSI at 87.64 is deeply in overbought territo
Will GLW Push Higher or Consolidate After Testing $132 on Heavy Volume?
Comment
Report
 
 
 
 

Most Discussed

 
 
 
 
 

7x24