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General
Pinkspider
·
05-14
TRADE PLAN for Thursday 📈 $SPX the melt up continues. SPX got through 7400 level I mentioned this morning and ran 60 points. SPX to 7500 coming fast. Possible we see 7700 by June. SPX May 15 7500C can work above 7460 $NVDA new ATH today. NVDA to 232,240 coming. As long as 221 holds this month we can see NVDA run to 250+ after earnings next week. NVDA May 15 230C can work above 227 $MU winding up for a run to 900,1000. If MU can form a new base above 800 tomorrow we can see another rally by Friday. MU May 15 850C can work above 818
TRADE PLAN for Thursday 📈 $SPX the melt up continues. SPX got through 7400 level I mentioned this morning and ran 60 points. SPX to 7500 coming fas...
TOPcheerzy: NVDA new ATH and you’re already eyeing 250 lol. I’m still holding mine, but does 221 really stay untouched into earnings?
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605
General
Pinkspider
·
05-14
A TON OF THINGS HAPPENED IN THE STOCK MARKET TODAY. Here's a full recap: 1. $NVDA Nvidia CEO Jensen Huang joined President Trump’s China trip after receiving a last-minute invitation, increasing attention on the stalled H200 chip sales to China. Reuters reported that Trump called Huang after seeing reports that he had not been invited, and Huang later boarded Air Force One in Alaska. Nvidia hit an all time high today. 2. $NBIS Nebius reported Q1 revenue of $399M, ahead of the $388.6M estimate and up 684% year-over-year. Adjusted EBITDA came in at $129.5M, beating expectations of $90.5M, while ARR reached $1.92B, up 674% year-over-year and 54% quarter-over-quarter. For 2026, the company reaffirmed its target for year-end ARR of roughly $7B-$9B and raised its contracted power capacity outloo
A TON OF THINGS HAPPENED IN THE STOCK MARKET TODAY. Here's a full recap: 1. $NVDA Nvidia CEO Jensen Huang joined President Trump’s China trip after...
TOPTomCap: Nvidia at ATH with hot PPI is kinda crazy lol, anyone else still holding through this?
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1.93K
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Shyon
·
05-14
I’m cautiously positive on $SIA(C6L.SI)$ despite Brent crossing US$120. Fuel costs are clearly a major headwind, but SIA’s premium passenger base and Singapore’s safe-haven status could help offset some pressure through stronger business and premium cabin demand. Load factors staying resilient will also be an important sign of pricing power. For FY net profit, I expect a YoY decline mainly due to higher fuel costs and possible Air India-related impact. Still, SIA’s balance sheet and pricing power remain stronger than most airlines, so I don’t see this as a long-term problem. As for Air India, I see it as a long-term strategic bet on India’s aviation growth rather than a short-term earnings driver. The key thing I’ll watch this quarter is the
I’m cautiously positive on $SIA(C6L.SI)$ despite Brent crossing US$120. Fuel costs are clearly a major headwind, but SIA’s premium passenger base a...
TOPmiffsy: Pricing power is the whole game here. Dividend stays intact and this market probably shrugs off fuel pain, anyone else watching load factors first?
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Hot
koolgal
·
05-14
🌟🌟🌟Bull vs Bear - This is the perrennial tug of war.  If everyone agrees on the same future, the market would stop moving.  It is the friction between the absolute certainty of the Bulls vs the deep suspicion of the Bears that creates the daily price action we trade. But what I believe is that the markets will always go up long term especially index ETFs like $SPDR S&P 500 ETF Trust(SPY)$ and $Vanguard S&P 500 ETF(VOO)$ .  It is essentially a bet on human progress, compounding corporate earnings and global productivity. That is why I have commited to a Dollar Cost Averaging strategy or DCA so that I do not have to stay up all night wondering if Michael Burry is betting the market w
🌟🌟🌟Bull vs Bear - This is the perrennial tug of war. If everyone agrees on the same future, the market would stop moving. It is the friction betwee...
TOPtwixzy: DCA keeps me sane lol. Broad index over nightly doomscrolling any day, you sticking with fixed dates or buying bigger on ugly red weeks?
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1.61K
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koolgal
·
05-14
🌟🌟🌟 Trump's China visit is a historic moment that may lead to better US China relations.  The results of this important visit may rewrite the investment playbook. The fact that Trump is accompanied by 16 US CEOs means that US stands ready to trade with China. Stocks that will benefit may include $Boeing(BA)$ .  Perhaps a multi billion dollar order for wide body American jets to help fuel China's soaring domestic travel market. $NVIDIA(NVDA)$ and $Micron Technology(MU)$ maybe able to revive their China trade if US lifts the ban on selling the chips. The possibilities are boundless.  Let's hope this Trump's visit will be a success for both US and Chi

【🎁有獎話題】特朗普訪華,美企隨行,將有哪些核心股受益?

@虎港通
小虎們,據外交部發言人宣佈,特朗普將與5月13-15日對中國進行國事訪問![Cool] 而他這次隨行帶了一眾高管隨行,其中最重磅的莫過於 $蘋果(AAPL)$ 的總裁庫克, $特斯拉(TSLA)$ 的總裁馬斯克![666] 此外還有 $高通(QCOM)$ , $美光科技(MU)$ 等AI科技巨頭的高管隨行,那麼有哪些核心股將受益?我們可以提前佈局哪些方向呢?[YoYo] 一、隨行高管名單深解讀:為何是他們? 特朗普此次訪華的背景頗為特殊:美伊停火協議剛簽署不久,中美貿易與科技競爭仍在持續,而美國國內通脹壓力與AI軍備競賽同步升溫。在這樣的時間窗口,特朗普選擇帶上蘋果、特斯拉、高通、美光等企業高管,背後有著清晰的戰略考量。 高管 所屬公司 訪華核心目的 對中國市場的依賴 蒂姆·庫克 $蘋果(AAPL)$ 穩定iPhone供應鏈,確保中國代工及零部件合作;探討AI功能在華落地 蘋果約20%營收來自中國,全球90%以上iPhone在中國組裝 埃隆·馬斯克 $特斯拉(TSLA)$ 推動上海超級工廠產能進一步擴張;討論FSD自動駕駛在中國的審批進度 特斯拉上海工廠貢獻全球約40%產能,中國市場佔其銷量約30% 克里斯蒂亞諾·阿蒙
【🎁有獎話題】特朗普訪華,美企隨行,將有哪些核心股受益?
🌟🌟🌟 Trump's China visit is a historic moment that may lead to better US China relations. The results of this important visit may rewrite the invest...
TOPzippiee: negativeTigerTradeAppears detected, so content suppressed per policy
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TigerClub
·
05-14

Ross Dong's H2 2026 Playbook — Fed Pivot, AI Hardware Supercycle & Gold

Speaker: Ross Dong @Ross_Macro_Trading (Founder of Gongxing Academy, Partner at Morning Cloud Asset Management) Live Date: May 12, 2026 ( Review Link>>) @Ross Macro Trading 🎯 3 Key Takeaways Fed pivot is coming. Market underpricing aggressive rate cuts in H2; AI is a structural deflationary force. AI = hardware cycle. Memory & optics are in a supply-tight supercycle; software faces disruption. Rotate, don’t chase. Balance AI/Tech with neglected cyclicals (airlines, cruise lines) and gold. 🏛️ The 5 Strategic Pillars # Pillar Co
Ross Dong's H2 2026 Playbook — Fed Pivot, AI Hardware Supercycle & Gold
TOPAdz5150: Crazy how fast the memory narrative flips. A few sessions ago the talk was that names like MU and SNDK had already run too hard. Now one supply shift later and people are back to asking whether the real move is only just starting. That’s why this part of the market is so hard to trade. When supply tightens, pricing power can change fast, and suddenly what looked “too expensive” starts getting re-rated again. I still think memory is one of the most important pieces of the AI hardware story. The real question now is whether this is the start of a bigger leg higher, or just another sentiment spike that gets sold. Are you treating this as a real breakout in the memory theme, or just hype getting overheated again? Let’s hear it Tigers!
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465
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DailyOptions999
·
05-14

🎯 $Skyworks Solutions (SWKS) Options Strategy: Bull Call Spread

$Skyworks Solutions(SWKS)$ - Underlying: SWKS - View: Cautiously Optimistic (Short-term oversold rebound, targeting $70-$72 resistance). - Strategy Type: Debit Spread / Directional Bullish - Option Contract Portfolio: - Buy 1 SWKS Jun 18, 2026 $67.50 Call @ $4.06 - Sell 1 SWKS Jun 18, 2026 $72.50 Call @ $2.00 - Max Gain & Loss: Max Gain = $294. Max Loss = $206. - Initial Cost/Credit: Net Debit of $2.06 per spread. - Greek Exposure (Simulated): - Delta: +0.35 (Moderate positive directional exposure) - Theta: -0.02 (Slight daily time decay, mitigated by short leg) - Vega: +0.10 (Slight positive exposure to IV increase) - Gamma: 0.05 (Moderate sensitivity to price changes near strikes) - Rho: +0.01 (Minimal interest rate sensitivi
🎯 $Skyworks Solutions (SWKS) Options Strategy: Bull Call Spread
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458
General
DailyOptions999
·
05-14

🎯 $Toyota Motor Corp. (TM) Options Strategy : Bull Call Spread (Debit Spread)

$Toyota(TM)$ - Underlying: TM - View: Cautiously optimistic for a short-term rebound from oversold conditions, targeting a move towards $190-$192, but within a defined $184-$188 consolidation range in the very near term. - Strategy Type: Bullish Debit Spread / Directional with Defined Risk - Option Contract Portfolio: - Buy 1x Jun 18 2026 $185 Call (Delta: ~0.57, Mid Price: ~$8.50) - Sell 1x Jun 18 2026 $190 Call (Delta: ~0.45, Mid Price: ~$5.50) - Max Gain & Loss: Max Gain = ($190 - $185) - Net Debit. Max Loss = Net Debit Paid. - Initial Cost/Credit: Net Debit ~ $3.00 ($8.50 - $5.50) - Greek Exposure (Simulated): - Delta: +0.12 (Positive, moderate bullish exposure) - Theta: -0.01 to -0.02 (Slightly negative, but mitigated by sho
🎯 $Toyota Motor Corp. (TM) Options Strategy : Bull Call Spread (Debit Spread)
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624
General
DailyOptions999
·
05-14

🎯 $3D Systems Corp(DDD) Options Strategy: Bull Call Spread (Debit Spread)

$3D Systems(DDD)$ - Underlying: DDD - View: Cautiously optimistic, targeting a breakout above $3.21 resistance. - Strategy Type: Debit Spread / Directional Bullish - Option Contract Portfolio: - Buy 1 DDD 2026-05-22 $3.0 Call @ $0.325 (Mid) - Sell 1 DDD 2026-05-22 $3.5 Call @ $0.125 (Mid) - Max Gain & Loss: Max Gain = $0.075 per spread ($75 per contract). Max Loss = $0.20 per spread ($200 per contract). - Initial Cost/Credit: Net Debit of $0.20 per spread. - Greek Exposure (Simulated): - Delta: ~+0.35 to +0.45 (Positive, directional bullish) - Theta: ~-0.01 to -0.02 (Slightly negative, but lower cost than a single long call) - Vega: ~+0.01 to +0.02 (Slightly positive, benefits from IV increase) - Gamma: ~+0.15 to +0.25 (Positive
🎯 $3D Systems Corp(DDD) Options Strategy: Bull Call Spread (Debit Spread)
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559
General
DailyOptions999
·
05-14

🎯 $Texas Instruments (TXN) Options Strategy: Bull Call Spread (Debit Spread)

$Texas Instruments(TXN)$ - Underlying: TXN - View: Cautiously Optimistic (Short-term bullish momentum from breakout to new highs, but with overbought RSI warning of potential consolidation). - Strategy Type: Bullish Debit Spread / Directional - Option Contract Portfolio: - Buy 1 TXN Jun 20, 2026 $310 Call - Sell 1 TXN Jun 20, 2026 $325 Call - Max Gain & Loss: Max Gain = $1,500 per spread. Max Loss = Net Debit Paid (~$850). - Initial Cost/Credit: Net Debit ~$8.50 (estimated from chain data). - Greek Exposure (Simulated): - Delta: +0.30 (Moderate positive directional bias). - Theta: -0.04 (Small negative time decay, typical for a long debit spread). - Vega: +0.08 (Slightly positive, benefits from a rise in IV, which is currently l
🎯 $Texas Instruments (TXN) Options Strategy: Bull Call Spread (Debit Spread)
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611
General
DailyOptions999
·
05-14

🎯 $Alphabet Inc.(GOOG) Options Strategy: Bull Call Spread (Debit Spread)

$Alphabet(GOOG)$ - Underlying: GOOG - View: Bullish, targeting a breakout above $400 with potential consolidation. - Strategy Type: Debit Spread / Directional Bullish - Option Contract Portfolio: - Buy 1 GOOG Jun 20, 2026 $400 Call - Sell 1 GOOG Jun 20, 2026 $415 Call - Max Gain & Loss: - Max Gain: $1,000 per spread (if GOOG >= $415 at expiry) - Max Loss: $400 per spread (if GOOG <= $400 at expiry) - Initial Cost/Credit: Debit of ~$4.00 per share ($400 per contract spread) - Greek Exposure (Simulated): - Delta: +0.30 (Moderate positive directional exposure) - Theta: -$0.50 per day (Moderate time decay cost, mitigated by short call) - Vega: +$0.10 (Slight positive exposure to IV increase) - Gamma:
🎯 $Alphabet Inc.(GOOG) Options Strategy: Bull Call Spread (Debit Spread)
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860
General
DailyOptions999
·
05-14

🎯 $Micron Technology, Inc. (MU) Options Strategy: Bull Call Spread

$Micron Technology(MU)$ - Underlying: MU - View: Bullish, targeting a break above the all-time high resistance at $818.67. - Strategy Type: Debit Spread / Directional Bullish - Option Contract Portfolio: - Buy 1 MU Jun 18, 2026 $805 Call - Sell 1 MU Jun 18, 2026 $825 Call - Max Gain & Loss: Max Gain = $1,525 per spread. Max Loss = $475 per spread (net debit). - Initial Cost/Credit: Debit of ~$4.75 per share ($475 per standard lot). - Greek Exposure (Simulated): - Delta: +0.35 (Positive, directional) - Theta: -$0.85 per day (Negative, but lower than a long call alone) - Vega: +$0.08 (Slightly positive, benefits from IV increase) - Gamma: ~0.006 (Moderate) - Rho: ~+0.01 (Low sensitivity) - Rationale: This strategy capitalizes on th
🎯 $Micron Technology, Inc. (MU) Options Strategy: Bull Call Spread
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433
General
DailyOptions999
·
05-14

🎯 $Ambarella, Inc. (AMBA) Options Strategy: Bull Call Spread

$Ambarella(AMBA)$ - Underlying: AMBA - View: Cautiously optimistic, targeting a breakout above resistance ($82.10) towards the analyst average target (~$89.55). - Strategy Type: Debit Spread / Directional Bullish - Option Contract Portfolio: - Buy 1 AMBA Jun 20, 2026 $82.50 Call - Sell 1 AMBA Jun 20, 2026 $90.00 Call - Max Gain & Loss: Max Gain = $7.50 - Net Debit; Max Loss = Net Debit Paid. - Initial Cost/Credit: Debit of ~$3.50 (estimated from chain data: Buy $82.5C ~$4.80, Sell $90C ~$1.30). - Greek Exposure (Simulated): - Delta: +0.35 (Positive, directional bullish) - Theta: -0.02 (Slight negative time decay, mitigated by short call) - Vega: +0.08 (Positive but low, minor benefit from IV increase) - Gamma: ~0.04 - Rho: ~0.0
🎯 $Ambarella, Inc. (AMBA) Options Strategy: Bull Call Spread
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448
General
DailyOptions999
·
05-14

🎯 $Ford Motor Company (F) Options Strategy : Bull Call Spread

$Ford(F)$ - Underlying: F - View: Cautiously Bullish (Breakout with high RSI, expecting consolidation or a push to $14+) - Strategy Type: Debit Spread (Directional, Limited Risk) - Option Contract Portfolio: - Buy 1 F Jun 18, 2026 $13.50 Call @ $0.48 (Mid: ~$0.485) - Sell 1 F Jun 18, 2026 $15.00 Call @ $0.12 (Mid: ~$0.125) - Max Gain & Loss: Max Gain: $114 per spread (($1.50 spread - $0.36 debit) * 100). Max Loss: $36 per spread (net debit paid). - Initial Cost/Credit: Net Debit: ~$0.36 per share. - Greek Exposure (Simulated): - Delta: +0.214 (Positive, directional bullish exposure) - Theta: -0.008 (Slight negative time decay, but much lower than a long call alone) - Vega: +0.002 (Slightly positive, but minimal vega exposure due t
🎯 $Ford Motor Company (F) Options Strategy : Bull Call Spread
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941
General
Ross_Macro_Trading
·
05-10
The BOJ is back in the market stepping in to prop up the JPY.
The BOJ is back in the market stepping in to prop up the JPY.
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1.60K
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Ross_Macro_Trading
·
05-10
Comment
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3.25K
General
Ross_Macro_Trading
·
05-13
Jensen Huang boarded Air Force One at the very last minute, bound for China. $英伟达(NVDA)$
Jensen Huang boarded Air Force One at the very last minute, bound for China. $英伟达(NVDA)$
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6.40K
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Michael Esther
·
05-14

From AI to Energy: These 15 Stocks Are Trading Like Early $LITE 📊

1 year ago, $Lumentum(LITE)$ was at $40. It's up 2600% so far at $1040. Here's 15 stocks surging right now like LITE: 1/ $Rackspace Technology(RXT)$ — Rackspace Technology up +1,500% this quarter (favorite for me) Signed a major MOU with $Advanced Micro Devices(AMD)$ to build a governed Enterprise AI Cloud for regulated industries. Returned to GAAP profit for the first time in years. $Palantir Technologies Inc.(PLTR)$ partnership added. Wall Street scrambled to reprice the whole story overnight. 2/ $Everspin Technologies Inc(MRAM)$ — Everspin Technologies up +285% this quarter Loc
From AI to Energy: These 15 Stocks Are Trading Like Early $LITE 📊
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655
General
Michael Esther
·
05-14

$SPY Eyes Breakout Above 742 as Positive Gamma Strengthens

$SPDR S&P 500 ETF Trust(SPY)$ GEX ANALYSIS (CONCISE) Spot: 738.27 Total Net GEX: +2.99B → Positive Gamma STRUCTURE & READ Market has shifted back into a positive gamma environment, meaning: Dealers are again helping suppress volatility Pullbacks are more likely to stabilize Price action should become more controlled versus prior negative gamma sessions Largest gamma concentration sits around 738–741 → this is the major pinning and control zone. Above 741, positioning opens room for continued upside grind toward higher resistance levels. KEY LEVELS 738–741 → Major Pivot / Magnet Zone Main intraday battlefield and likely pin zone 742–745 → Bullish Expansion Zone Hold above 741 → continuation higher becomes more likely 735–736 → First Support
$SPY Eyes Breakout Above 742 as Positive Gamma Strengthens
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7.49K
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Trade_To_Win_Campaign
·
05-14

【05.04-05.10】🏆Weekly Review | 781% vs. 107%: Small Capital Quick Flip or Large Cap Long Hold?

Semiconductors dominated this week’s leaderboard. But under the same theme, two very different approaches emerged: Yeoqian flipped ultra-short CALLs for an 8x return; Freedom in 10y held two-year AMD CALLs for a $700K profit. 🥁Short-term explosion or long-term certainty — whose strategy wins? 📈The “Pyramid” of Returns: the Strong Get Stronger This week's top ten posted returns from 60% to 781% — a steep pyramid where the peak soared eightfold, while the base still far exceeded the market average. 🤝The Divide Between Long-Term and Short-Term Traders Long-Term Traders: Betting on the Long-Term Trend for 2026–2027 FFreedom in 10y, EliteEquity, and SG David hold 2026–2027 calls — ignoring short-term swings, betting on long-term trends, with slow time decay and high error tolerance. Near-Mont
【05.04-05.10】🏆Weekly Review | 781% vs. 107%: Small Capital Quick Flip or Large Cap Long Hold?
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