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$Tonix Pharmaceuticals (TNXP.US)$ Don't be as capable as a master, everyone has their own price, those who haven't reached the cost won't sell, what you earn, what you want to buy, also don't come up with random ideas, after all, it's not you who lose money.
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$Palantir (PLTR.US)$Palantir Q4 2024 earnings conference call is scheduled for February 3 at 5:00 PM ET /February 4 at 6:00 AM SGT /February 4 at 9:00 AM AEDT. Subscribe to join the live earnings conference with management NOW!
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What do you expect from Palantir's Q4 earnings? Will the company beat or miss the estimates? Make sure to click the "Book" button to get what managements have to say!
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Palantir Q4 2024 earnings conference call
Feb 4 06:00
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$Apple (AAPL.US)$ Apple Q1 FY2025 earnings conference call is scheduled for January 30 at 5:00 PM ET /January 31 at 6:00 AM SGT /January 31 at 9:00 AM AEST. Subscribe to join the live earnings conference with management NOW!
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What do you expect from Apple's Q1 earnings? Will the company beat or miss the estimates? Make sure to click the "Book" button to get what Apple's management have to say!
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Apple Q1 FY2025 earnings conference call
Jan 31 06:00
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$Intel (INTC.US)$ Intel Q4 2024 earnings conference call is scheduled for January 30 at 5:00 PM ET /January 31 at 6:00 AM SGT /January 31 at 9:00 AM AEST. Subscribe to join the live earnings conference with management NOW!
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What do you expect from Intel's Q4 earnings? Will the company beat or miss the estimates? Make sure to click the "Book" button to get what Intel's management have to say!
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Intel Q4 2024 earnings conference call
Jan 31 06:00
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Once every four years, the US goes through a new presidential term. There has been a theory relating the presidential term to the stock market known as the Presidential Cycle Theory. Along the same vein, at the start of every year, investors look at how the stock market generally performs in January, leading to the theory of "January Effect".
Here, we explore the two seasonal effects and how the US stock market might be impacted in the y...
Here, we explore the two seasonal effects and how the US stock market might be impacted in the y...



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$Tesla (TSLA.US)$
Q1: Why was the bottom position determined to be between 367-383 range? Two reasons:
A. At the end of the year, foreign capital generally goes on vacation, resulting in insufficient volume for a counterattack. B. Based on the first reason, by the 8th day at the turning point without a counterattack and insufficient volume, generally the bottom needs to be broken, suppress oscillations, providing opportunities for profit-taking, and volume can easily be released.
*Therefore, it is inferred that the breakthrough point of the previous consolidation range will be used as the support (brown horizontal line in the picture)*
The night when the stock price fell below 410+, it indicates that once it drops below 410, many people will definitely sell at Ah Dai Valley. In just two short days, the main players executed a sell-off and a pullback, dropping from 410 to 373, then pulling back above 412. Many retail investors may not react in time, selling on the day it drops below 410, and the next day they may continue to hesitate to buy. However, the stock price ends up closing higher than 410. Could it be that they fell into Ah Dai Valley? Those who invest for the medium to long term can understand the inertia of retail investors. Even if you don't rush to sell, just wait patiently for one or two days, let the stock price reflect the sales data, which fundamentally does not have much impact on the holding cost. Only that one so-called "Stock God" keeps bragging about precise timing for entering and exiting, cursing on the day it drops below 410, but deleting the comments immediately when it bounces back the next day, which is fundamentally ridiculous.
$NVIDIA (NVDA.US)$
Q2: Why did they mention that NVIDIA is about to hit bottom and setting 135 as the stabilizing point to become the star stock of January?
A. Similar to Tesla, the turning point did not occur with significant trading volume on the 13th day, thus suppressing...
Q1: Why was the bottom position determined to be between 367-383 range? Two reasons:
A. At the end of the year, foreign capital generally goes on vacation, resulting in insufficient volume for a counterattack. B. Based on the first reason, by the 8th day at the turning point without a counterattack and insufficient volume, generally the bottom needs to be broken, suppress oscillations, providing opportunities for profit-taking, and volume can easily be released.
*Therefore, it is inferred that the breakthrough point of the previous consolidation range will be used as the support (brown horizontal line in the picture)*
The night when the stock price fell below 410+, it indicates that once it drops below 410, many people will definitely sell at Ah Dai Valley. In just two short days, the main players executed a sell-off and a pullback, dropping from 410 to 373, then pulling back above 412. Many retail investors may not react in time, selling on the day it drops below 410, and the next day they may continue to hesitate to buy. However, the stock price ends up closing higher than 410. Could it be that they fell into Ah Dai Valley? Those who invest for the medium to long term can understand the inertia of retail investors. Even if you don't rush to sell, just wait patiently for one or two days, let the stock price reflect the sales data, which fundamentally does not have much impact on the holding cost. Only that one so-called "Stock God" keeps bragging about precise timing for entering and exiting, cursing on the day it drops below 410, but deleting the comments immediately when it bounces back the next day, which is fundamentally ridiculous.
$NVIDIA (NVDA.US)$
Q2: Why did they mention that NVIDIA is about to hit bottom and setting 135 as the stabilizing point to become the star stock of January?
A. Similar to Tesla, the turning point did not occur with significant trading volume on the 13th day, thus suppressing...
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$Cardano (ADA.CC)$ xrp has fallen too far away.
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$Super Micro Computer (SMCI.US)$ This is much better than I expected, indicating that the super micro computer accounts are fine. If it exceeds expectations, that's when there's a problem. Everyone can rest assured and hold on to their stocks.
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Last night, a friend asked me what options are?
I responded: it may beThe lbx pharmacy chain joint stock can achieve financial freedom by seizing 2-3 opportunities, it could also be something that makes people loseTo lose everythingThis thing can be your thing as well.Tools for hedging risks.。
The key lies in your own mindset and way of playing.And this is the charm of options.
P.S.: This is last night $Tesla (TSLA.US)$ Finally cashed in gains from options last night. Today saw many big players sharing huge wins in the community. I may not have made the most profit or had the highest return, but staying up all night was worth it.
In options trading, there are many cases where buying an options contract results in a tenfold, twentyfold, or even hundredfold increase, allowing you to strive for 'financial freedom' with just a few dollars.
For example, in September, $PDD Holdings (PDD.US)$ Increased by over 5000% in one day. $Super Micro Computer (SMCI.US)$ with a maximum increase of nearly 8000% in 3 days.
How to find the upside potential among numerous options?
Opportunities to make money are rare. As a buyer, how to screen out options with upside potential in the complex options market? This article combines personal and friends' experiences to organize and share the following strategies:
1 idea + 2 indicators to quickly get started with options
1. The core difference between options and stocks:time equals money
Stocks: Buying at a high price will definitely not make any profit.
But options are different: even if the exercise price of the buyer is higher than the stock...
I responded: it may beThe lbx pharmacy chain joint stock can achieve financial freedom by seizing 2-3 opportunities, it could also be something that makes people loseTo lose everythingThis thing can be your thing as well.Tools for hedging risks.。
The key lies in your own mindset and way of playing.And this is the charm of options.
P.S.: This is last night $Tesla (TSLA.US)$ Finally cashed in gains from options last night. Today saw many big players sharing huge wins in the community. I may not have made the most profit or had the highest return, but staying up all night was worth it.
In options trading, there are many cases where buying an options contract results in a tenfold, twentyfold, or even hundredfold increase, allowing you to strive for 'financial freedom' with just a few dollars.
For example, in September, $PDD Holdings (PDD.US)$ Increased by over 5000% in one day. $Super Micro Computer (SMCI.US)$ with a maximum increase of nearly 8000% in 3 days.
How to find the upside potential among numerous options?
Opportunities to make money are rare. As a buyer, how to screen out options with upside potential in the complex options market? This article combines personal and friends' experiences to organize and share the following strategies:
1 idea + 2 indicators to quickly get started with options
1. The core difference between options and stocks:time equals money
Stocks: Buying at a high price will definitely not make any profit.
But options are different: even if the exercise price of the buyer is higher than the stock...
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U.S. Election & Stock Market
During U.S. presidential elections, financial markets often experience increased volatility. Key trends include:
1. Market Uncertainty: Investors may react to the uncertainty surrounding potential policy changes, leading to fluctuations in stock prices.
2. Sector Performance: Certain sectors may perform better depending on the candidates’ platforms. For example, healthcare and energy stocks might rea...
During U.S. presidential elections, financial markets often experience increased volatility. Key trends include:
1. Market Uncertainty: Investors may react to the uncertainty surrounding potential policy changes, leading to fluctuations in stock prices.
2. Sector Performance: Certain sectors may perform better depending on the candidates’ platforms. For example, healthcare and energy stocks might rea...

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