Posts
Setting stop when gapping up
Have my stop in MRVL set to 195. After it gapped up today, not sure of where to set my stop. Lowest close today was 200.58 and don't want to get stopped out before earnings tomorrow. Scared that if I move my stop up the universe will punish me for …
Did I cook w this?
Recently have a 3h yap session with Claude on the way to the airport, asked it to summarise conclusions into a framework PDF. Very interested to see if anyone disagrees with me.
Where to trades come from?
Where does everyone get credible trade ideas from? I have multiple screeners built. I don’t mean that. But rumors and fundamental reports. I work full time with a family I don’t have the time to dig into companies like a pro. Do people subscribe to newsletters or something? I use …
$AZO (Autozone) post earnings bounce
Autozone earnings just dropped and the stock dumped 11% down to around $3000. I view this as a buying opportunity. There are several supports along this level, namely the weekly and monthly moving averages. RSI is also oversold at 27. [AZO at 200 weekly MA](https://preview.redd.it/mcis7l1v2i3h1.png?width=1851&format=png&auto=webp&s=ec0a9dd9e709d46bcf91ceb98c79734a97bb1ddc) [AZO at 50 monthly MA](https://preview.redd.it/9nd2i5213i3h1.png?width=1852&format=png&auto=webp&s=fc483bdc3e1285fac22f6965385f278e9c4ed92b) …
Bull Flag in $WEST
Hello dear traders, I am currently having $WEST under my watchlist because of its consolidation phase in what is, in my eyes, a clear bull flag. [$WEST chart](https://preview.redd.it/fuyixnvjrh3h1.png?width=2253&format=png&auto=webp&s=e37dba418e3cc0785c3c7b5c3149c72f7025eca0) Based on my judgment, I wait till the price bounces above $8.8 with an expected price target around $11.35. This target is …
HLX (Helix Energy Solutions): Chart looks constructive. Fundamentals don't. Full SEPA breakdown.
Best crypto testnet for spot + futures simultaneous trading that actually mimics live conditions?
Sticking with QB 500 Model (Top 500 market cap)
QB500 Picks from last week and today. 3-4 day Model. Just keep rolling cash into this model after selling out of Energy Last week. Still own the stocks from Thursday that I'll trim, and want to raise cash later this week. But for the next few days, risk on. $RKLB …
Your bread n butter?
Things have been wanky in fx since the whole Straight of Hormuz situation. took a few losses and also been sitting on my hands a bit. Want to begin looking elsewhere for more diversification wonder what is working for you now and is sort of your goto for swing trading? …
Oil below $100, Hormuz reopening — rate cuts incoming. What's your play?
Trump says Iran ceasefire talks going well. Hormuz reopens 30 days post-deal. Oil cracked below $100. Chain: Lower oil → lower inflation → rate cuts accelerate → risk assets breathe. Gold – Testing 4600.Dollardown.Warpremiumout,rate−cutpremiumin.4600.Dollardown.Warpremiumout,rate−cutpremiumin.GLD Airlines – Jet fuel = 25-30% of costs. Oil down = margin expansion. DAL(quality)/DAL(quality)/AAL (leverage) Quantum …