- Entry
- $307.69
- Final
- $345.29 +12.2%
- Target
- —
- Score
- +1.00
I'm holding GOOGL, LLY, META, MU, MSFT and NVDA. Revenue growth and operating margin are great. Projected revenue growth is great. Valuation is cheap in my model. I'm up about 13% YTD and 46% last year. But its always the same pattern--the stock rises up to the earnings release then tanks after good news. I'm a long-term investor so I'm not trying to get into the trading game. Just venting. If we get rid of quarterly reporting the volatility between …
— ORIGINAL POST ·
I am so sick and tired of how stocks drop after blowout earnings announcements.
· r/investing
· Mar 19, 2026