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insulator_king
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AG
M4 Benelli said:

insulator_king said:

What's going on with AEHR after hours? They did not make analysts projections for the quarter because it sounds like a couple large orders were delayed into the next quarter.

Thinking about buying a few shares during early trading tomorrow morning.


This thing loves to seesaw. I'm back in under $12. Going to see where the dust settles after a few days.
I ended up buying too early when it was still $12.5 during premarket.
Should have waited until market opened, when it went below $11.5. Ah well, 20-20 hindsight.
Heineken-Ashi
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Resistance remains stronger than support. Will be interesting if PPI delivers a higher high tomorrow morning or if we get ultimate failure.
zgolfz85
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took a quick swing profit on UVXY. this market is silly

also, took a quick profit on NVDA 1/31 option, but I'm too chicken to stay in it long. Lunch and dinner are covered today though
Heineken-Ashi
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zgolfz85 said:

took a quick swing profit on UVXY. this market is silly

also, took a quick profit on NVDA 1/31 option, but I'm too chicken to stay in it long. Lunch and dinner are covered today though


Set up is there for volatility to drop which would be positive for equities.
bhanacik
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what was the thesis on SIG? I set an alert if it got below 69 and it's significantly lower than that today

looking at the monthly chart, it looks like it's heading to 50, which is strong support
Heineken-Ashi
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POWL looks very weak here. If it's can't reclaim above $250, I'm starting to worry about $175
harge57
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Heineken-Ashi said:

POWL looks very weak here. If it's can't reclaim above $250, I'm starting to worry about $175
Pignorant
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Budget deficit rose in December and is now 40% higher than it was a year ago
flashplayer
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Pignorant said:

Budget deficit rose in December and is now 40% higher than it was a year ago


Is there an ETF for that?
TxAgLaw03RW
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FKD
gougler08
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HPP seems to have a really set floor at $2.40 with a hard bounce up today
AgEng06
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gougler08 said:

HPP seems to have a really set floor at $2.40 with a hard bounce up today
You down with HPP?
BucketofBalls99
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AgEng06 said:

gougler08 said:

HPP seems to have a really set floor at $2.40 with a hard bounce up today
You down with HPP?

Yeah you know me!
BucketofBalls99
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Sounds like CPI tomorrow may spook things. Let's hope that's not the case
aggies4life
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Thoughts on fmcc & fnma? Both have moved a ton recently
ProgN
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bhanacik said:

what was the thesis on SIG? I set an alert if it got below 69 and it's significantly lower than that today

looking at the monthly chart, it looks like it's heading to 50, which is strong support
When the dust clears, hopefully below $50, I will be a adding a good position in $SIG for a LT hold.
bhanacik
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Thanks Prog, I'll keep it on watchlist
spud1910
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Good to see you here. I was kinda worried F16 might be too much this week.
Jim
ProgN
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spud1910 said:

Good to see you here. I was kinda worried F16 might be too much this week.
Nope, I really haven't even engaged there either. I'm just being patient and watching the 10 yr yield. If that thing hit's 5% then stocks could be in significant trouble. Imo
BucketofBalls99
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Quote:

. I'm just being patient and watching the 10 yr yield. If that thing hit's 5% then stocks could be in significant trouble. Imo

That's what worries me
ProgN
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BucketofBalls99 said:

Quote:

. I'm just being patient and watching the 10 yr yield. If that thing hit's 5% then stocks could be in significant trouble. Imo

That's what worries me
If Trump's DOGE commission doesn't come through with some significant cuts, then the bond vigilantes will send it way over 5% imo.
BucketofBalls99
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Heineken-Ashi said:

In on NVDA, stop $129, target $160-$170

If CPI is technically ok, but the market takes it the opposite, I'm guessing the $129 target will get broken? If it's anything like these past couple of news pieces, I think NVDA took about a $4-$6/share hit. Fingers crossed for the best!
Heineken-Ashi
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BucketofBalls99 said:

Heineken-Ashi said:

In on NVDA, stop $129, target $160-$170

If CPI is technically ok, but the market takes it the opposite, I'm guessing the $129 target will get broken? If it's anything like these past couple of news pieces, I think NVDA took about a $4-$6/share hit. Fingers crossed for the best!
I don't really care much for economy metrics that haven't told us a damned thing meaningful in years and are lagging indicators in the rare instance they do mean something. Just the parameters for the trade.

You can build any narrative you want. All that does is get your internal bias rowing in one arbitrary direction. I try to avoid narratives and focus on what the chart is telling me. My stop is the level I'm no longer willing to be wrong.
CheladaAg
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ProgN said:

spud1910 said:

Good to see you here. I was kinda worried F16 might be too much this week.
Nope, I really haven't even engaged there either. I'm just being patient and watching the 10 yr yield. If that thing hit's 5% then stocks could be in significant trouble. Imo


At this point the market has lost faith in the Fed and is detaching itself from the 10 yr yield.
FishrCoAg
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CheladaAg said:

ProgN said:

spud1910 said:

Good to see you here. I was kinda worried F16 might be too much this week.
Nope, I really haven't even engaged there either. I'm just being patient and watching the 10 yr yield. If that thing hit's 5% then stocks could be in significant trouble. Imo


At this point the market has lost faith in the Fed and is detaching itself from the 10 yr yield.


Spoken with authority. Any evidence?
CheladaAg
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FishrCoAg said:

CheladaAg said:

ProgN said:

spud1910 said:

Good to see you here. I was kinda worried F16 might be too much this week.
Nope, I really haven't even engaged there either. I'm just being patient and watching the 10 yr yield. If that thing hit's 5% then stocks could be in significant trouble. Imo


At this point the market has lost faith in the Fed and is detaching itself from the 10 yr yield.


Spoken with authority. Any evidence?


Stocks to bonds institution allocations are still lowish when we're only a few % points from 5% yield.
Heineken-Ashi
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ALL - $155-$168 by April.

Heineken-Ashi
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Heineken-Ashi said:

Watch XLRE now. It's slightly below my ideal bottoming area, but if 4hr MACD can turn up, I might go long with a considerable share position looking for $45 region in late January - mid February, and $50 region in March/April. This likely doesn't happen without TLT reversing to the upside and bond yields topping and rolling over. And speaking of TLT, we are nearing oversold conditions that have pretty routinely led to considerable bounces and often times, some relatively quick short squeezes.
In
EnronAg
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markets ripping on expected CPI across all metrics...I guess it was clinching up on some hot numbers that the admin faked one last time on their way out the door
txaggie_08
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Inflation less than expected, stonks soar
confucius_ag
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SPY 590P?????? Fade it?
BrokeAssAggie
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We going to sizzler tonight
Heineken-Ashi
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Watching $68-$71 resistance pivot for PLTR. As long as below that, I favor one more drop to $60, then BUY with target $95+. If you can stomach that potential drop, you can jump in now and hope for the best. I'm going to wait.
MROD92
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I apologize for my ignorance, can someone explain SVMH to me, pre market was under 3 cents, now it's over a dollar but still red
GreasenUSA
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MROD92 said:

I apologize for my ignorance, can someone explain SVMH to me, pre market was under 3 cents, now it's over a dollar but still red
https://www.otcmarkets.com/stock/SVMH/news/story?e&id=3100988
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