Sam Altman (CEO of Open AI):
"You no longer need to write prompts."
In just 38 minutes, he explains how to use ChatGpt at a level that most people can't even imagine.
It's talk he gave to stanford students. A friend sent me the recording last night.
After watching it, I realized I was only taking advantage of about 15% of what this tool can really do.
Watch it in full and then read the guide l leave below on how to create a system that prompts itself.
Space stocks continue to struggle to attract buyers in the current market environment.
$ASTS
$RKLB
$RDW
$SATL
$LUNR
$SIDU
$FLY
While AI infrastructure, software, and select large-cap tech names are attracting capital, the space sector remains largely out of favor despite strong long-term themes. The strongest opportunities often emerge when quality sectors are overlooked and sentiment is weak.
Peter Lynch to ktoś, od kogo powinno się zaczynać edukację giełdową. Punkt h) dość szybko stał się moją myślą przewodnią i pozostał ze mną, niezmiennie, przez lata.
Jak szybko sprawdzić najświeższe info o amerykańskiej spółce?
1/ wchodzimy do systemu Edgar na amerykańskiej stronie sec;
2/ wpisujemy "ticker", czyli symbol służący do identyfikacji spółki (np. AMZN);
3/ przy bardziej ruchliwych spółkach, raportów będzie wiele - programy akcyjne dla pracowników, zmiany pośród udziałowców, komunikaty prasowe, listy z komisją, raporty okresowe;
4/ aby ułatwić sobie zadanie, w polu "filing category", wybieramy "all annual, quarterly, and current reports";
5/ na liście szukamy ostatniego "10-Q" lub "10-K" (Q4 raportowane jest najczęściej razem z całorocznym raportem);
6/ w raporcie mamy klikalny spis treści. W nowych zakładkach otwieramy sobie:
-> "Financial Statements [...]", oraz
-> "Management’s Discussion [...]"
(powyższe mogą brzmieć niekiedy nieco odmiennie, ale co do zasady zawsze te pozycje będą zawierały dwa wskazane wyżej słowa).
7/ Management’s Discussion czytamy w całości. Dostajemy zwięzły kontekst do wyników finansowych, Board dzieli się z nami forward looking statements, opisuje zagrożenia.
8/ W financial statement poszukujemy liczb obrazujących nam performance firmy w danym okresie, wraz z porównaniem do roku go poprzedzającego:
-> revenue, net income;
-> cash, short-term assets & liabilities;
-> debt, debt to equity ratio;
-> fcf (free cash flow);
Po każdej stronie raportu mamy przycisk "Table of Contents", który pozwala nam szybko wrócić do spisu treści i łatwo nawigować po treści raportu.
Dla osób poszukującej pogłębionych insightów:
-> dużo ciekawych rzeczy odnaleźć można w załącznikach do raportów. Są tam uploadowane umowy, programy, regulaminy;
-> mogą to być np. regulaminy programów opcyjnych dla Boardu, które zdradzą, gdzie leżą incentivy;
-> mogą to być też np. zasady dystrybucji offeringów, które pomogą nam nawigować po price action w wolatywnych dniach;
The US has more foreign liabilities than assets. This did not matter because the US paid less on its bigger stock of liabilities than it earned on its smaller stock of assets. But this is no longer the case. For the first time in 50 years, the US will have a -ve income balance.
Jeśli ktoś się zastanawia, co to tak spada i spada ten #SPX i #NASDAQ, to tam nie ma komu robić buy the dip, bo wszyscy w ubiegłym miesiącu byli zapakowani pod korek, a poziom gotówki był najniższy od 15 lat.
So far in 2025, we've seen a run at the highs and a run at the lows. Following Friday’s end-of-the-month rally, we find ourselves somewhere in the middle. Who will prevail?
I believe the sellers will win the next few battles and likely take us back down. My reasoning is partly technical and partly based on intuition.
From a technical perspective, the market needs to close back above the year-to-date (YTD) Anchored VWAP, which is roughly 6020. I use that VWAP throughout the year as a key pivot, and over time, it has proven to be a reliable, simple tool for determining trends. Additionally, I keep an eye on the 2025 opening price in the ES contract, which is 5949. For the bulls to maintain control, they must hold above that level along with the AVWAP. If they fail, I expect volatility to pick up and for the market to head back to the lows.
For now, we’re holding above the 5949 level, as it was defended in overnight action. However, it remains a critical price to watch throughout the day to see how the action unfolds.
Now, for the intuition aspect. I’ve seen this movie before. Markets often make a high early in the year, and when they pull back to the opening range but fail to hold the YTD AVWAP in early March, they typically make a significant low during March or into April. I believe we’ll see a similar pattern this year. It’s not an exact science, but I don’t think this business is always that scientific. Many times, the best trades come from recognizing market environments and leveraging your strategy accordingly.
For now, that’s my approach to executing shorts. I’m not blindly shorting or taking random shots—I’m selling rallies and covering as we move lower while trying to maintain a short bias. That’s why I’m using options on futures, as they allow me to manage risk more effectively. Currently, I’m long some ES 5950 and 5900 puts expiring this week and next.
Where am I wrong on this trade? If we see consecutive daily closes above 6020, I’ll start covering shorts and reconsider my positions. One close above that level won’t necessarily take me out, but it will make me lighten up.
It’s all about being strategic and precise when executing your views in these markets. There will be times to step on the gas, but you should do so only when the market provides the right feedback. Until then, don’t fire too early—keep some ammo for when the real opportunity presents itself.
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Cheers, DELI
@BowesChay Just 3y later Soviet Union(Russia) and Germany signed The Ribbentrop-Molotov Pact,
secretly divided Poland by between them. This led to 🇩🇪invading 🇵🇱 on 1 Sep 39, and the Soviet Union invading from the east on Sep 17. 🇵🇱was quickly partitioned, marking the start of WWII.
One of the biggest imbalances in global markets is the massive size of long Euro short Yen positioning (blue). It's remarkable that this persists, since it's becoming increasingly clear that the intensity of ECB hikes was a mistake, even as the BoJ relaxes yield curve control...
Iran. Szef Najwyższej Rady ds. Koordynacji Mohsen Rezaei:
- "Wiele razy mówiliśmy, że trzy irańskie wyspy (Grand Tanb, Lesser Tanb, Abu Musa) nie podlegają negocjacjom"
- „Kontynuacja chciwości Emiratów nie leży w ich interesie i będzie mieć konsekwencje, a nieprzyjazne interwencje Rosji dotyczące integralności terytorialnej Iranu nie powinny być powtarzane . To nie Krym”.
@eli_barbur Czy może Pan skomentować czy dostarczenie jakichkolwiek systemów OPL przez Izrael jest realne? Czy Izrael jest potencjalne zainteresowany Irańskimi systemami używanymi przez RU w celu rozwoju własnych zdolności OPL?
Teaser/Cliffhanger 😱🚀🇵🇱
We will talk about Poland as a decent way to express a positive surprise to the European zombie apocalypse investment sentiment in The Macro Trading Floor tomorrow
Poland > Germany as production site
Great speech by Zelenskyy. He comes out well in English too. Ukraine must receive more arms. There is no time to wait. By defeating Russia Ukraine is improving security for all of Europe. Take your time to listen and please share the post.