$Snowflake (SNOW.US)$ Many people believe that there will be a partial correction tomorrow, but is it possible that on Friday, the options expiration day, market makers will frantically buy stocks to make up for the shortfall, continue to drive the rise, and those who started short selling will instead be forced to cover their positions due to gamma squeeze, further triggering a short squeeze.
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$SoundHound AI (SOUN.US)$ No need to guess brothers, it's definitely a battle between the longs and the shorts today. looking at this promising quterly report, no need to sell. Diamond hand!!! The negative factors in those reports were just a drop in gross margins and operating losses, but come on, as a company that's still openning up the market, everyone knows they're going to have to keep spending money if they're going to be able to do more business and generate better revenue in the future. ...
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$Upstart (UPST.US)$ Why has the senior management of this stocks been selling stocks so frequently during this period? Oh my.
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$SoundHound AI (SOUN.US)$ I now firmly believe that this is manipulation by the bears or because the price rose too much in the previous period, there is a lack of support in certain metrics: 1. The short-selling ratio reached 24.54% today. 2. The negative factors in those financial reports are nothing but the decline in gross margin, operational losses, but as a company still expanding in the market, everyone knows that in order to develop more business and create better revenue in the future, they must continue to spend money. Moreover, their company holds $0.136 billion in cash and cash equivalents. In other words, they are still not a debt-laden company, so the current losses are reasonable, especially since the fundamentals are improving in a way beyond expectations.
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$Upstart (UPST.US)$ time to short
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$Affirm Holdings (AFRM.US)$ I really don't understand why the stock dropped so much even though the financial report beat almost all metrics.
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$Affirm Holdings (AFRM.US)$ Is it the market maker who is manipulating the market by placing such l orders?
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$Upstart (UPST.US)$ The financial report is coming out tomorrow. I don't quite understand: the announcement shows that various executives sold their stocks at the end of October and on November 1st. If they really think the financial report is good, why not wait until the report is released before selling?
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