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$Rigetti Computing (RGTI.US)$ 🚨🚨🚨🚨🚨🚨🚨🚨SHORT SQUEEZE UPDATE
Updated Short Squeeze Analysis for RGTI – Increased Short Pressure
1. Latest Developments Strengthening the Short Squeeze Potential
📌 Borrow Fee (CTB) Increased to 6.50%
• The borrow fee jumped from 5.84% to 6.50% as of 1:00 PM - 1:45 PM EST.
• A rising borrow fee suggests that short sellers are facing higher costs to maintain their positions.
• If this rate continues rising (above 10%+), it increases short pressure significantly.
...
Updated Short Squeeze Analysis for RGTI – Increased Short Pressure
1. Latest Developments Strengthening the Short Squeeze Potential
📌 Borrow Fee (CTB) Increased to 6.50%
• The borrow fee jumped from 5.84% to 6.50% as of 1:00 PM - 1:45 PM EST.
• A rising borrow fee suggests that short sellers are facing higher costs to maintain their positions.
• If this rate continues rising (above 10%+), it increases short pressure significantly.
...
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darthzazu
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I started my investment journey in June 2024 and the whole process was really a thrilling ride.
I started off with a lazy mindset of focusing on dividend, thinking that this was my silver bullet to passive income. Months passed, and I realized that that does not equate to good getting total returns. Furthermore, you get hit by 30% WHT for dividends of US stocks.
After a massive defeat of acquiring many dividend stocks with significant price erosion that resulted i...
I started off with a lazy mindset of focusing on dividend, thinking that this was my silver bullet to passive income. Months passed, and I realized that that does not equate to good getting total returns. Furthermore, you get hit by 30% WHT for dividends of US stocks.
After a massive defeat of acquiring many dividend stocks with significant price erosion that resulted i...
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darthzazu
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$FTSE Bursa Malaysia KLCI Index (.KLSE.MY)$ had a decent rebound back towards the 1591 points region with an overall mixed market sentiment as we still had almost 450 counters closing red for the day. Daily trading volume dipped slightly below the 3 billion mark, whish isn't a good sign.
Main stocks that showed strong buying momentum would be the likes of MYEG, PCHEM, UEMS, GAMUDA, SUNLOGY, IJM, AIMFLEX, DIALOG, MRDIY, TANCO, MNHLDG, and CBHB. All of wh...
Main stocks that showed strong buying momentum would be the likes of MYEG, PCHEM, UEMS, GAMUDA, SUNLOGY, IJM, AIMFLEX, DIALOG, MRDIY, TANCO, MNHLDG, and CBHB. All of wh...
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darthzazu
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The global steel industry is bracing for impact as the US government prepares to impose a 25% tariff on steel imports, set to take effect on March 12.
While Malaysia is not a major steel exporter to the US, the ripple effects could still be significant. Industries relying on steel—such as construction and automotive manufacturing—may feel the strain as prices fluctuate and supply chains adjust.
Key concerns:
1. Global tr...
While Malaysia is not a major steel exporter to the US, the ripple effects could still be significant. Industries relying on steel—such as construction and automotive manufacturing—may feel the strain as prices fluctuate and supply chains adjust.
Key concerns:
1. Global tr...
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darthzazu
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darthzazu
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$Bilibili (BILI.US)$ After I increase my position, I dare not hold on to it without selling; I know that as soon as I buy, it will definitely drop.
Translated
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darthzazu
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$Tesla (TSLA.US)$ Grok 3
Today’s Outlook
Given the pre-market context (no live data at 04:19 AM PST), Tesla stock leans cautiously bullish for February 20, 2025, based on its position above key moving averages, recent China sales boost, and technical setups favoring a potential upward break (e.g., $370 target). However, the stock’s high volatility (monthly average of 6.52%) and mixed fundamentals (e.g., contracting margins at 16.3% in Q4) introduce bearish risks, especially if it fails to hold $3...
Today’s Outlook
Given the pre-market context (no live data at 04:19 AM PST), Tesla stock leans cautiously bullish for February 20, 2025, based on its position above key moving averages, recent China sales boost, and technical setups favoring a potential upward break (e.g., $370 target). However, the stock’s high volatility (monthly average of 6.52%) and mixed fundamentals (e.g., contracting margins at 16.3% in Q4) introduce bearish risks, especially if it fails to hold $3...
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darthzazu
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