Posts
When TRNR going back to ATH
https://preview.redd.it/mzyqaouof7dh1.png?width=1249&format=png&auto=webp&s=8a10d3c8663c0c13d887ed7f9ad009af2c955266 If you want to make 18.5 mm with one $3.3 share only, this may be your huckleberry. I got a good feeling about it.
MicroVision Launches MicroVision Semiconductor to Expand Advanced ASIC Development and Mixed-Signal Design Capabilities :: MicroVision, Inc. (MVIS)
Thoughts on PMVP?
Sorry about AI Slob but I couldn't do better \*\*PMV Pharmaceuticals (NASDAQ: PMVP) — Quick Overview\*\* \*\*Company:\*\* PMV Pharmaceuticals \*\*Ticker:\*\* PMVP (NASDAQ) \*\*Founded:\*\* 2013 \*\*Headquarters:\*\* Princeton, New Jersey, USA \*\*Market Cap:\*\* \\\~US$60–70 million (small-cap biotech) \*\*Sector:\*\* Biotechnology / Precision Oncology \*\*Focus:\*\* Developing targeted cancer drugs that restore the function of …
NVDA target price raised to $330 from $310. Up in premarket. What we thinking gang?
INTC dropped 6% and the options flow looked "bullish" on paper. It wasn't.
INTC closed down 6.12% on 101 million shares. Calls outnumbered puts roughly 3:2, and a bunch of people called it dip-buying. ngl I almost fell for that too. The thing is, raw call-to-put ratio tells you almost nothing on its own. You need to know when those contracts were opened …
$MU keeps showing up on my radar, anyone else watching this closely?
https://preview.redd.it/fwwixq0av5dh1.png?width=1098&format=png&auto=webp&s=e2e711b654b921d0a0f25907f477420fb351a934 Been tracking Micron for a while now and this week it came up again in the moomoo community feed under the P&L share section. High engagement, 19K views on what looked like a pretty straightforward position post. The memory chip cycle has been the kind of trade where timing …
ASML earnings July 15, put/call ratio above 1.3, should I be worried about my calls?
Been holding $ASML calls into earnings and ngl the 1.30 put/call ratio is making me sweat a little. Q2 numbers the street is watching: \~€8.85B revenue, \~52% gross margin, \~€2.64B net profit. The gross margin is actually down year over year which feels a bit sus for a company everyone …
10yr bond yields (4.6%) have started to breakout and are likely heading towards in 6% range thereby compressing SPX P/E ratio down to 16 (currently 21.3)
First purchase ever as a poor man, I had like 80$ left a couple of weeks ago. I blindly followed some online advice and invested that in this. Did I do good or am I cooked?
I have no idea if it's working, I don't really understand the platform that much. Would appreciate some takes on my decision. Don't really know the lingo that well, don't know if my money is good or probably lost. Sorry to bother you all. I don't know what I did. …
Gold and Sliver Stocks
Both GLD and SLV stocks have erased all the gains from this year and are now down about 10% YTD. Does anyone think with the FED expecting to either hold rates steady or raise it end of the month there will be a rebound?