Top 3 Stocks for Day Trading on 30 Sep 2025 (CBA)
1. NVIDIA (NVDA)
Current Price: $181.85 | Prev. Close : $178.19 (+2.05%)
Key Levels:
Support: $177.72 (September 29 low) → Critical intraday floor
Resistance: $184.55 (52-week high) → Breakout target
Volume Spike: 193M shares traded (+25% vs. 10-day avg)
Technical Setup:
Bullish Momentum: Price reclaimed the 5-day EMA ($179.50) with RSI at 62 (no overbought signal).
Volume Confirmation: Largest volume in 2 weeks on September 29 aligns with +2% price gain.
Catalyst: AI chip demand surge (CITIC Securities projects NAND market recovery through 2026).
Trade Plan:
Entry: $182.50 (above Sept. 29 high)
TP1: $184.55 (52-week high) → +1.2% gain
TP2: $188.00 (psychological resistance) → +3.0% gain
SL: $178.00 (below support) → -2.5% risk
****Risk/Reward : 1:1.2 (TP1) / 1:3.6 (TP2)
2. Tesla (TSLA)
Current Price: $443.21 | Prev. Close : $440.40 (+0.64%)
Key Levels:
Support: $439.50 (September 29 low) → Intraday pivot
Resistance: $450.98 (Sept. 29 high) → Immediate ceiling
Volume Trend: 79.5M shares (0.84x 10-day avg)
Technical Setup:
Ascending Triangle: Consolidation between $439.50 and $450.98 since Sept. 25.
MACD Bullish Crossover: Signal line crossed above histogram on Sept. 28.
Catalyst: Raised PT to $600 by AI Daily; EV infrastructure partnerships (Hyundai-Korea semiconductor alliance).
Trade Plan:
Entry: $445.00 (break above Sept. 29 range)
TP1: $450.98 → +1.3% gain
TP2: $460.00 (next liquidity zone) → +3.4% gain
SL: $435.00 (below consolidation low) → -1.8% risk
****Risk/Reward : 1:1.7 (TP1) / 1:4.4 (TP2)
3. Advanced Micro Devices (AMD)
Current Price: $161.36 | Prev. Close : $159.46 (+1.19%)
Key Levels:
Support: $159.90 (Sept. 29 low)
Resistance: $164.30 (Sept. 29 high)
Volume Surge: 2.45% turnover rate (highest in 5 sessions)
Technical Setup:
RSI Divergence: Price made higher lows while RSI trended upward (bullish momentum).
Sector Tailwinds: AI/data center chip demand (CITIC Securities report) complements NVDA's strength.
Short Squeeze Potential: 14.47% short volume ratio (Aug 29 data) → fuel for breakout.
Trade Plan:
Entry: $162.00 (above VWAP)
TP1: $164.30 → +1.4% gain
TP2: $168.00 (gap fill from Sept. 22) → +4.1% gain
SL: $158.50 (below key support) → -2.2% risk
****Risk/Reward : 1:1.6 (TP1) / 1:4.6 (TP2)
Market Context & Risks
Sector Rotation: Semiconductors (+3.2% week-over-week) and EVs (+1.8%) outperform S&P 500 (+0.9%).
Key Risk: Fed policy uncertainty (noise around October rate decision) may trigger profit-taking.
Mitigation: Tight stops (1.5-2.5% risk) align with intraday volatility ranges.
Disclaimer: Investing carries risk. This is not financial advice. The above content should not be regarded as an offer, recommendation, or solicitation on acquiring or disposing of any financial products, any associated discussions, comments, or posts by author or other users should not be considered as such either. It is solely for general information purpose only, which does not consider your own investment objectives, financial situations or needs. TTM assumes no responsibility or warranty for the accuracy and completeness of the information, investors should do their own research and may seek professional advice before investing.
- Astrid Stephen·09-30Enter $162, TP $164.30/$168; SL $158.50. Short squeeze + AI tailwinds.LikeReport
- Reg Ford·09-30Breach $182.50, target $184.55/$188; SL $178. Strong volume + AI catalyst.LikeReport
