ADANI GREEN, 45% SHORT TRADE CAUGHTADANI GREEN Trade Overview:
Adani Green saw a sharp 45% drop on the 4-hour timeframe, perfectly captured by the Risological Swing Trading System . This short trade setup successfully achieved all profit targets, providing traders with a significant opportunity to capitalize on the bearish momentum.
ADANI GREEN Key Levels:
TP1: 1789.10 ✅
TP2: 1602.55 ✅
TP3: 1415.95 ✅
TP4: 1300.65 ✅
ADANI GREEN Technical Analysis:
The entry was confirmed at 1904.45 as the Risological Red Lines indicated strong downward pressure. Adani Green continued to follow this bearish trend with no signs of reversal, allowing for precise execution of all targets. Traders who maintained their positions benefited immensely from this clear and systematic setup.
The final breakdown past TP4 marked the culmination of the trade, further affirming the system's accuracy in identifying reliable entry and exit levels.
The strategic placement of the stop-loss at 1997.70 ensured risk management was intact throughout the move.
Stockstosell
AFRM Affirm Holdings big puts addingLast time, AFRM puts were profitable:
This week, Affirm Holdings (AFRM) saw a notable increase in the acquisition of puts with a November 3rd expiration date, set at a $17.50 strike price with a premium of $0.67.
Affirm operates within the "buy now, pay later" model, which has also been dubbed as "pay never" by some analysts.
However, it's worth noting that AFRM currently operates as an unprofitable venture, and its current valuation may be perceived as inflated.
I'm eager to hear your perspective on this matter!
ANALYSIS ON AMDDear Traders and Investors,
I'm sharing with you this analysis on AMD to tell you to close your position if you're holding a long trade, as you can see in the chart, the price pulled back on the 0.5 level of the fib and gave us a confirmation, now it's heading towards the 0.6.
For further question, don't hesitate to ask!
ANALYSIS ON NVDADear Investors and Traders,
I'm sharing with you this analysis on NVDA to let you know that the price will come down after the squeeze it made in October, if you're holding as an investor close your position and take your profits, and if you're trading there's no point of taking long trades on NVDA currently.
For further questions, don't hesitate to ask!
RH Options Ahead of Earnings If you haven`t bought RH here:
Then analyzing the options chain and the chart patterns of RH prior to the earnings report this week,
I would consider purchasing the 320usd strike price Puts with
an expiration date of 2023-9-15,
for a premium of approximately $0.98.
If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
Looking forward to read your opinion about it.
ZM Zoom Video Communications Options Ahead Of EarningsIf you haven`t entered ZM here:
Or sold here:
Then analyzing the options chain and the chart patterns of ZM Zoom Video Communications prior to the earnings report this week,
I would consider purchasing the 66usd strike price Puts with
an expiration date of 2023-8-25,
for a premium of approximately $3.45.
If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
Looking forward to read your opinion about it.
GTX Garrett Motion Options Ahead of EarningsAnalyzing the options chain and the chart patterns of GTX Garrett Motion prior to the earnings report this week,
I would consider purchasing the $7.50 strike price Puts with
an expiration date of 2023-8-18,
for a premium of approximately $0.40.
If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
Looking forward to read your opinion about it.
WGO Winnebago Industries Options Ahead of EarningsAnalyzing the options chain of WGO Winnebago Industries prior to the earnings report this week,
I would consider purchasing the 65usd strike price Puts with
an expiration date of 2023-7-21,
for a premium of approximately $3.45.
If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
Looking forward to read your opinion about it.
CHWY Chewy Options Ahead of EarningsIf you haven`t bought CHWY here:
or sold it here:
then Analyzing the options chain of CHWY Chewy prior to the earnings report this week,
I would consider purchasing the $29.5 strike price Puts with
an expiration date of 2023-6-2,
for a premium of approximately $1.29
If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
Looking forward to read your opinion about it.
AMGN Amgen to buy HZNP for $27.8 BillionAMGN Amgen to buy HZNP Horizon Therapeutics for about $27.8 billion.
This huge spend could trigger a selloff in AMGN Amgen stock after earnings.
It`s speculative, but looking at the AMGN Amgen options chain ahead of earnings , I would buy the $240 strike price Puts with
2023-2-17 expiration date for about
$2.75 premium.
If the options turn out to be profitable Before the earnings release, I would sell at least 50%.
Looking forward to read your opinion about it.
JEF Jefferies Options Ahead of EarningsLooking at the JEF Jefferies Financial Group options chain ahead of earnings , I would buy the $37.5 strike price at the money Puts with
2023-1-20 expiration date for about
$1.30 premium.
If the options turn out to be profitable Before the earnings release, i would sell at least 50%.
Looking forward to read your opinion about it.
ENV Envestnet My Top Short Stocks for 2023Looking at the ENV Envestnet options chain, I would buy the $45 strike price Puts with
2023-5-19 expiration date for about
$1.10 premium.
If the options turn out to be profitable Before the earnings release, i would sell at least 50%.
Looking forward to read your opinion about it.
BILI Bilibili Options Ahead Of EarningsLooking at the BILI Bilibili options chain ahead of earnings , i would buy the $11.5 strike price Calls with
2022-12-2 expiration date for about
$0.55 premium.
If the options turn out to be profitable Before the earnings release, i would sell at least 50%.
Looking forward to read your opinion about it.
DLO"our research leads us to believe that DLO is likely a fraud"November 16, 2022, Muddy Waters Research: "our research leads us to believe that DLO is likely a fraud. We also have concerns over its disclosures about, and controls of, client funds."
DLO DLocal Limited is a technology-first payments platform enabling global enterprise merchants to connect with billions of consumers in emerging markets headquartered in Montevideo, Uruguay.
Muddy Waters Research: "we found a series of lies that the company has told, along with accounts it has altered to corroborate the lies. This series of lies had to do with disguising the timing of an option exercise and the source of funding for that insider option exercise. Absent the most glaring level of incompetence, these account alterations should point to fraud."
DLO DLocal Limited reminds me of Wirecard WDI in 2020. It was the pride of the German fintech, included in DAX30. a lot of people were buying WDI on its was down, thinking about a reversal, a buyout or a bailout from the authorities. German prosecutors have charged Wirecard's former chief executive Markus Braun and two other high-ranking managers for the colossal commercial fraud that led to the collapse of the payment company.
But financial fraud in payment companies usually ends with bankruptcy.
DLO DLocal Limited`s IPO was on June 2, 2021, at $21. Most of the companies that were listed last year or IPOs are now trading at a huge discount, but not DLO, which today traded at the same IPO price.
Today DLO went from $20.94 to $10.29, but if the accusations turn out to be true, then i am ready to see $1, or even less.
The market cap of DLO is still high in my opinion, $3 Billion!
Even without this report, my price target would be around $8.
Looking forward to read your opinion about it.
V Visa exposure to Russia and UkraineVisa and Mastercard restricted transactions in Russia as aggressive penalties on the country over the invasion of Ukraine.
Around $1.2 billion of Visa Inc.’s annual net revenue comes from Russia and Ukraine.
4% of Visa’s total net revenue comes from Russia and about 1% from Ukraine.
In this case, my price target for the stock is the $187 resistance, while the sell-off area could touch $174 - $183.
SSTK Shutterstock from a contributor perspectiveI think this stock is about to plunge from a massive Head and Shoulder Bearish Chart Pattern.
I am a contributor on Shutterstock from the time they were publicly listed and in the last years they changed the tiers in order to keep more for themselves and give less and less to the contributors. The earnings for contributors are now at the 2015-2016 low, people that i know are not interested to post on Shutterstock anymore.
The picture sales are decreasing massively for contributors and i think that will reflect in the April 28 earnings call. I will buy some puts.
Other rival companies like Pond5 and Adobe Stock gained momentum and are starting to sell equal or better than Shutterstock recently. A lot of contributors that i know moved to those platforms.
My opinion is that the stock will drop to the $62 level and do a dead cat bounce before going to $42, which is a realistic target considering the contributors conditions right now.
T Mobile Stock Analysis | Long term sell-off startedT Mobile Stock Analysis | Long-term sell-off started. T Mobile offers voice, messaging, and data services to 108.7 million customers in the postpaid, prepaid, and wholesale markets. The long-term sell-off started after reaching the strong supply imbalance located at $141. We could see T mobile stock price dropping to $63 and even more. Stock prices do not move in straight lines. We will probably see a few pullbacks in T Mobile stock price that will allow us to use bearish stock and stock options strategies to take advantage of this huge potential sell-off happening on T Mobile stock. The sell-off started at the beginning of September 2022.