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$Invesco QQQ Trust (QQQ.US)$ $NVIDIA (NVDA.US)$ $Tesla (TSLA.US)$ U.S. stocks: Tesla's brakes have failed, causing panic selling. Is a bear market starting? The key is here【2025-03-10】🎈For more analysis, feel free to follow the YouTube channel: JM U.S. Stock Technical Analysis.
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$Tesla (TSLA.US)$ Closing short position at 352.93.
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$Tesla (TSLA.US)$Fight, fight, fight! Defeat the short sellers!
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$Tesla (TSLA.US)$ the comeback will be shocking .trump and musk they will be hand in hand for the next 4 years guys. just dont panic . you never know elon’s move.
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A brief review: Let's talk about yesterday's bet on Earnings Reports in AMD and Google. In fact, the predictability of Earnings Reports is sometimes unpredictable, so we can only roughly determine whether it will rise or fall based on years of experience. Therefore, considering that Meta's Earnings Reports were good, I naturally felt that Google's Earnings Reports should also be good, so I chose to Call. As for AMD, in the next few months to a year, whether it's financially or in terms of future product value, it's not looking good. Therefore, the probability of Put is higher. As everyone saw today, both went down, fortunately I guessed one correctly, preventing me from incurring losses. However, I must emphasize the high risks of Earnings Reports, so do not follow blindly.![]()
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Furthermore, today I actually noticed a trend in AMD for intraday trading, so I bought Call Options for AMD an hour after the market opened. However, because AMD was too indecisive, exhausting my patience, I chose to take profit and exit in a situation of small profit (almost no profit). It now seems like a wrong decision as I sold prematurely, missing out on approximately 30% profit (slowly wondering why I was so impatient, what was the reason behind it?). In fact, I had already planned to Call AMD before the market opened today, maybe because I rarely trade this stock, my confidence in it is really lacking.![]()
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Another example is the trade today that wiped out profits: I saw tsla falling by 1% before the market opened, but in fact there was a supporting situation yesterday during trading hours, so I naturally thought that 380 had been defended...
Furthermore, today I actually noticed a trend in AMD for intraday trading, so I bought Call Options for AMD an hour after the market opened. However, because AMD was too indecisive, exhausting my patience, I chose to take profit and exit in a situation of small profit (almost no profit). It now seems like a wrong decision as I sold prematurely, missing out on approximately 30% profit (slowly wondering why I was so impatient, what was the reason behind it?). In fact, I had already planned to Call AMD before the market opened today, maybe because I rarely trade this stock, my confidence in it is really lacking.
Another example is the trade today that wiped out profits: I saw tsla falling by 1% before the market opened, but in fact there was a supporting situation yesterday during trading hours, so I naturally thought that 380 had been defended...
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$Tesla (TSLA.US)$ we’re going to Mars tonight!
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$Tesla (TSLA.US)$ There are still so many people stubbornly holding on. Not being able to stand above 385 is already quite weak. Isn't it better to trade in waves, selling high and buying low?
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$PayPal (PYPL.US)$ options volume jumped Tuesday as the stock headed for its worst slump in about a year after the company's outlook signaled a slowdown in transaction margin growth.
More than 346,000 call and put options were traded as of 1:06 p.m. in New York, landing PayPal in the sixth slot for the most active stock options, behind $NVIDIA (NVDA.US)$, $Palantir (PLTR.US)$, $Tesla (TSLA.US)$, $Apple (AAPL.US)$ an...
More than 346,000 call and put options were traded as of 1:06 p.m. in New York, landing PayPal in the sixth slot for the most active stock options, behind $NVIDIA (NVDA.US)$, $Palantir (PLTR.US)$, $Tesla (TSLA.US)$, $Apple (AAPL.US)$ an...



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