It is estimated that the funds will still be in Nvidia tomorrow before the sale of shares
$Tesla(TSLA.US$ Drop to 172 or even 170
A small drop of more than 175 at the end of the trade, an options double kill
Stupid guesswork!
$Tesla(TSLA.US$ Drop to 172 or even 170
A small drop of more than 175 at the end of the trade, an options double kill
Stupid guesswork!
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$Dell Technologies(DELL.US$Look no further as Nvidia could bounce back tomorrow, driving stocks higher
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$Dell Technologies(DELL.US$The organizations raised their target prices and wanted to wait for the announcement and make a big profit, but they were still treated as leeks. Actually, after thinking about the following reasons, I decided to figure it out.
1. The total debt is greater than the total assets, which starts in 2023/Q1, so it is not a good thing, as future capital increases or debt issuance may occur.
2. With a minimum of $1 billion left in cash history, there may be problems with the transfer of funds for one that relies on selling hardware (high inventory costs), so future capital increases or debt issuance may also occur.
3. It seems that the main daily lists on the day of the publication of the report have been placed first or have a large number of empty orders before they have exploded in large numbers.
In general, the main players will wait until they come in after another round of losses (if the dealer claims to come in or if the selling pressure is financed, so we wait 2-3 weeks to look for a low. If you hurry to pick up the dealer next week, after all, the main force will not take the money and let the guard loose, you say? $Dow Jones Industrial Average(.DJI.US$ $Nasdaq Composite Index(.IXIC.US$
1. The total debt is greater than the total assets, which starts in 2023/Q1, so it is not a good thing, as future capital increases or debt issuance may occur.
2. With a minimum of $1 billion left in cash history, there may be problems with the transfer of funds for one that relies on selling hardware (high inventory costs), so future capital increases or debt issuance may also occur.
3. It seems that the main daily lists on the day of the publication of the report have been placed first or have a large number of empty orders before they have exploded in large numbers.
In general, the main players will wait until they come in after another round of losses (if the dealer claims to come in or if the selling pressure is financed, so we wait 2-3 weeks to look for a low. If you hurry to pick up the dealer next week, after all, the main force will not take the money and let the guard loose, you say? $Dow Jones Industrial Average(.DJI.US$ $Nasdaq Composite Index(.IXIC.US$
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$Tesla(TSLA.US$ A waterfall is about to explode and the stock market price drops rapidly, so that the bottom line can wait and wait.
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$Tesla(TSLA.US$ In addition to Osho continuing to sell, many retail traders should also experience a breakout. Unless replenishment is made, it is estimated that it will continue to happen. Since many people cost between 240-280, Margin calls will occur between $132-$168 prices, so before the lows continue, a rebound should be sought Find a selling point, and you need to get the bottom of it faster and faster.
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$Tesla(TSLA.US$ A domestic electric car is earlier and more familiar with the low-cost EV marketing market than China. Other brand cars are competitive and can only be forced to manufacture locally in India, but is there a good way off so far?
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$Tesla(TSLA.US$ Otherwise, the $8.5 billion traded after last Friday's close was a frightening rebound. If small traders see Robotaxi news go higher, it is estimated that it will be a leek
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