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215
General
Pinkspider
·
07-16
It's out. It's happening! No wonder $echo price action showed some strength $20 Billion + incoming to a $28 Billion Mcap company 🤩 🔸 It lets EchoStar move forward with the AT&T wholesale/hybrid model and the SpaceX spectrum deal without violating the old merger decree. 🔸It still gives EchoStar valuable assets (prepaid business, cell site access, spectrum option) while reducing the capital burden. This is the legal green light for EchoStar’s $echo new strategy: sell most spectrum to AT&T and SpaceX, become a hybrid MVNO + satellite player, use the cash to pay down debt, and avoid the massive cost of building its own full network. Interesting fact: Founder / CEO owns ~50%+ of the company and ~90% voting power. Skin in the game. 
It's out. It's happening! No wonder $echo price action showed some strength $20 Billion + incoming to a $28 Billion Mcap company 🤩 🔸 It lets EchoSt...
TOPbubblyo: Yeah this is bigger than an asset sale. I’m bullish on EchoStar here — debt relief plus founder control finally gives the satellite + MVNO pivot a real shot 🤩
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1.24K
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ShayBoloor
·
07-16

AI Trading Ideas: PYPL, NVDA, ASTS, EOSE& ASML

Hello everyone! Today i want to share some trading ideas with you! 1 $ASML Holding NV(ASML)$ makes the machines that every advanced AI chip depends on and just raised its 2026 outlook for the second time this year. When $Taiwan Semiconductor Manufacturing(TSM)$ $Intel(INTC)$ $SK hynix(SKHY)$ and $Micron Technology(MU)$ place orders with ASML they're effectively voting on the amount of advanced chip capacity they expect to need several years from now. With logic and memory now growing together, ASML is b
AI Trading Ideas: PYPL, NVDA, ASTS, EOSE& ASML
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1.38K
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Selling For Premium
·
07-16

Option Strategies: AEHR, TSM, UNH& NBIS

Hello everyone! Today i want to share some trading strategies with you! 1 Got the 150P expiring this week. Will continue to write puts on $NEBIUS(NBIS)$ … and will probs copy this trade. Sold a few puts on $NEBIUS(NBIS)$ this morning before the meetings started. Will add to position and write a few more this Friday for July 24 and July 31 expiration, targeting that 150 strike (or lower). 2 We got earnings before the opening bell tomorrow on $Taiwan Semiconductor Manufacturing(TSM)$ and $UnitedHealth(UNH)$ . How's our fellow #Optionselling traders playing this?
Option Strategies: AEHR, TSM, UNH& NBIS
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722
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EliteOptionsTrader
·
07-16

TRADE PLAN for Thursday 📈

$S&P 500(.SPX)$ is still trading in a range from 7500 to 7600 the past 4 trading days. Watch to see if SPX can breakout above 7600 in the next 2 days. SPX July 17 7620C is best near 7600 $Meta Platforms, Inc.(META)$ +20 on the day today. META to 700 inbound if it holds above 675 over the next 2 days META July 17 690C is best above 680 $Invesco QQQ(QQQ)$ dropped to 710 and closed at 717, if QQQ can get back to 722 we'll see a move to 726,731 again. As long as QQQ can hold 712 it still looks bullish this week. Chip stocks and Memory stocks had a weaker day today. We saw a bit of rotation into the Mag 7. Let's see i
TRADE PLAN for Thursday 📈
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757
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XAUUSD Gold Traders
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07-16

GOLD Has Shown an Overall Weak Trend

1 Gold (XAU/USD) has shown an overall weak trend today, maintaining a pattern of weak consolidation and selling on rallies. Pressured by recent oil price rebounds that have sparked inflation concerns (reigniting expectations of high interest rates), the gold price is currently in a wide-range downward channel. $Gold - main 2608(GCmain)$ The intraday low has been updated to 4024. Although prices have rebounded slightly, they remain under pressure at the absolute bottom of the downtrend channel. Step-like downward consolidation: After encountering resistance in the 4060 area, gold prices formed a very standard “decline–sideways consolidation–further decline” step-like bearish pattern, with the lower boundary of each consolidation
GOLD Has Shown an Overall Weak Trend
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901
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SGX_Stars
·
07-16
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8.05K
Selection
JC888
·
07-16

NFLX, chance to Rise with Q2 Earnings ?

It’s Coming. In the season of quarterly earnings report, TV darling $Netflix(NFLX)$ is due to report its own on Thu, 16 Jul 2026 after market has closed. Before that happens, let’s recap what have been happening to NFLX since walking away from the $Warner Bros. Discovery(WBD)$ bidding war; that incidentally is still facing a lot of oppositions on its merger with $Paramount Skydance Corp(PSKY)$. $Bank of America(BAC)$ is still bullish about NFLX with a 'Buy' rating and a price target $125 per share, despite a -19.19% decline in its shares YTD. (see below) As of 14 Jul 2026 According to BAC, NFLX’s YTD decline reflects: Inve
NFLX, chance to Rise with Q2 Earnings ?
TOP1PC: Nice Sharing 😁 @Barcode @Shyon @koolgal @Aqa @DiAngel @SherniceXuan 2000
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Owen_trading room
·
07-15

Two Must-Watch Strategies Now: the Enticing oil Crack Spread and Stock-Index Options Straddle

Every week, Owen talks through some of the trading opportunities and strategies in the current market that are worth watching. This time we won't dwell on preliminaries and will get straight to the point. I believe there are two main opportunities to focus on this time: First, the crude oil crack spread has now surged to a historic extreme. How to find the right timing to short the spread is a highly noteworthy profit opportunity. Second, U.S. equities are currently stuck in a high-level, range-bound pattern. With tonight's upcoming CPI data as a catalyst, how should we use an options straddle strategy to bet on a return of volatility? This is likewise an opportunity worth exploring. Let's look at them one by one. $标普500(.SPX)$
Two Must-Watch Strategies Now: the Enticing oil Crack Spread and Stock-Index Options Straddle
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2.01K
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piggytl
·
07-15
P&L (15 July 2026) The brutal sell-off in the Chips and Storage sector is showing no mercy, making my internship project a nice, albeit busy, distraction from staring at a bleeding screen. Heavy hitters like $NVIDIA(NVDA)$  and $Broadcom(AVGO)$ are continuing to feel the squeeze, while $Marvell Technology(MRVL)$ hasn't escaped the pain either, dragging down the rest of the semi-portfolio. Even outside of pure silicon plays, speculative tech holdings like $Ondas Holdings Inc.(ONDS)$ and $Rocket Lab USA, Inc.(RKLB)$ are catching some of the risk-o
P&L (15 July 2026) The brutal sell-off in the Chips and Storage sector is showing no mercy, making my internship project a nice, albeit busy, distr...
TOPJudyFrederick: I added TSM this morning too. Q2 should be strong — supply chain moat is still untouchable
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672
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Flochin
·
07-15
$DBS(D05.SI)$  How do you like a golden goose that lays golden eggs?  Regular strong dividends and steady uptrend.  
$DBS(D05.SI)$ How do you like a golden goose that lays golden eggs? Regular strong dividends and steady uptrend.
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654
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shihou.hayashi
·
07-15
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597
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Wisdom張
·
07-16
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1.10K
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AI_Dig
·
07-16

SpaceX Is Losing Its Narrative Premium

Just one month ago, $SpaceX(SPCX)$ looked unstoppable. Today, the stock has fallen below its IPO price for the first time. The decline isn't just about weaker momentum. It's about something much bigger: The market is beginning to reprice the story. From Euphoria to Price Discovery SpaceX entered the public market with enormous expectations. Investors weren't simply buying a launch company. They were buying a portfolio of future businesses: • AI infrastructure • Starlink • Autonomous systems • The space economy That combination pushed the stock sharply higher after its debut. But eventually every newly listed company reaches the same point: The narrative gives way to valuation. The Next Test Isn't Earnings—It's Supply The next few months could be m
SpaceX Is Losing Its Narrative Premium
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1.60K
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jfsrevg
·
07-16

Market Leadership Check: Software Still Dominates

If you're wondering where institutional money is flowing, the answer is becoming increasingly clear. Among the 30 strongest liquid U.S. stocks (>$100M average daily dollar volume) still trading above their key moving averages, one sector stands out: Software. ☁️ Infrastructure Software Leads the Pack $CrowdStrike Holdings, Inc.(CRWD)$ $Palo Alto Networks(PANW)$ $Frontier Asset Total International Equity ETF(FINT)$ $Cloudflare, Inc.(NET)$ $Okta Inc.(OKTA)$ $Rubrik Inc.(RBRK)$ $Tenable Holdings Inc
Market Leadership Check: Software Still Dominates
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1.75K
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pretiming
·
07-16

$NVDA Rally Stretches to Extremes, Pullback Risk Rises

$NVIDIA(NVDA)$ ⚡ Key Takeaway NVDA jumped sharply today, extending a Buy and Hold position that's now five days into a strong run higher. The zone level has rocketed to a rare extreme, the kind of reading that often precedes a breather rather than more of the same. Even so, a slide into the Bearish zone remains effectively off the table. The next buying opportunity isn't expected until next week, reflecting a shift toward a more neutral near-term stance. This is strength worth respecting, not chasing blindly. 1️⃣ What Is Happening Right Now 📌 Jul 14, 2026 Market Snapshot Parameter Value Close $211.8 (+4.06%) Trend Zone 🟩 Bullish Trend Sub-Regime Uptrend (Correction Signal Emerging) Zone Level Bullish 84% Bearish Zone Entry Risk ⚠️ 0% within 10 day
$NVDA Rally Stretches to Extremes, Pullback Risk Rises
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1.18K
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Michael Esther
·
07-16

The Earnings Trap Every Options Trader Should Know

Every new options trader loses money the exact same way on earnings. You call the direction right. The stock moves your way. You open the app and you're down 40%. Here's IV crush explained: Before earnings, uncertainty peaks. Market makers jack up option prices to match. The second the numbers hit, that uncertainty is gone. Implied volatility collapses 30-60% overnight. Beat, miss, doesn't matter. The crush happens every single time. The math that wrecks you: Option P&L = direction + volatility + time decay. Say your call has 0.30 vega and IV drops 15 points post-earnings. That's -$4.50 from the crush. Your correct directional call made you +$3.00. -1.5 total Right on the stock. Still lost money. How hard the crush hits, by sector: - Biotech: 40-70% (binary FDA outcomes) - High-beta te
The Earnings Trap Every Options Trader Should Know
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1.76K
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Michael Esther
·
07-16

$AEHR Earnings Signal the Next Phase of the AI Infrastructure Boom

One company you need to pay attention to is $Aehr Test(AEHR)$ Calls will open up 500% from $5 to $25 this morning. Here's why: $AEHR doesn't make AI chips. They make the machines that test AI chips before they leave the factory. Think of them as the final quality check. If a chip is defective, they find it before it ends up inside a billion-dollar AI data center. That might not sound exciting, but as AI chips become more expensive and powerful, testing every single one becomes incredibly important. What really caught my attention wasn't just their earnings. They reported record orders, a massive backlog of future business, a huge increase in cash, and guided for revenue to potentially nearly triple next year. To me, that's a strong signal that AI
$AEHR Earnings Signal the Next Phase of the AI Infrastructure Boom
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TRIGGER TRADES
·
07-16

$SPX Holds Bullish Structure, Eyes Fresh Record Highs

$S&P 500(.SPX)$ — breakout coming. Bullish reaction off Daily FVG support with an ABC down. Now holding a bullish SMT at last week's low (DJI). We coiled post-CPI -> That leads to a strong directional move tomorrow. Path of least resistance: all-time highs. Lean: we SMASH through those and break out for W5. Invalidation at the triangle low. $SPDR S&P 500 ETF Trust(SPY)$ $NASDAQ 100(NDX)$ $Invesco QQQ(QQQ)$ $E-mini Nasdaq 100 - main 2609(NQmain)$ $iShares Russell 2000 ETF(IWM)$ $Dow Jones
$SPX Holds Bullish Structure, Eyes Fresh Record Highs
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