Hello everyone! Today i want to share some trading ideas with you! 1 Support Line & Gap below:$S&P 500(.SPX)$ (1) the Blue Trendline serves as a support--also the lower edge of the last gap up zone. (2) 7147 touched a few important FIB ratios and is likely the local top for w-3. (3) 6950 zone will be a target for a sideway complex w-4, before w-5 to XI/TRUMP. 2 Wall of Shame: (1) My trading style and my bearish-leaning positions have drawn a larger share of "Low IQ" bull-tards; (2) as most followers know, I entered "Radio Silent" mode once my model flashed Red Alert/I loaded up my positions. (3) my average entry is 6810--YUGE profits. 😍 Been eyeing Tiger merch but short on Tiger Coins? Now's your chance. 🎁 We’ve selected 4
$AVGO, $MRVL: Same AI Theme, Different Slices of the Pie!
Hey everyone! Let’s dive into the latest AI chip drama between two heavyweights—Broadcom and Marvell. Both are riding the AI wave, but recent market moves have shifted the spotlight a bit. Let’s break it down in a fun, easy way! 🚀 🗞️ News Recap: Who’s Stealing the AI Spotlight? Friday was all about $Broadcom(AVGO)$ —investors went wild for their expanded Meta AI partnership and already-established role in Google’s custom AI silicon roadmap! The takeaway? If hyperscalers keep spending, Broadcom stays in the winner’s circle. 🏆 But Monday brought a twist: $Alphabet(GOOG)$ is in talks with $Marvell Technology(MRVL)$ to develop two new AI chips—a memory processing uni
The quest to be #1 always has a certain ring to it. After all being in pole position is a privilege, not a given. This honour applies to a myriad of things and naturally the smartphone - the world’s 21st century invention is no exceptions. Similarly, Journalists always strive to be first with the story. However, it pays to be last sometimes; especially when there are conflicting sources of information. Statistically. According to Counterpoint’s recent reading of global smartphone shipments, $Apple(AAPL)$ is now tops in smartphone shipments with +5% YoY growth and 21% market share in Q1 2026. Separately, according to IDC’s recent data though, $Samsung Electronics Co., Ltd.(SSNLF)$ is tops with +3.6% YoY g
🌡️Apple changes leadership; what are your thoughts on Apple's future?
No slow days in the market. ⚡ Some are playing defense, others going all in. 👀 Where do you stand today? Show us your game plan. Let’s break it down:These stories drove the markets. More News Tiger 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! ✨Tuesday — Singapore Stocks Singapore stocks opened lower on Tuesday. STI down 0.1%; Nio up 3%; UOL up 2%; SIA up 1%. Keppel Reit: The real estate investment trust (Re
Between now and then, we’ll get a few more earnings reports, but early in earnings season, the news seems positive if a little muted. The market is back in positive territory, and the worst potential outcomes of everything from tariffs to Iran have rolled off investors’ backs. The good news for us is that April has once again been a turnaround for the market. More on that in a moment. Weekly Update April has been a rocket ship for the stock market for somewhat questionable reasons. The market was down because of the Iran conflict/war, and as that has moved toward a tentative ceasefire, the “risk on” trade took hold. It wasn’t earnings or great economic data that caused the pop, simply undoing damage that didn’t need to be done in the first place. Call me skeptical that this pop will hold.
FlowState Alpha | Long Certainty in an Information-Distorted, Geopolitical Grinder
Issued: April 20, 2026 Period Covered: April 13, 2026 → April 20, 2026 I. Information Breakdown & Pricing Failure: The Geopolitical Meat Grinder Over the past week, markets did not experience a fundamental shock—yet price behavior became structurally distorted. This is not volatility; it is a temporary breakdown in the pricing mechanism. Two variables dominate: 1. Policy Whiplash Ceasefire announcements were rapidly denied. The Strait of Hormuz flipped repeatedly between “open” and “restricted.” Military threats escalated in high frequency. Conclusion:All linear models built on stable expectations have failed. 2. Information Asymmetry Confirmed Regulatory investigations revealed: $950M of short positioning ahead of ceasefire headlines $760M positioned ahead of shipping-related announce
Momentum vs Rejection: PLUG, HIMS Rally; NFLX, META Face Resistance; TSLA at Inflection
The market is showing a clear split between momentum leaders and names running into key resistance. Stocks like PLUG and HIMS have delivered strong upside from Smart Money Zones, while others such as NFLX and META continue to struggle at major rejection levels. Meanwhile, TSLA sits at a critical inflection point, and late-cycle names like AEHR are increasingly extended. This is a tape where selectivity matters—chasing strength blindly carries risk, while waiting for confirmation remains key. 1. $Plug Power(PLUG)$ $PLUG is up 83% since we highlighted it here on February 16. Price respected the Smart Money Zone with Monthly BX in a bull cycle. Weekly BX then flipped bullish, making this an A+ setup in our system. Next target $3.60 -> $4 🎯 2.
$S&P 500(.SPX)$ Overbought McClellan Oscillator +70 following a market bounce signals a short-term consolidation before the bullish continuation resumes. When the overbought condition is reached in a mature uptrend, it can precede a major pullback. The current case is a market bounce $Invesco QQQ(QQQ)$ The RSI has crossed 70 for the first time in 6 months. This initial move typically does not mark the top, it usually precedes consolidations before reaching higher highs. A +7.9% spike in the $Cboe Volatility Index(VIX)$ and indecisive price action reinforce the thesis for a gap fill at 7,051. $ServiceNow(NOW)$ Consolidat
Option To Bet On IONQ Continue Lead Contender in Race For Quantum Supremacy
$IONQ Inc.(IONQ)$ shares surged over 20% in mid-April 2026, driven by a combination of high-profile government contracts, technical breakthroughs, and a broad rally in the quantum sector spurred by Nvidia. This surge, following a tough start to 2026 for quantum stocks, has sparked debate over whether the sector is seeing a fundamental repricing toward commercial maturity rather than just speculative hype. Drivers of the Surge (April 2026) DARPA Contract Win: IonQ was selected for the Defense Advanced Research Projects Agency (DARPA) Heterogeneous Architectures for Quantum (HARQ) program, aiming to connect different quantum machines. Nvidia Catalyst: Nvidia launched open-source quantum AI models (including "Ising") on World Quantum
Option Play For Tesla If Believe "AI Pivot" Narrative Will Outweigh "Soft EV Delivery" Reality,
$Tesla Motors(TSLA)$’s breach of the $400 mark and subsequent pre-market pullback on April 20 reflects a classic tug-of-war between technical momentum and fundamental anxiety. As you look toward the April 22 earnings report, here is an analysis of the "turnaround" narrative and the potential for a May options play. Can Earnings Confirm a Turnaround? The April 22 report is being viewed less as an "auto" earnings call and more as an "AI infrastructure" update. Whether it confirms a turnaround depends on which "Tesla" the market decides to price: The Bear Case (Volatility Catalyst): Fundamentals are still under pressure. Q1 deliveries (358,023) came in below expectations, and some analysts (like those at Refinitiv) are warning of a significant earnin
$Alphabet(GOOGL)$$Amazon.com(AMZN)$ $Microsoft(MSFT)$ 📊📉📊 AI Earnings Reacceleration Meets Valuation Compression: Scepticism Still Dominates the Narrative 📊📉📊 📊 The Bloomberg chart reinforces what the market is quietly signalling. Forward multiples across Alphabet Inc. ($GOOGL), Amazon ($AMZN), Microsoft ($MSFT) and Meta Platforms ($META) have been structurally compressing since mid-2023 despite one of the strongest earnings upgrade cycles in recent history. I’m looking at this through a purely fundamental lens. If this were a speculative AI bubble, price would be outrunning earnings. Instead, earnings are outrunning price. 📊 Current Valua
Eli Lilly (LLY) to Acquire Kelonia for Up to $2 Billion: Deal Breakdown + 2026 Stock Outlook
I. Transaction Core Details (As of April 20, 2026) Latest Update: Definitive agreement officially announced (total deal value up to $7 billion, including upfront cash plus R&D milestone payments). Structure: Cash upfront combined with milestone payments, consistent with Lilly’s long-standing M&A strategy to mitigate early-stage development risks. Expected Close: Scheduled for the second half of 2026, subject to standard regulatory approvals. II. Strategic Impact Analysis 1. Business: Filling the Oncology Pipeline, Reducing Concentration Risk Core Asset: Kelonia’s proprietary in vivo CAR-T platform (iGPS) — an engineered lentiviral particle system that modifies T-cells directly in the body, eliminating the need for apheresis, ex vivo manufacturing or lymphodepletion, thus streamlini
[Stock Prediction] How will TSLA close on Thur, April 23, following their earnings?
$Tesla Motors(TSLA)$ is set to report Q1 2026 earnings after the close on April 22 (ET). According to estimates on the Tiger Trade app, Tesla is expected to post $22.74 billion in revenue, up 7.71% year over year, with EPS of $0.382, down 2.39% from a year ago. What to watch Tesla delivered 358,023 vehicles in Q1 while producing 408,386, meaning production once again ran ahead of deliveries. That has put inventory back in focus. Investors will be watching closely to see whether Tesla has to lean further on discounts and incentives to move cars, and whether auto gross margins take another hit. For Tesla, the biggest issue is not just softer deliveries. It is the risk that weaker demand and continued pricing pressure could squeeze profitability even
$Somnigroup International Inc(SGI)$ $SGI Soars +7.34%: Strong Breakout on High Volume, Eyes $90+ Zone 🚀 📈 Latest Close Data Close: $85.01 (as of 2026-04-20) Change: +$5.81 (+7.34%) 52-Week High: $98.56 (Currently ~13.7% below) 💡 Core Market Drivers The stock surged with a significant 7.20% intraday amplitude, indicating strong directional momentum. Robust capital inflows were observed, with total daily inflow exceeding outflow by ~$3 million. The company maintains a solid ROE of 20.91%, demonstrating efficient shareholder value creation. Major institutional holders (FMR, BlackRock, Vanguard) show stable, long-term confidence. 🔍 Technical Analysis Volume: High volume of 3.89M shares (Volume Ratio: 1.08) confirms the breakout's strength. MACD: DIF (0
$Goodyear(GT)$ $Goodyear Tire & Rubber Co.(GT) Jumps +7.13%: Volume Spike Signals Potential Reversal, Eyes on $7.30 Resistance 📈 Latest Close Data Closed at $7.06 on 2026-04-20, up +7.13% (+$0.47). The stock is 41.3% below its 52-week high of $12.03. 🔍 Core Market Drivers The sharp rebound coincides with a significant volume spike (1.37x ratio, 3.85% turnover), indicating strong buying interest after recent weakness. Despite a challenging macro environment for industrials, the low valuation (P/S of 0.11) may be attracting value-focused investors seeking a turnaround play. 📊 Technical Analysis The surge was backed by heavy volume (11M shares), a bullish signal. The 6-day RSI (61.93) has jumped from oversold levels, indicating strong momentum. How
$PBI Climbs Toward 52-Week High After Breakout Move
$Pitney Bowes(PBI)$ $Pitney Bowes Inc. (PBI) Jumps +5.51%: Breaks Resistance, Eyes $13.11 High 🚀 Latest Close Data 📈 Closed at $12.84 on 2026-04-20 (ET), up +5.51% (+$0.67). Now just $0.27 (2.1%) below its 52-week high of $13.11. Core Market Drivers 🗞️ Strong daily volume of 4.91M shares (Volume Ratio: 2.75) signals significant institutional interest and momentum. Recent capital flow data shows consistent net outflows over the past week, indicating some profit-taking, but today's strong price action suggests new buying pressure is overwhelming it. Technical Analysis 📊 RSI (6): 95.56 - Severely overbought, suggesting a near-term pullback is likely. MACD: DIF (0.428) > DEA (0.270), with MACD histogram positive at 0.317. The bullish crossover and e
$Avino Silver & Gold Mines(ASM)$ $Avino Silver & Gold Mines(ASM) Jumps +7.64%: Silver Miner Breaks Key Resistance, Eyes $8+ Zone 🚀 📊 Latest Close Data Closed at $7.75 on Apr 20, surging +7.64% ($0.55). The stock is now ~35.4% below its 52-week high of $11.99. 💡 Core Market Drivers Strong momentum in precious metals, particularly silver, provided a positive macro backdrop. High trading volume and net capital inflow suggest renewed institutional interest. Recent price action successfully breached a prior resistance level, indicating bullish technical momentum. 🔬 Technical Analysis Volume: Explosive volume of 6.43M shares (Volume Ratio: 1.70) confirms strong buying conviction behind the breakout. MACD: The latest DIF at 0.002 has crossed above
$AAL Breakout Attempt: Can Bulls Clear $13.41 Ceiling?
$American Airlines(AAL)$ $American Airlines Group Inc.(AAL) Surged +4.16%: Travel Rebound Fuels Rally, Eyes on $13.41 High 📈 Latest Close Data Closed at $12.78 (USD) on 2026-04-20, up +4.16%. Now just -19% from its 52-week high of $16.50. 💡 Core Market Drivers Macro Tailwinds: Strong consumer spending and resilient travel demand continue to support airline stocks. No major company-specific news drove today's move, indicating a broad sector lift. Technical Breakout: The stock successfully held above its recent pivot, attracting momentum buyers. ⚙️ Technical Analysis Volume & Momentum: Trading volume of 80.99M shares, with a Volume Ratio of 1.42, confirms strong buying interest behind the move. RSI (6): At 86.46, deeply in overbought territory, s