THIS HAS MARKED EVERY MAJOR BUYING & SELLING OPPORTUNITY SINCE 1990
Dot-Com Crash.
Global Financial Crisis.
COVID Crash.
2022 Bear Market.
2025 Tariff Selloff.
The $VIX is Wall Street’s fear gauge.
If you trade $SPY or $QQQ, you need to understand it.
VIX below 20: TRIM / REDUCE RISK
VIX 20–30: HOLD
VIX 30–40: START BUYING
VIX above 40: BUY THE PANIC
RIGHT NOW: VIX 14.25
We’re in the low-volatility zone.
Let winners run, but don’t chase. Trim extended positions and keep cash ready for the next volatility spike.
Buy when others are fearful. Sell when they are greedy.
WHAT I DO EVERY WEEKEND THAT HELPED ME MAKE MY FIRST $1,000,000 TRADING.
I’m doing it again right now trying to set up another $25,000 week.
Before Monday, I scan the money flows:
$SMH - Semiconductors
$DRAM - Memory
$EUV - Photonics
$IGV - Software
$CIBR - Cybersecurity
$WGMI - HPC
$DTCR - Data Centers
$BOTZ - Robotics
$ARKX - Space
$NLR - Nuclear
$QTUM - Quantum
$XLF - Financials
$XLV - Healthcare
$XLE - Energy
$IWM - Small Caps
Then I ask:
What is making new highs?
What is holding the 8/21 trend?
What is outperforming $SPY and $QQQ?
Where is money quietly rotating?
Then I find the strongest stocks inside the strongest ETFs.
I don’t wake up Monday searching for random trades.
I already know exactly where I’m looking.
Do this before Monday.
NVIDIA was $10 in 2022. Palantir was $8 in 2023. Both went up 20x times.
While everyone’s buying the same popular tech stock, there are 5 companies NOBODY is talking about that could hit similar returns.
Here's what they are + why I believe this:
1) NANO Nuclear Energy (NNE)
Twenty years ago, Palantir was a new entrant.
Today, we stand with some of tech’s biggest and emergent players to reject a future where a select few closed, frontier models rule them all.
Sovereignty and prosperity require American leadership in a strong open-weight AI ecosystem that strengthens competition, keeps customers in control, and drives the benefits of ingenuity across the economy.
RSI > 80 on a daily chart = Buy a put OR Sell a call
RSI < 30 = Buy a call or Sell a put
But…
The most important factor is TIME
Buy Options = 3 to 24+ months
Sell Options = 7 to 42 days
When you learn this concept your returns will improve
Always exceptions
💰🔥
For my first post, I’m sharing a letter @NVIDIA signed on why open models matter.
AI will transform every industry, power every company, and be built by every country.
Open models strengthen safety and cybersecurity, accelerate innovation and diffusion, and enable sovereignty.
The world needs both frontier closed models and frontier open models.
https://t.co/AUKzoQ5Ikb