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$Tesla(TSLA.US$ dont need to panic. it is closing $273 today
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$Tesla(TSLA.US$ I don't understand the mentality of shorting, and there's no bad news. It's all good news, just because it's been going up for 10 days, should I go short? How is this different from going to a casino to guess red and black on the Russian roulette wheel? Too low, there's no technical content.
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Its my 1st time joining this event, (previously couldn’t come due to work). This is my take on my experience there. ![]()
Crowd:
Overwhelming crowd. People Mountain People Sea.
Activities
Lots of fun activities and opportunity to learn about different investing methods and investing personalities.
Lucky Draw
Always a crowd puller. Free shares and souvenirs for grabs, but you need to deposit fresh funds to join.
Best prize was $Tesla(TSLA.US$ Share won by my new friend.
New Fa...
Crowd:
Overwhelming crowd. People Mountain People Sea.
Activities
Lots of fun activities and opportunity to learn about different investing methods and investing personalities.
Lucky Draw
Always a crowd puller. Free shares and souvenirs for grabs, but you need to deposit fresh funds to join.
Best prize was $Tesla(TSLA.US$ Share won by my new friend.
New Fa...
![Are you at MooFest2024?](http://1500015405.vod2.myqcloud.com/d72e86d4vodtransjkt1500015405/9126ad771397757888202739426/coverBySnapshot/coverBySnapshot_10_0.jpg)
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It's been a while since I posted. Previously sold $NVIDIA(NVDA.US$ , bought $Tesla(TSLA.US$ After that, I went on vacation and only came back yesterday. A trip to the wrong peak, deliberately avoiding the peak of an American holiday. I hate the feeling of being overcrowded when traveling, so I choose to travel at the wrong peak every time.
It was cleared this morning $Tesla(TSLA.US$ . There were about 206, and they didn't sell at the highest point, but I entered 180, and the position was very heavy. I have already earned more than 10% during my vacation. In addition, the data will be released tomorrow. Today, I will choose to settle in the bag and wait and see. If tomorrow's data is poor, leading to a decline, I may just make up my position again. If the data is good, I'll be open to emptying it. TSLA is currently overbought and is unlikely to last; there is always a chance for a pullback.
There are two more actions today:
1. Admission to Shigekura $UnitedHealth(UNH.US$ . The volume surpassed the critical position of 500 last week, a critical fluctuation I've been waiting for. As long as it does not fall below Friday's low of 489, the basic judgment is that UNH will break out of the turmoil and return to the upward trend. I stepped back today and just got on the bus.
2. Sell almost every other semiconductor stock and bottom a small amount $NVIDIA(NVDA.US$ . Previously, 130-140 cleared all NVDA positions, and today I saw that it was below 120, so I bought some back. Currently I only hold...
It was cleared this morning $Tesla(TSLA.US$ . There were about 206, and they didn't sell at the highest point, but I entered 180, and the position was very heavy. I have already earned more than 10% during my vacation. In addition, the data will be released tomorrow. Today, I will choose to settle in the bag and wait and see. If tomorrow's data is poor, leading to a decline, I may just make up my position again. If the data is good, I'll be open to emptying it. TSLA is currently overbought and is unlikely to last; there is always a chance for a pullback.
There are two more actions today:
1. Admission to Shigekura $UnitedHealth(UNH.US$ . The volume surpassed the critical position of 500 last week, a critical fluctuation I've been waiting for. As long as it does not fall below Friday's low of 489, the basic judgment is that UNH will break out of the turmoil and return to the upward trend. I stepped back today and just got on the bus.
2. Sell almost every other semiconductor stock and bottom a small amount $NVIDIA(NVDA.US$ . Previously, 130-140 cleared all NVDA positions, and today I saw that it was below 120, so I bought some back. Currently I only hold...
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$NVIDIA(NVDA.US$First off, I am not a shorter. I sold exactly at 141 when the ticker headbutted the upper BOLL bands combined with a shift of buyer-seller balance - a testament to improved trading accuracy through relying on technicals.
According to TA, we are expecting a short-term correction.
1) KDJ - K has made a steep cross below D, forming a death cross which signals a strong shift of immediate trend.
2) MACD indicator may lag behind ...
According to TA, we are expecting a short-term correction.
1) KDJ - K has made a steep cross below D, forming a death cross which signals a strong shift of immediate trend.
2) MACD indicator may lag behind ...
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$MMTEC Inc(MTC.US$
The next 180 days will be crucial in order to regain compliance.
There are 2 paths this pos can go:
1) Leave it to organic price movement and RS by the end of the compliance period under $1. The last 10.1 reverse split was done in July 2022, we've passed the 2-year window.
2) Performs a share buyback and reduce outstanding shares. More than 99% of the shares are held by retail, the management needs some skin in the game...
The next 180 days will be crucial in order to regain compliance.
There are 2 paths this pos can go:
1) Leave it to organic price movement and RS by the end of the compliance period under $1. The last 10.1 reverse split was done in July 2022, we've passed the 2-year window.
2) Performs a share buyback and reduce outstanding shares. More than 99% of the shares are held by retail, the management needs some skin in the game...
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