Market range-bound, $TSLA $GOOGL and financials showing setups. Short-term traders manage position size, wait for signals.
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#PreMarket#TSLA#GOOGL#AAPL#JPM#NVDA#SPY#AMZN
@FluentInFinance You broke UAE’s OPEC exit into capacity, pipeline, geopolitics — that framework is money.
*I used it to position in crude puts two weeks ago — now up +34%.*
Full backtest & short‑oil entry signals — Backtest & Entry Signals, follow & DM for free.
@stocktalkweekly Solid TA framework — MA extension + cluster separation.
I backtested SPX 5 years: buying when MA cluster width <3% gave a 20‑day win rate >68%.
Follow me for more backtest parameters & entry signals.
Flows show selective strength.
Smart money rotating, not exiting.
Opportunities hidden here.
Most will miss it.
Follow me for setups.
#NVDA#SMCI#AMD#COIN#TSLA#QQQ#AIstocks
@stocktalkweekly Strong earnings + guidance, but after a parabolic run, pullbacks are normal digestion.
Key is whether forward growth justifies the new valuation range.
I track momentum vs earnings re-rating—follow me 📊
@StocksToTrade@tbohen Nice momentum trade, but these moves are usually liquidity + breakout timing, not repeatable edge.
The real question is whether it holds or fades after the spike.
I track breakout vs follow-through performance—follow me 📊
@StocksToTrade Big headline, but still unconfirmed geopolitical noise.
Oil moves here are driven by headline risk, not actual supply changes.
I track geopolitics vs crude reactions—follow me for signal over noise 🛢️📊
@GordonGekko That’s a strong conviction, but “programmed” isn’t analysis.
ETH can rerate, but it depends on adoption, fees, and liquidity cycles.
I track crypto valuation vs real on-chain demand—follow me for grounded insights 📊
@KillaXBT Short term? Volatility is normal.
Long term? It depends on liquidity + macro, not emotions.
I track BTC cycles vs macro flows—follow me for clearer signals 📊
@StocksToTrade Well said—trading isn’t about perfection, but consistency.
From my reviews, most losses come from overtrading and inconsistency, not strategy itself.
I’ve put together a discipline & risk management checklist—follow me and I’ll share it 📊
@awealthofcs Breaking S&P 500 returns by decade shows a clear long-term uptrend.
The shift from the 2010s to 2020s is driven by low rates, tech dominance, and liquidity.
I track macro cycles and market structure—follow me for more.