Oqlivnews
Oqlivnews
Entrepeneur | Developer | analyst checkout www.oqliv.news
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$NVIDIA(NVDA)$   will NVDA breach $200?
Is $Robinhood(HOOD)$ finally breaking its downward trend? 
US-Israel hits gas pipeline again 
$SPDR Gold ETF(GLD)$  entered bear marker at -22% 
5 stocks I am watching next week 
US 10y yield hit 4.3% this is not going to end well for stock market 
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2025-12-22
My #1 watch for 2026: $Toronto-Dominion Bank(TD)$  Not a momentum lottery ticket — more of a “quality + mean reversion” setup: • Base: strong deposit franchise + big North America footprint • Catalyst: normalization + capital return (buybacks/dividend growth) can drive a re-rating if execution stays clean • Plan: I’ve mapped key levels + a cut-loss rule so it’s not guesswork Full top-5 picks + levels here: https://www.patreon.com/posts/146226796?utm_campaign=postshare_creator
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2025-05-22
Palantir (PLTR) dropped -4% yesterdy$Palantir Technologies Inc.(PLTR)$  , but the options market tells a different story… Massive call volume at $130 (35K contracts) Put wall building at $120 (38K contracts) Retail may be worried—but the flow suggests positioning for a breakout, not a breakdown. And if Wedbush’s Dan Ives is right… $1T valuation = 245% upside. Who’s bluffing—options whales or the bears? Source: www.oqliv.com
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2025-05-21
Whales circling $GEV 📈 $450C just jumped +118% • +$69.8K in new call flow • Exp: May 23 — short fuse • Timestamp: May 20, 16:32 EDT Smart money’s betting on a pop$GE Vernova Inc.(GEV)$   Source: www.oqliv.com
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2025-05-19
Moody’s Just Downgraded the U.S.—Why Markets Shrugged It Off (For Now) TL;DR 2011 (S&P): Crash. 2023 (Fitch): Grind down. 2025 (Moody’s): Nothing… yet. We’re either numb — or early. Time will tell I’m eyeing institutions as hard as I can using www.oqliv.com We’ve been here before. But this time, it feels different — at least on the surface. Moody’s just cut the U.S. credit rating in May 2025, but markets barely reacted. If you’re wondering why things feel calmer than in past downgrades, let’s line up the historical playbook Read details: https://blog.oqliv.com/post/market-is-shrugging-off-moodys
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2025-05-15
$Palantir Technologies Inc.(PLTR)$   PLTR Options trade idea — May 16 Expiry Current Price: $130.18 Top Call Volumes: • $135C – 40.6K • $130C – 40.1K • $133C – 18.5K Top Put Volumes: • $125P – 22.9K • $130P – 14.3K • $120P – 13.8K Flow Takeaways: • Heavy call volume at $130–135 → bulls targeting breakout • Puts mainly at $125–130 → hedging but not dominant • Notional value (chart): call buyers outweigh put buyers, especially around $130 Trade Ideas: • Bullish: Buy $130C or $130C/$135C call spread • Bearish only if price breaks below $129 with momentum • Neutral: Iron condor using $125P/$135C wings Looks like the whales want $135. If $130 holds, bulls got this. Source: oqliv.com
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2025-05-15
PLTR – Big Players Defend $130 While Aiming for $135 Source: OQLIV.com Palantir (PLTR) is holding steady at $130.18, and the options flow shows big players are circling that level. For the May 17 expiration, there’s strong call volume at the $130, $132, and $135 strikes — suggesting institutional traders are leaning bullish but keeping expectations modest. Puts are mostly stacked from $125 to $130, which looks like a hedge rather than a directional bet. No aggressive downside wagers means there’s confidence in the current price zone. Where the Big Money’s Aiming: • $130 Calls: Major volume — traders defending this level hard. • $132 & $135 Calls: Quiet accumulation — a slow push higher is in play if tech holds up. • No major interest above $135 (yet) — flow suggests controlled optimism
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2025-05-15
NVDA – After Big Gains, Traders Eye $140 and Beyond Source: OQLIV.com nvidia (NVDA) just wrapped a strong rally and is trading near $135.34 — and options traders aren’t tapping the brakes yet. The biggest action is now centered on the $135 and $140 call strikes, with over 470,000 contracts combined for the May 17 expiration. That’s not hedging — it’s positioning for more upside. Put volume is light and spread out below $133, which means there’s not much appetite for downside protection right now. What it means: NVDA traders are aiming higher. After a major run-up, momentum names like this tend to either cool off or push further — and based on this flow, bulls are still in control. A clean move above $137 could trigger a sprint toward $140 or more, especially if tech strength holds.
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2025-01-17
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2024-12-31
MSFT $420-$440 Jan 2025 bull call spread 🤖📈 🔹 Buy $420 Call: $11.80 🔹 Sell $440 Call: $4.70 🔹 Cost: $710 🔹 Max Profit: $1,290 🔹 Potential Return: 181.69% 🚀 📊 AI predicts MSFT will hit $455.96 by End of Jan. Will you ride the trend? 🔍 Want to analyze $MSFT predictions? Check it out here: oqliv.news$Microsoft(MSFT)$  
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2024-12-20
Market Cap Showdown: $NVDA vs. $AMD 🚀 🔸 $NVDA: $1.07T, a true AI-driven giant 🦾 122% revenue growth 76% gross margin 45% profit margin 🔹 $AMD: $192.9B, the underdog with potential 🌱 17.6% revenue growth 52% gross margin 7.5% profit margin 10x size difference! David vs. Goliath? Bet accordingly. 👀 🔍 Want to analyze these stocks? Check it out here: https://oqliv.news/ $NVIDIA(NVDA)$ $Advanced Micro Devices(AMD)$  
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2024-12-19
$PLTR: Love it or hate it, you can’t ignore it. ✅ Profitable in 2023 after years of losses ✅ Secured a $618M U.S. Army contract ✅ 298% stock growth this year! Options market says $70-$75 calls are hot 🔥 But a 357x PE ratio? Bold. Is Palantir the future of AI or just too expensive? 🤔 🔍 Dive deeper: https://oqliv.news/$Palantir Technologies Inc.(PLTR)$  
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2024-12-19
💡 $HOOD is making waves: 181% growth in 1 year 📈 No debt, $4.8B in cash = stability ✅ Options market says bulls love $40 strikes 🐂 BUT: PE ratio at 63 feels lofty. Still unprofitable. 😬 Is $HOOD worth the hype or just another fintech gamble? 🤔 🔍 Dive deeper: https://oqliv.news/$Robinhood(HOOD)$  
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2024-12-16
$Invesco QQQ(QQQ)$   QQQ June 2025 $530/$540 call spread looks juicy. Tech growth in 2025 is almost inevitable, so why not put your money where the innovation is? 🚀

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