$VIRT

提及 20 首次 2025-09-29 最近 2026-04-12

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  1. 说 VIRT 现在不早不晚,仍有意义。

    @LawrenceKenshin 现在说已经不早了,但在 $VIRT 上也绝对不算晚。过去 3 个月已经涨了 40%+,那本来就是 1000%+ 的回报。 我大概不会建仓,不过就当下一次参考吧。

    英文原文

    @LawrenceKenshin not early anymore, but definitely not late on $VIRT. Already up 40%+ last 3 months, which would have been 1000%+ returns. probably not taking positions, but just for next time i guess.

  2. 2026-04-12 方法论 $VIRT

    提到美军封锁霍尔木兹海峡,并想到 VIRT。

    美国海军要封锁任何试图进出霍尔木兹海峡的船只。 我不太确定这里的计划是什么? 不管怎样,我完全忘了去买像 $VIRT 这种做市商的看涨期权。 因为在这种环境下,他们大概率会一边欢呼一边从更高波动率中获利……

    英文原文

    The US navy to blockade any ships trying to enter or leave the Strait of Hormuz. Not quite sure what the game plan is here? Regardless, I completely forgot to take call options on market makers like $VIRT. Since they are probably cheering and profiting off of increased volatility in these environments…

  3. 博主复盘近期看错方向的高确信度标的,分析原因并重申长期逻辑。

    通常我在短期时间框架上会出错,但在任何高确信度的方向上我始终是正确的。 最近主要犯错的三个案例是:$LTC ETF 催化剂判断失误,即使获批后也从 $113 跌至 $82.5。这可能是最奇怪的事情之一,尽管政府停摆期间获批概率高达 95% 却遭遇延迟,随后又在停摆期间随机获批(连我都不知道),然后随大盘高贝塔抛售而暴跌。 另一个是 $SG,我认为它会从 $7.5-$8.3 反弹,但现在是 $6.3,消费品领域存在巨大的熊市。因此它受到了 $CMG、$CAVA、$KRUS 等抛售的影响。 最后一个是 $VIRT,尤其是现在市盈率仅为 7 或类似的荒谬水平。他们发布了财报,每股收益 $1.05 对比预期 $0.97-$1.04(超预期),营收 $4.67 亿对比预期 $4.184 亿-$4.497 亿(超预期),但依然被抛售。(这更多是一种非对称对冲),但即使基本面如此,我也不明白为什么它的市盈率约为 7.5。人们总说 X 是一只伟大的价值投资股票,交易市盈率约为 15,而这是个位数市盈率(但更受零售交易活动的周期性影响,不过 $HOOD 正在报告创纪录数据,所以应该是一个很好的代理指标)。 对我来说这仍然是一个极端的谜团……我认为它被低估了,尤其是考虑到回购,可能会成为另一个 $UPWK。 其他像核能 SPAC 之类我为了好玩买的,属于半赌博的迷因股,所以下跌更容易理解。通常如果我背后有论点支撑,那么准确率会更高。 像 $SNAP、$FLY 和其他一些我坚持是 2026 年布局的股票,短期并不重要。像 $WLAC 这类是 IPO 催化剂交易,所以在其低流通盘 SPAC 阶段的高贝塔波动在事件发生前意义不大。

    英文原文

    Usually only on short term time-frames I'm wrong but I've always been directionally right for anything higher conviction. Recently main three were I got wrong were the $LTC ETF catalyst wrong, even after approval it dropped from $113 -> $82.5. Probably one of the weirdest things since it got delayed even despite 95% approval odds from gov shutdown then randomly approved during shutdown (and even I didn't know about it). Then just tanked on broader market high beta sell offs. The other was $SG, thought it would rebound from $7.5-$8.3 or so but it's $6.3, there's a huge bear market on anything consumer. So it got affected by $CMG, $CAVA, $KRUS, etc. selloffs. The last was $VIRT, especially now with a p/e of 7 or something ridiculous. They reported earnings and $1.05 vs. $0.97 - $1.04 (beat) and $467.0 million revenue vs. $418.4 million - $449.7 million (beat), but still sold off. (This was more of an asymmetrical hedge) but even with fundamentals, I have no clue why it's ~7.5 P/E. People always are like X is a great value investor stock trading at ~15 P/E, this is single digit P/E (but more cyclical on retail trading activity, but $HOOD is reporting record numbers so should be a good proxy). Still an extreme enigma to me... I think it's undervalued, especially with buybacks and might be another $UPWK. Other stuff like nuclear SPACs I bought for fun were half-gambling memes so more understandable if they went down. Usually if I put a thesis behind it then it's more accurate. Stuff like $SNAP, $FLY, and others I've maintained was a 2026 play, so short term doesn't really matter. Things like $WLAC were IPO catalyst plays so high-beta movement during its low float SPAC days doesn't really mean much until the event happens.

  4. Meta AI支出利好下游供应商NBIS和CRWV

    @BaronAfanas 哈哈,$VIRT 表现依然落后,但很高兴看到它略有回升。 对于 $NBIS,很难不持看多态度。 人们抱怨 $META 在人工智能资本支出(AI Capex)上花太多钱,哈哈。 如果有什么影响的话,这些资金最终只是流向了像 $CRWV 和 $NBIS 这样的公司。

    英文原文

    @BaronAfanas lol $VIRT is still underperforming but glad it’s recovering a bit. For $NBIS hard not to be bullish. People are complaining about $META spending too much on AI capex lol. If anything that money just funnels down to companies like $CRWV and $NBIS.

  5. 博主复盘今年亏损持仓,总结税务收割、迷因股及期权交易教训。

    周末反思 ☁️ 我想列出今年所有亏损的持仓+经验教训。 ___ 1. $ETOR - ($62 → $38.6, 定投 $48, -19.58%) 2. $VIRT - (~$38 → $33, -45%) 3. $SNAP - ($8.2 → $7.69, -6.2%) (新) 4. $SG - ($8.2 → $7.32, -10.73%) 5. $GRRR - ($20.5 → $16.99, -17.12%) 6. $FLY - ($30.2 → $26.5, -12.25%) (新) 7. $LTC - ($113 → $91.1, -19.3%) 8. $OPAD - ($4.61 → $2.94, -36.2%) 9. $CRM - (~$250 → ~$243, ~30%) 10. $AMZN - ($218 → $213) (新) 11. $RDDT - ($202 → $195) (新) 12. $WULF - ($14.5 → $14) (新) 我发了很多股票,很高兴只有约7只短期看错(抱歉如果漏了一两只),还有约5只没踩准绝对底部。 我仍然认为它们会在2026年大涨,输家不多! 个人反思 1. $ETOR: 基本面很好的股票。即使下跌~20%,我相信它会在2026年恢复。1/3现金,以盈透证券(IBKR)的速度增长。它受税务收割(tax-harvesting)效应影响(10月/11月),因为对冲基金卖出并在12月回购。 经验教训:无,我会再做一次。持有至2026年。为税务收割小幅减仓。 2. $VIRT: 如果我买看涨期权,可能不应该公开发布,因为这会影响对冲资金流。临近两次降息(对股市利好)时减仓进行税务收割。对冲有效但损失不少。 经验教训:对冲操作保密。仍然认为方向正确,只是想税务收割。 3. $SNAP: 在$8.2左右发布,当时他们将记忆功能转化为收入。这是2026年的布局,不担心短期税务收割。 经验教训:无。持有至2026年。 4. $SG: 说实话,我只是喜欢沙拉🥗。今年早些时候是$35+。我认为它最终会恢复,只是等待游戏,因为现在约1倍市销率(p/s)? 经验教训:无。中期持有。 5. $GRRR: 调查其$14亿合同后迁移至$WLAC,看起来可疑。被$3.8亿市值对比$14亿收入潜力所诱。 经验教训:相信对可疑公司的直觉。如果属实可能5倍,但我不信任。可能不该进入。(已减仓) 6. $FLY: 下跌~12%,仍然是2026年中期升力布局。最近发布,时机可能更好。 经验教训:无,也许税务收割时机更好。 7. $LTC: 下跌~20%。加密货币被清算+政府停摆延迟ETF批准所重创。 经验教训:不要杠杆炒币。政府停摆延迟ETF批准哈哈。 8. $OPAD: 之前卖出,但当前价格-36%。我冲进去的迷因股(meme stock)。 经验教训:不要碰迷因股。 9. $CRM: 因短期期权+错过财报日损失~30%。波段交易搞砸了。 经验教训:始终检查财报日,只是一次性错误,以前没犯过。 10. $AMZN: 它是亚马逊。有时下跌1%。 经验教训:无。刚发布不久。 11. $RDDT: 以为$200是底部,进一步下跌。平均成本降至$190。 经验教训:无。刚发布不久。 12. $WULF: 因为所有新云(neoclouds)都在涨而买入。$14.5买入,跌至$14。 经验教训:不要盲目追高(ape)。时机可能更好。 _ 税务收割总结 除了新持仓($AMZN, $RDDT, $WULF)和提到的中期布局如$FLY(持有至2026年)外,大部分输家为年底税务收割而减仓。 TLDR: - 年底不要重仓税务收割股(如$LULU, $ETOR, $SNAP)。如果择时,等12月。 - 停止交易迷因股如$OPAD。 - 当SEA相关公司看起来可疑时相信直觉($GRRR)。 - 期权资金流影响流动性较差的股票(如$VIRT)。3月看涨期权可能仍会大涨,其他人买入可能影响行情,只是想税务收割。 其他交易如$AMZN, $RDDT, $WULF非常新,也许时机更好,但没踩准绝对底部。 _ 总体而言,目前还好!我数不清有多少100%+的收益...输家数量仍然很少,无论是数量还是仓位规模。

    英文原文

    Weekend Reflections ☁️ I just wanted to post every position I'm down on this year + lessons learned. ___ 1. $ETOR - ($62 → $38.6, DCA $48, -19.58%) 2. $VIRT - (~$38 → $33, -45%) 3. $SNAP - ($8.2 → $7.69, -6.2%) (new) 4. $SG - ($8.2 → $7.32, -10.73%) 5. $GRRR - ($20.5 → $16.99, -17.12%) 6. $FLY - ($30.2 → $26.5, -12.25%) (new) 7. $LTC - ($113 → $91.1, -19.3%) 8. $OPAD - ($4.61 → $2.94, -36.2%) 9. $CRM - (~$250 → ~$243, ~30%) 10. $AMZN - ($218 → $213) (new) 11. $RDDT - ($202 → $195) (new) 12. $WULF - ($14.5 → $14) (new) I post a ton of stocks, and I'm happy that there are only about 7 I've gotten wrong short-term (sorry if i miss one or two by accident) and about 5 that I didn't time the absolute bottom correctly. I still think they'll print in 2026, not too many losers though! Individual Reflections 1. $ETOR: Great stock fundamentally. Even down ~20%, I believe this will recover in 2026. 1/3 cash, growing at IBKR rates. It suffers from tax-harvesting effects (October/November) as hedge funds sell and rebuy in December. Lesson learned: None, Id do the same again. Holding for 2026. Trimmed slightly for tax harvest. 2. $VIRT: If I buy calls, probably shouldn't post publicly since it affects hedging flow. Trimmed for tax harvesting since we're nearing two more rate cuts (bullish for markets). Hedging worked but lost quite a bit. Lesson learned: Keep hedges to myself. Still think I'm directionally right, just wanted to tax harvest. 3. $SNAP: Posted around $8.2 when they converted memories to revenue. This is a 2026 play, not worried about short-term tax harvesting. Lesson learned: None. Holding for 2026. 4. $SG: Honestly, I just like the salad 🥗. It was $35+ earlier this year. I think it'll recover eventually, just a waiting game cause it's like 1 p/s now? Lesson learned: None. Medium-term hold. 5. $GRRR: Migrated into $WLAC after investigating their $1.4B contract more, seemed sus. Got baited by the $380M market cap vs. $1.4B revenue potential. Lesson learned: Trust my gut on suspicious companies. Could 5x if legit, but I don't trust it. Probably shouldn’t have entered. (Trimmed) 6. $FLY: Down ~12%, still a 2026 medium-lift play. Posted recently, could’ve timed better. Lesson learned: None, maybe better tax-harvest timing. 7. $LTC: Down ~20%. Crypto got nuked by liquidations + government shutdown delays ETF approvals. Lesson learned: Don’t margin crypto. Government shutdowns delay ETF approvals lol. 8. $OPAD: Sold earlier, but current prices are -36%. Meme stock I aped into. Lesson learned: Don’t touch meme stocks. 9. $CRM: ~30% loss due to short-dated options + missing earnings date. Swing trade gone wrong. Lesson learned: Always check earnings dates, was just a on-off mistake, dont think I've ever made this mistake before. 10. $AMZN: It’s Amazon. Moves down 1% sometimes. Lesson learned: None. Just posted recently. 11. $RDDT: Thought $200 was bottom, dipped further. Averaged down to $190. Lesson learned: None. Just posted recently. 12. $WULF: Bought because all neoclouds were going up. Bought at $14.5, dipped to $14. Lesson learned: Don't ape into stocks. Could've timed better. _ Tax Harvesting Summary Trimmed most losers for EOY tax harvesting, except newer positions ($AMZN, $RDDT, $WULF) and medium-term plays like $FLY (holding through 2026) that I mentioned. TLDR: - Don't go hard into tax-harvested stocks end of year (e.g. $LULU, $ETOR, $SNAP). Wait for December if timing. - Stop trading meme-stocks like $OPAD. - Trust my gut when SEA-related companies seem suspicious ($GRRR). - Option flows affect less-liquid stocks (e.g. $VIRT). March calls could still print so other people buying might affect things, just wanted to tax harvest tho. Other trades like $AMZN, $RDDT, $WULF are very recent, maybe could've timed them better, but get the exact bottom. _ Overall, so far so good! I've lost count of how many 100%+ returns I've had... and the number of losers is still small, both for count and position size.

  6. 博主基于宏观利好更新美股AI/半导体/能源等板块的强烈买入、买入及持有名单。

    大豆/植物油崩盘,个人思考与解释: 强烈买入 $ALAB $CRDO $NBIS $WLAC $LTC $TSM $BTC (+ 同上次税务收割股) $AMZN $SMCI _ 买入 $AMD $FLNC $SEI $BZAI $NKLR $IREN $WULF $CIFR $CRWV $BITF $WYFI $SLNH $BITF $RBRK $GLXY $GRAB $SEA $META $TGT $SNAP $MU $RKLB $FLY $UNH 持有 $MP $HOOD $EOSE $NVDA $GOOGL $DFLI $SOFI $VIRT $RR $AVGO $BE $ASTS (已达推文股票代码上限,其余同上次帖子,Quantum或Oklo仍建议卖出) _ 强烈买入 ALAB - 数据中心建设的重要组成部分,拥有类似英伟达(NVDA)的利润率,客户包括Mag7。已有来自博通(AVGO)的竞争者,真的不认为Arista会构成竞争威胁。 CRDO - 与ALAB同样的抛售,之前觉得两者都略有高估,但现在回到修正区间,适合补仓。 NBIS - $400目标价牛市情景。宏观顺风来自政府重新开放+10月底降息预期进入财报季,短期前景看好。利好众多(如Meta x CRWV,因此有更多Mag7客户的潜力),分部表现良好,例如Clickhouse,季度收入从$1亿扩展到$15亿+非常惊人。合同已锁定,只是公司执行的问题。 WLAC - 之前在$13时写过投资逻辑。即使在$14.5也很强,因为它可以轻松重估100%+。 LTC - 受杠杆交易者和政府停摆影响。预计停摆将持续一段时间,主要买入理由是ETF获批。但无论如何,低于$100都是很好的买入点,因为最终会获批(~95%概率)。 TSM - 天哪。如果是美国公司这将是$3万亿市值的公司,利润率惊人,对于其规模而言增长率惊人。每篇关于OpenAI X (**Sydney Sweeney合作)或AMD建设/NVDA建设的帖子中,TSM都是核心,即使以历史高点买入,也轻松成为$2万亿+公司(目前约$1.5万亿)。 BTC - $112K是好的入场点。黄金不断创历史新高,基本面没什么变化,只是最近大量清算。 (+ 同上次税务收割股) AMZN - 我真不知道为什么年初至今还在跌。我觉得亚马逊不需要太多解释,但仍在增长(例如AWS积压订单巨大,仍增长24%,当然不如ORCL、GCP等),但考虑到年底季节性和2月前的上涨,现在可能是抄底的最佳时机。AMZN今天触及$213-215是补仓的好机会,因为短期波段交易通常浮动在$218-$227,但长期我预计它会追赶其他Mag7。 SMCI - 被低估。市场关注短期表现,Charles引用的55%+同比前瞻收入增长无人相信+未实现的积压订单。但现在随着所有数据中心建设,这开始说得通了。因此应在接下来两次财报中重估。 _ 买入 AMD - OpenAI x AMD,Oracle使用AMD建设,这么多交易,如果它确实是$NVDA的强劲竞争对手,将重估为潜在$1万亿+公司。我不认为赢家通吃,可以看到$NVDA $4.5万亿+市值和$AMD $3500亿市值,所以我们可以看到大幅拉升(OpenAI通常是前沿模型领导者,如果Sam说他们可以使用AMD芯片+Elon说它对中小模型有益,可能意味着积极信号) FLNC - AI消耗后能源强劲重估,很好的买入。 SEI - AI消耗后能源强劲重估,很好的买入。 BZAI - 别人做过这家公司的深度研究,仅因板块和向边缘计算转移(例如机器人将很热)。由于低市值和类似公司的上涨可能表现良好。 NKLR - 像$OKLO这样的核能股已经起飞,这只是跟随梯队。 IREN - 无需介绍,巨大的GW算力,只是还没有宣布Mag7交易,但随时可能到来 -> 强劲重估。不是强烈买入的唯一原因是因为不完全确信矿工能像CRWV那样转型并保持高利润率(例如$ORCL打击文章),但我们会看到。 WULF - GOOGL积压订单,另外$3.6+亿左右的资金帮助很大。 CIFR - X上有很多关于未来产能和强劲重估的信息。一直喜欢这家公司,因为它是NBIS-lite。你可以买任何Neocloud,因为板块潜力巨大,Mag7将收入注入。 CRWV - 因为债务不像其他人那样喜欢,但由于植物油修正,$134(低于META交易宣布时)是更好的买入点 BITF - Neocloud类别相同 WYFI - Neocloud类别相同 BITF - Neocloud类别相同 GLXY - Neocloud类别相同,有助于其建设 RBRK - 做过深度研究,中期网络安全板块很好的买入,他们只需缩减营销,然后看起来有更多自由现金流,因为他们将大部分运营支出花在营销上。 GRAB - 基本面很好,-6.56%修正再次买入 SEA - 东南亚的AMZN,很多人使用。仅因客户群+变现潜力就买入。基本面$50亿+收入38% Y/Y增长也很好。 META - 我真的很不喜欢他们在AI上的昂贵资本支出,因为他们并没有像ChatGPT那样推出前沿模型,谁知道Zuck在做什么。但除此之外,一个月下跌7.3%,回到$700支撑位,可能在这里买入以追赶是个好主意。 TGT - 下个月股息是好的催化剂。 SNAP - Jenners回来了(有助于人气),他们将前记忆运营支出转为收入,这可能会导致明年巨大的重估。只是受税务收割影响,否则现在会是强烈买入。通常税务收割事件在12月完成。 MU - 现在中国恐惧稍微减弱,MU因为建设中的内存使用而成为更强的买入。 RKLB - 中子,金色穹顶合同,很多催化剂 FLY - 中等提升 UNH - 不受大豆影响的医疗保健股,但有修正。机构发布持仓后可能会上涨(例如Warren可能买了更多) 随机想法 基本上任何不是Oklo的成长/风险股都很好,因为我们有 -> 10月底降息 -> 政府重新开放(可能在10月底或11月初) 进入 -> 12月降息。 -> 中期选举(对股票看涨) 通常市场崩盘发生在紧缩而非宽松时。你的愚蠢量子泡沫可能会再持续3-12个月。如果你做空,可能等到明年2月。 无论如何,这是风险偏好的好时机,特别是搭乘Neoclouds -> 相关板块(例如能源)-> 相关公司(例如smci, tsm等)的趋势。 我半开玩笑地说大豆,因为它可能签署了升级紧张局势,但我可能会看到明年前的上涨。另外我可以写很多关于每一个的内容,但这很耗时,但我会不时发布关于随机股票如$RBRK的投资逻辑帖子。 太空/机器人/能源/量子/AI/半导体/关键垂直领域是目前最顶级的,不要对抗动量。我可以认为某些东西被高估了(例如一些关键材料,因为与Neoclouds相比仍然具有投机性,后者基于Mag7的执行有保证的收入),但我不会在降息时做空它。 只是个人想法,非财务建议

    英文原文

    The Great Soybean/Seed Oil Crash, personal thoughts and explanations: Strong Buy $ALAB $CRDO $NBIS $WLAC $LTC $TSM $BTC (+ same as tax harvest stocks last time) $AMZN $SMCI _ Buy $AMD $FLNC $SEI $BZAI $NKLR $IREN $WULF $CIFR $CRWV $BITF $WYFI $SLNH $BITF $RBRK $GLXY $GRAB $SEA $META $TGT $SNAP $MU $RKLB $FLY $UNH Hold $MP $HOOD $EOSE $NVDA $GOOGL $DFLI $SOFI $VIRT $RR $AVGO $BE $ASTS (Hit the ticker maximum but everything else from last post, still sell on Quantum or Oklo) _ Strong Buys ALAB - Huge part of datacenter buildout, NVDA like margins, Mag7 customers. Already had competitors from AVGO, really don't think Arista would be a competitive threat. CRDO - Same sell-off as ALAB, thought they were both kind of overvalued before, but now they're back in correction territory so good to stock up. NBIS - $400 PT bull case. We have macro tailwind from government re-opening + rate cut EOM october into earnings, so short term looks promising. Lot of things going for it (eg. meta x crwv, so there's potential for more mag7 clients), sum of parts doing well, eg. clickhouse, and scaling rev from $100m to $1.5B+ a quarter is insane. there's already contracts locked in its just a matter of company execution. WLAC - Wrote a thesis about this earlier at $13. Even at $14.5 strong because it can re-rate 100%+ easily. LTC - Affected by leverage traders and government shutdown. The shutdown is predicted to last awhile and the main reason to buy was the ETF getting approved. But a great buy sub <$100 anyway, because it will get approved in due time (~95% chance). TSM - Holy crap. This would be a $3T company if this were a US company, insane profit margins, insane growth rate for their size. And every post you see about OpenAi X (**sydney sweeney partnership) or AMD buildout/NVDA buildout. TSM is the center of it all and would easily be a $2T+ company (from here at ~$1.5T), even if buying at ATHs. BTC - $112K good entry point. Goldt keeps hitting ATH, nothing really changed fundamentally, just lot of liquidations recently (+ same as tax harvest stocks last time) AMZN - I really don't know how it's still down YTD. I don't think Amazon needs much explaining but still growing (eg. AWS backlog massive, still going like 24% but not as much as ORCL, GCP and others obviously), but with EOY seasonality and runup to Feb, now is probably the best chance to catch the bottom. AMZN hitting $213-215 today was a good chance to stock up since it usually floats between $218-$227 if you're short term swing trading but long term I'd expect it to catchup to other mag7. SMCI - Underrated. Markets were looking short term performance, and Charles was quoting like 55%+ Y/Y forward revenue growth which nobody believed + backlog that didnt get realized yet. But now with all the data center buildouts, now it's kinda making sense. So should re-rate in the next two earnings. _ Buy AMD - So many deals from OpenAI x AMD, oracle building out with AMD, this is going to re-rate to a potential $1T+ company if it's actually a strong competitive to $NVDA. I don't think it's winner takes all and you can see a $4.5T+ market cap size with NVDA and some $350B marketcap size with AMD, so we can see a large ramp up (OpenAI is usually the leader in frontier models and if Sam says they can use AMD chips + elon said its' good for small-medium weight models, prboably means something positive) FLNC - Strong re-rate on energy after AI consumption, great buy. SEI - Strong re-rate on energy after AI consumption, great buy. BZAI - Someone else did a DD on this company, just cause of sector and shift to edge compute (eg. Robotics goign to be hot). Because of low MC and runup of similar companies could turn out well. NKLR - Nuclear stocks like $OKLO have been taking off, this is just follow the lader. IREN - Needs no introduction, huge GW compute capacity just no announced mag7 deals yet but could come anytime -> strong re-rate. Only reason not a strong buy is because not fully convinced miners can pivot like CRWV and maintain great margins (eg. $ORCL hit piece) but we'll see. WULF - GOOGL backlog, another $3.6+ or so in funding helps a lot. CIFR - Lot of info on X about future capacity and strong re-rating. Always liked this company because it was NBIS-lite. You can probably buy any Neocloud and it will go up because the sector is incredibly high potential with Mag7 funneling revenue. CRWV - Didn't like this as much as others because of debt but because of the seed oil correction much better buy point at $134 (below when META deal was announced) BITF - Same in Neocloud category WYFI - Same in Neocloud category BITF - Same in Neocloud category GLXY - Same in Neocloud category, helps with their buildout RBRK - Did a DD on this, great buy for cybersecurity sector in mid term, they just need to scale back marketing and then it looks like they have a lot more FCF because they're spending most OPEX on marketing. GRAB - Great fundamentally, -6.56% correction good to buy again SEA - AMZN in SEA, tons of people use them. Just a buy just because of costumer base + monetization potenetial. Fundamentally growing $5B+ rev 38% Y/Y is also great. META - I really don't like all their expensive capex on AI since they're not really putting out fronteir models like ChatGPT with it, who knows what Zuck is doing. But that aside, down 7.3% over the month, going to $700 support, probably a good buy around here to play catchup. TGT - Dividend next month good catalyst. SNAP - The Jenners are coming back (helps with popularity), they're shifting former memory opex to revenue, and this will probably cause a HUGE rerating next year. Just suffers from tax harvesting otherwise would be a strong buy rn. Usually tax harvesting events are kinda done in December. MU - Now that China fears are kinda less intense, MU is a lot stronger buy just cause of memory use on buildout. RKLB - Neutron, golden dome contracts, lot of cataylsts FLY - Medium lift UNH - Healthcare stock not affected by soybeans but had a correction. Would likely go up one instituions post their ports (eg. warren likely bought more) Random thoughts Basically any growth/risk stock that's not named Oklo is great because we have -> Rate Cut end of month October -> Government re-opening sometime (likely around end of Oct or early Nov) Into -> Rate Cut December. -> Midterms (Bullish for stocks) Usually market crashes happen when there's tightening not easing. And your stupid quantum bubbles would likely continue for another 3-12 months afterward. If you're short, then probably wait till next Feb. Anyway, this is a great time for risk-on, and specially riding trends with neoclouds -> affiliated sectors (eg. energy) -> affiliated companies (eg. smci, tsm, etc). I half joke-about soybeans because it likely signed escalating tensions, but I'd probably see a run-up into next year. Also I could write up a lot about each one but it's pretty time consuming but I'll put on a thesis post about random ones eg. $RBRK, from time to time. Space/robotics/energy/quantum/ai/semi/critical top verticals right now, don't fight against momentum. I can think something is overvalued (eg. some critical materials bc. it's still spectulative compared to neoclouds that kinda have guaranteed rev based on execution from mag7) but I wouldn't short it into rate cuts. Just personal thoughts, NFA

  7. 博主补充了RDDT、AMD、VIRT及锂稀土股的买入价位与逻辑。

    @Hoona1203 因为 X 帖子字数限制,我没能列出所有股票代码。否则,$RDDT 在 192 美元是买入点,$AMD 在 210 美元是买入点,$VIRT 在 33 美元是买入点(与其说是作为单一多头头寸,不如说是作为良好的对冲工具,且我认为其被低估 + 将在财报中体现),锂-稀土股票也是买入标的,等等。

    英文原文

    @Hoona1203 I ran out of tickers because X post limits, otherwise $RDDT was a buy at $192, $AMD was a buy at $210, $VIRT is a buy at $33 (not so much as single long but as a good hedge and I believe this undervalued + will show up in earnings), lithium-rare earth stocks are a buy and so on.

  8. 修正论点:$VIRT在波动中盈利且被低估,具对冲价值。

    你说得对,两者并非1:1相关,我本应更清晰地指出其中的细微差别。所以正确的表述是:$VIRT 在波动率持续扩大的时期(当波动率指数(VIX)走高时)非常盈利,且市场最终会对此进行定价。 因此,在波动性下跌行情中,$VIRT 表现更佳,目前被低估,并起到对冲作用,这正是我的投资论点。 我确信市场错了,即使 VIX 不高,从 Robinhood 的数据来看,散户交易活动依然强劲。($VIRT 处理约 25% 的散户资金流),其远期市盈率(Forward P/E)真的很低。

    英文原文

    You’re right it’s not 1:1 correlated, I should have done better at pointing out the nuance. So the correct way phrase is $VIRT is very profitable in extended periods of volatility (when VIX is elevated) and it gets priced in the eventually. So in a volatile downturn, $VIRT performs better, is currently undervalued, and serves as a hedge, which was my thesis. I’m convinced market is wrong even if VIX isn’t high, retail trading activity is strong if you look at Robinhood’s data. ($VIRT handles ~25% of retail flows), forward p/e is really low.

  9. 分析NBIS、AMZN、SNAP等个股机会,看好AI基建及降息预期。

    10月6日周一收盘思考: - $NBIS 是极好的逢低买入机会。早盘上涨5.78%后回落2.38%。从 $IREN 到 $CIFR 的所有其他新云(Neoclouds)公司都守住了4%-14%+的涨幅。Nebius可能受期权资金流影响,预计很快会补涨,我维持 $225 的目标价(PT)。 - $AMZN, $META 是两只在未来2-3个月应跑赢大盘并补涨的七巨头(Mag7)成员。尤其是亚马逊。 - $SNAP, $RDDT 是两个不错的反弹标的。Snapchat尤其因为收入变现模式的改变。如果你有耐心持有股票一两年,我预期会有50%+的回报,只是取决于市场何时将其定价。并非每个人都有耐心,且将资金用于 $SNAP 而非新云(Neoclouds)的机会成本可能不划算。 关于Reddit,我一直认为ChatGPT引用是其暴跌29%的借口,所以我已买入。 - $SPRB 吸引了所有人的注意。我预计它将从7500万美元市值继续上涨至1.5亿-2亿美元,但这就像玩俄罗斯轮盘赌,通常在重大事件后2-3天就会发生稀释。 - 像 $RKLB 这样的股票,只需持有哈哈。即使它是我最高信用的5年期长线标的,也确实高估了,但此时它可能会像 $PLTR 一样表现。 - $AMD 与 OpenAI 的交易对半导体行业极度利好。我预计 $TSM, $ASML, 能源股和新云(Neoclouds)将从AI基础设施建设中受益。主要的负面因素是 $CRWV,因为其对 $NVDA 的依赖,以及显然的NVDA本身,但新云(Neoclouds)并未锁定单一玩家,且已锁定5-10年以上的合同。 这仅对 $NVDA 的护城河理念造成微小影响,但尚无实质性影响。 我个人认为AMD可能会像 $ORCL 一样在反弹后回调,然后当市场开始计入远期收入时,像 $AVGO 一样表现。 话说回来,我不知道OpenAI从哪弄来这么多钱,承诺给Oracle、AMD等这些十亿或百亿美元的交易,如果它们估值只有5000亿的话哈哈。 - 黄金每天创历史新高,仅仅表明 $BTC 始终是好的买入标的,即使在 $123k,如果它最终成为对抗通胀的对冲工具。其市值约为黄金的1/10。 - $LTC 仍然是很好的买入标的,因为ETF获批。由于政府停摆,人们只是忘记了它尚未发生,但最终应该会获批。 - $VIRT 在 $32.5 是极好的买入,我会在这个区间进行成本平均(抱歉如果你在 $36 买了看涨期权,我的仓位下跌了约35%)。但再次强调,这是对VIX的非对称对冲(VIX隐含波动率很高用于对冲,VIRT被低估~6.3倍远期市盈率,有回购和低隐含波动率),所以即使仓位下跌,你的其他股票应该会上涨以平衡。 - 仍在研究其他受益于基础设施建设的能源股、小盘股如 $EOSE、存储如 $MU 等,这些是粉丝推荐的。我尽量不在自己充分了解前谈论太多。 - 如果你使用杠杆或做多,现在是时候了,直到一月。三次降息,市场可能正在提前交易十月的降息。

    英文原文

    Monday October 6th Market Close Thoughts: - $NBIS extremely good dip buy. Down 2.38% after rising 5.78% in the morning. All other Neoclouds from $IREN to $CIFR held their 4%-14%+ gains. Nebius likely influenced by option flow, should play catchup soon and I stand by $225 PT. - $AMZN, $META two Mag7 that should outperform next 2-3 months and play catchup with the rest. Especially Amazon. - $SNAP, $RDDT two good recovery plays. Snapchat especially because of the revenue monetization changes. If you have the patience for shares for a year or two, I'd expect a 50%+ return, just whenever the market wants to price it in. Not everyone has patience and opportunity cost using the funds in $SNAP instead of Neoclouds might not be worth. Reddit I've maintained that the citations from ChatGPT is a BS reason for a 29% sell-off so I bought into it. - $SPRB caught everyone's attention. I do expect it to keep rising to a $150-$200m marketcap from $75m but it's like playing Russian Roulette, usually dilution happens 2-3 days after a major event. - Stuff like $RKLB, just need to hold lol. It's genuinely overvalued even if it's highest conviction 5Y long but at this point it might pull a $PLTR. - $AMD x OpenAI deal heavily bullish for semi industry. I expected $TSM, $ASML, energy stocks and Neoclouds to get a boost from AI infra buildout. Main negative ones were $CRWV, because of $NVDA dependencies and obviously NVDA, but Neoclouds aren't locked into one player, and they already have 5-10+ year contracts locked in. It just puts a tiny dent in the $NVDA moat idea but nothing material yet. I personally think AMD might pull an $ORCL where it dips past rally, and then ends up pulling an $AVGO when markets start pricing in forward revenue. Then again, I don't know where OpenAI is getting all this money to promise Oracle, AMD, etc. all these ten or hundred billion dollar deals if they're valued at 500B lol. - Gold rallying to ATH every day just signals that $BTC is always a good buy, even at $123k, if it ends up becoming a hedge against inflation. It's close to 1/10th the market-cap. - $LTC still a great buy because of ETF approval. There's the government shutdown so people just forgot it hasn't happened yet, but should get approved eventually. - $VIRT great buy at $32.5, I'd cost average around this range (sorry if you bought calls at $36, my positions are down 35% or so). But again it's an asymmetrical hedge to VIX (VIX IV very high for hedging, VIRT is undervalued ~6.3 forward p/e with buybacks an low IV), so even if positions are down, your other stocks should go up to balance it out. - Still looking into other beneficiaries of buildouts from energy stocks, small caps like $EOSE, memory like $MU, etc. that followers recommended. I try not to talk about something much until I'm informed myself. - If you're on leverage or going long, now is the time to do it until January. 3x rate cut, market probably frontrunning Oct rate cut now.

  10. VIX未达预期且降息在即,但VIRT仍具极高对冲价值且被低估。

    @jamiemints 在政府停摆期间,波动率指数(VIX) 的飙升幅度不及我预期,且目前市场预计还有两次降息。波动率与 $VIRT 高度相关。如果市场真的暴跌两周,它将是理想的对冲工具。目前其估值仍然极低。

    英文原文

    @jamiemints VIX didn’t spike as much as I hoped during government shutdown and now we have two more rate cuts projected. Volatility + $VIRT are highly correlated. It was the ideal hedge in case markets ended up tanking for two weeks. Still extremely undervalued.

  11. 博主复盘持仓亏损,认为ETOR市场定价严重偏离。

    @LegalEagle123 @BaronAfanas 我目前 $ETOR 的持仓成本平均在 $48,所以处于亏损状态;我的 $VIRT 下跌了 30%,但如果波动率指数(VIX)保持低位,这是符合预期的。 原本以为政府停摆会让 VIX 短暂飙升,但结果并没有。 不过对于 $ETOR,我认为市场对此的反应极其离谱。

    英文原文

    @LegalEagle123 @BaronAfanas I'm like cost average $ETOR $48 at this point so I'm at a loss, my $VIRT is down 30% but it's expected if VIX stays low. Thought government shutdown would have spiked VIX for a bit but turned out not to. But yeah for $ETOR, I think the market is extremely off about this

  12. 看好ETOR和VIRT的低估价值,建议作为非对称对冲配置,仓位控制在5%-30%。

    我认为 $ETOR 被严重低估,市场将一家持有超10亿美元现金的经纪商定价为33亿美元市值,其复利效应堪比盈透证券(IBKR),这高呼低估。 $VIRT 更多是对冲成长股的工具,但我认为它也被低估了。所以我称之为非对称对冲(asymmetrical hedge),这比购买隐含波动率(IV)更高的 $VIX 要好。 我将对两者进行成本平均法(cost average)建仓,论点未变。不过请查看我关于仓位配置的其他帖子,我不会将任一标的仓位超过组合的5%,但如果信心极高,最多可分配30%。

    英文原文

    I think $ETOR is incredibly undervalued, market pricing a brokerage holding 1b+ cash at a 3.3B market cap, compounding like IBKR screams undervalued. $VIRT was more of a hedge against growth stocks but I think it's undervalued. So I said asymmetrical hedge which was good instead of buying $VIX with higher IV. I'll cost average both, thesis hasn't changed. Do look at my other posts around positioning though, I wouldn't give more than 5% of my portfolio to either but if there's high conviction maybe up to 30% allocation.

  13. 承认 $VIRT 择时失误,但看好其基本面与回购。

    @BaronAfanas 我正在对 $VIRT 进行定投,原始头寸亏损约 30%。不过我确实错判了离场时机,这是我的失误,原本以为 $32 会是更好的入场点。部分原因是做市商(Market Maker)做空,但该股票基本面被低估,且有 3 亿美元的股票回购。

    英文原文

    @BaronAfanas I'm cost averaging $VIRT, original positions are down 30% or so But yeah I timed drop wrong, was my mistake, seemed like $32 would be better entry. Part of that is MM shorting but the stock is fundamentally undervalued and there's 300m in buybacks.

  14. 博主分享6只个股的短期交易策略,强调经验直觉胜过耐心口号。

    最近 X 上流传着很多鼓舞人心的交易者心态,比如: “会有回报的。要有耐心。”全是废话。 交易者会考虑板块动量、催化剂、估值、回调、宏观、隐含波动率(IV)、期权流向等。 以下是我对各种股票短期交易的心态: 1. $NBIS - $111.91,尽管当天上涨了 1.53%,但由于 Meta 给予其 140 亿美元合同,CRWV 上涨了 12%。 这通常对所有新云厂商都是利好。它曾飙升至 $117(我可能仍会持有),但随后回落至 $111,可能是由于未平仓合约过多,但我们可能会继续看到上涨行情。因此我会利用这段时间进行定投(DCA)并买入看涨期权/股票,即使它已经上涨了 1.53%。 这不是“真正的下跌”,更像是上涨过程中的回调。 2. $HIMS - $56.4 下跌 4.67%,通常人们只是盲目抄底,但这实际上是由重大因素引起的,即特朗普推出了面向消费者的政府药品网站。随着股价升至 $60,空头比率降至 33%。 这次下跌可能会被用于空头回补。我在 $46 支撑位买入,但在反弹后不久卖出,因为我感觉它还会进一步下跌。但我个人更喜欢底部入场点,所以可能更接近 $50。 我记得 AMZN 推出竞争对手时,HIMS 暴跌 20% 然后再次上涨,我预计特朗普的计划中期也会如此,但近期它是一个逆风因素。 3. $RDDT - $228,下跌 5.45%,没有新闻。可能只是估值担忧。我们看到类似的增长股如 ALAB、CRED 有随机的 20% 回调。许多软件/社交股票如 SNAP 因非重大新闻下跌 8.1%。修正很健康,股票不会一直上涨,我个人更倾向于等待再次回到 $100+,而不是 $200+,但鉴于 RDDT 在随机日子有更大的 5-8% 回调,根据历史经验,6-7% 的下跌是日内的好买点,你可能会看到它恢复,但我们可能会看到许多增长股在 11/12 月的大涨前经历更大的修正,所以可能不是真正的底部。 我现在不看图表 RSI,只是基于过去一两年每天观察股票 + IV 的经验感觉来做。 4. AMZN - 没有重大宏观新闻,可能是 10 月 1 日的政府停摆可能会引起指数恐慌,但这没什么大不了的。它下跌了 1.35%,所以我会买入,因为这是摊低成本的好时机。 5. Klarna - $36,下跌 5.3%。有时你只是凭直觉行事。低于 IPO 价格,没有重大新闻。大多数 IPO 都下跌了,比如 Gemini 等。如果你想建立长期头寸,我会在这个水平买入。 6. TSM - $277,我有罪地进行了 $273-$279 之间的波段交易,所以我每次跌至 $273 就买入,在 $277-$279 卖出以获取 2% 的纯股票利润。到目前为止,我用股票做了大约 2 次。如果跌破 $273,我就定投,如果进一步下跌就切换到看涨期权。 没有绝对的对错方式,每个人都有自己的方法。(另外抱歉 CRM,糟糕的财报搞错了那个,如果进一步下跌我可能会摊平成本)。 但一般来说,这只是我浏览每只股票清单时的想法。再次强调,每个人想法不同,我只是想写下我的思考过程,如果对他有帮助的话。

    英文原文

    Lot of inspirational trader mindsets going around X lately like: "It will pay off. Be Patient". All BS. Traders consider sector momentum, catalysts, valuation, pullbacks, macro, IV, option flows, etc. Here's my mindset for short term trading for various stocks: 1. $NBIS - $111.91, even though it's up 1.53% on the day, CRWV is up 12% off Meta gives them a $14B contract. So usually it's bullish for all neoclouds. It spiked to $117 ( i probably would have still held) but pulled back to $111 likely from too much open interest, but we'll likely keep seeing a rally upward. So I'd use this time to DCA and buy calls/shares even if it's up 1.53% Not "truly a dip" but it's more of a dip during a rally. 2. $HIMS - $56.4 Down 4.67%, usually people just blindly buy the dip but this was actually caused from something material, which was Trump launching a direct to consumer GOV drug website. Short interest decreased back to 33% on the rise to $60. This dip will likely be used for short covering. I did buy $46 support but sold shortly on a bounce after I just felt like it would go down more. But I just personally prefer bottom entry points so that's probably closer to $50. I still remember AMZN launching a competitor, HIMS crashed 20% then rose again, I'd expect the same with Trump's program mid term but near term it's a headwind. 3. $RDDT - $228, down 5.45%, no news. Just probably valuation concerns. We saw similar growth stocks like ALAB, CRED, have random 20% pullbacks. Lot of software/social stocks like SNAP down 8.1% off non-material news. Correction is healthy, stocks don't just keep going up, I'd prefer to wait in the $100+ again, rather than $200+ (just personally), but it's actually a better buy than the rest, given RDDT has larger 5-8% pullbacks on random days, just from historical experiences so 6-7% drop is a good buy intra-day and you'd likely see it recover but we might see a lot of growth stocks have a larger correction into massive rally Nov/Dec so might not be an actual bottom. I don't really look at chart RSI nowadays, just do this based on feelings from experience looking at the stock + IV every day for the past year or two. 4. AMZN - No major macro news, prob government shutdown Oct 1st that might cause some panic for index but it's pretty immaterial. It dropped, 1.35% so I'd buy since it' a good time to cost average. 5. Klarna - $36, 5.3% drop. Sometimes you just go off gut feeling. Below IPO price, no major news. Most IPOs were down like Gemini, etc. If you wanted to build a long term position I'd buy at this level. 6. TSM - $277, I've been guilty of swing trading between $273-$279, so I just buy every drop to $273 and sell at $277-$279 for 2% profit purely with shares. So far I've done this ~2 times with shares. If it drops past $273, I'd just DCA and then if it drops further switch to calls. There's no True or False way to do this, everyone kind of has their own approach. (also sorry about CRM, bad earnings got that one wrong, I'll probably cost avg if ti declines further). But generally this is just what I'm thinking about when I go down the list of every single stock. Once again, everyone thinks differently, I just wanted to write down how I think if it's helpful to others.

  15. 2025-09-30 杂谈 $VIRT

    博主表示需研究新话题,此前精力耗尽在VIRT及杂务上。

    @Only4CBN @Neat_Lama 我仍然需要去研究一下。前几天我把所有时间都花在了 $VIRT 和各种杂项评论上了,哈哈。

    英文原文

    @Only4CBN @Neat_Lama I still gotta look into it. Spent all my time on $VIRT and misc comments the other day lol

  16. 认为ETOR被错估,偏好冷门股,指出市场过度拥挤于BMNR和NBIS。

    @MakhmudovAkbar 哈哈,我认为市场完全错误定价了 $ETOR,现在可能正在进行大量的税务收割(tax harvesting)。 我尝试寻找像 ETOR 和 VIRT 这样人们不太关注的标的,它们通常表现不错。感觉 X 上的所有人都在关注 $BMNR 或 $NBIS。

    英文原文

    @MakhmudovAkbar Yeah lol, I think the market is completely pricing $ETOR wrong and it's probably a lot of tax harvesting going on right now. I try and find stuff people don't really touch much like ETOR and VIRT and they usually play out well. Feels like everyone on X is on $BMNR or $NBIS

  17. 博主发布周一收盘观点,列出多只美股的买卖评级及具体逻辑。

    周一收盘思考: 极强买入 $NBIS $ETOR $LTC $VIRT 买入 $AMZN $SMCI $TGT $CRM $TSM $CRDO $SG $CIFR $LULU $SLNH $ORCL $MSTR $RIOT $MARA 持有 $IREN $HIMS $RKLB $PYPL $MRVL $IBIT $UPWK $GRAB $ALAB $ASTS $SOFI $NVDA $NVO 卖出 $HOOD $TSLA $RDDT $CRCL $PLTR $BMNR 强烈卖出 $OKLO $QBTS $IONQ _ 欢迎持不同意见,但这只是我的个人看法。 极强买入理由 - 买入约7万美元的Virtu看涨期权,隐含波动率28%,远期市盈率仅6.6倍,被低估。 - 在通往200美元的路上,每次回调都定投NBIS。 - ETOR在39美元时严重被低估。我不明白它怎么跌到那的。如果我没记错,市值33亿,现金储备超7亿,复利增长类似IBKR而非HOOD/BULL,但股价却直线跌破IPO价。 - LTC ETF批准在即(3-4天内),概率95%。除非被拒,现在是绝佳买点。 买入理由 - 今天买入5万美元以上Amazon看涨期权,回调至219美元以上后复苏前景看好。受益于10月至1月的年底季节性效应。10月8日Prime Day。可能再次回调,因此适合定投而非极强买入。 - SMCI仍预测55%的远期营收增长,季度营收超50亿,有点被低估。 - TGT下个月分红。有些Target事件,但我觉得不如Amazon Prime Day重要。 - CRM图表上看刚触底,基本面没太大变化。 - TSM在273美元更好,虽然总是好买点,但不像250美元以下那样极具吸引力。 - CRDO/ALAB,两者大幅回调。更像是修正而非崩盘,因此再次成为不错的买点。 - SG,不知道。我只是喜欢他们的沙拉,考虑到不久前交易价40美元,8美元的风险回报比不错。 - CIFR,GOOGL背书,现在看执行。我会逢低买入,但今天大涨了。 - LULU受益于10月至1月的年底季节性假日购物。 - SLNH,据说X上有关于波浪的讨论。市值很小约1亿美元,风险回报比似乎可以。 - ORCL,以140亿美元折扣估值持有TikTok美国大量股份,且来自OpenAI/MSFT的远期营收众多。就像AVGO一样,财报后可能回调,然后一两个月后迎来猛烈反弹。 - MSTR,比特币10月表现良好。被做空,所以溢价率可能在1.4x-1.5x,相比炒作时的2x。 - RIOT/MARA转向HPC,所以我比之前更喜欢它们。 持有股票没什么变化 - Hood,我个人做日内交易,所以如果我认为在单日上涨12.27%的130美元以上卖出是好的,别介意。 - TSLA,脱离基本面的信仰股。 - RDDT,我在100美元时持有大量,现在240美元或450亿市值不会买,所以可能会卖出/三角套利。 - CRCL,直接买Coinbase。 - PLTR,脱离基本面的信仰股,大部分利润只是利息收入。 - BMNR,如果你想买就买ETH,但ETH在4000美元以上也是强烈卖出。 强烈卖出 任何营收极少但市值100-200亿以上的股票我觉得很可笑。如果你从8美元持有OKLO到116美元,向你致敬。

    英文原文

    Monday Market Close Thoughts: Extremely Strong Buy $NBIS $ETOR $LTC $VIRT Buy $AMZN $SMCI $TGT $CRM $TSM $CRDO $SG $CIFR $LULU $SLNH $ORCL $MSTR $RIOT $MARA Hold $IREN $HIMS $RKLB $PYPL $MRVL $IBIT $UPWK $GRAB $ALAB $ASTS $SOFI $NVDA $NVO Sell $HOOD $TSLA $RDDT $CRCL $PLTR $BMNR Strong Sell $OKLO $QBTS $IONQ _ Feel free to disagree but these are just my thoughts Strong Buy Explanations - Bought ~$70K of Virtu calls, 28% IV and just 6.6 forward p/e is undervalued. - Always DCA NBIS on the road to $200 on every dip. -ETOR is just way too undervalued at $39 imo. I don't even know how it hit that. If I remember correctly $700M+ cash pile on a 3.3B market cap, compounding similar rate to IBKR instead of HOOD/BULL but just straight line down below IPO price. - LTC ETF approval in 3-4 days with 95% odds. Great buy now unless it gets rejected ofc. Buy Explanations - Bought $50k+ Amazon calls today, looks more promising for recovery on the dip to $219+. Benefits from end of year seasonality from Oct - > Jan. Prime Day Oct 8th. Could dip again which is why it's good to DCA and not an extremely strong buy. - SMCI still projecting 55% forward revenue growth and it's kinda undervalued doing 5B+ quarterly revenue lol - TGT dividend in another month. There's some Target event but don't really think it matters as much as Amazon prime day. - CRM just bottoming chart wise, fundamentals not really changed - TSM better at $273, it's always a good buy but not a screaming buy like sub $250 - CRDO/ALAB, both dipped a lot. More of a correction rather than crash, which is why it's a decent buy agian. - SG, idk. I just like their salad and think risk reward at $8 is good considering they were trading $40 not too long ago. - CIFR, GOOGL backstopped now just execution. I'd buy on dips but today was a big rally - LULU benefits from Oct -> Jan end of year seasonality with holiday shopping. - SLNH, apparently waves have been going around X. Pretty small $100m marketcap or so, risk reward seems okay. - ORCL, they're a large shareholder of TikTok US at a discounted 14B valuation and have tons of forward rev from OpenAI/MSFT. It's one of those things where it probably dips after earnings like AVGO then pulls off a face ripping rally a month or two later. - MSTR, Bitcoin does well in Oct. Been shorted so Nav prem is probably around 1.4x-1.5x compared to 2x like during hype waves -RIOT/MARA pivoted to HPC so I like them more than before For hold stocks nothing really changed - Hood, I personally day trade so don't be offended if I think it's a good sell $130+ on a 12.27% increase day. - TSLA, cult stock detached from fundamentals - RDDT, I had a lot back at $100 wouldn't buy at $240 or 45B marketcap now so would probably sell/tri. - CRCL, just buy Coinbase instead - PLTR, cult stock detached from fundamentals, large part of their profit is just interest income - BMNR, just buy ETH if you want but ETH is a strong sell at $4k+ Strong Sell Anything carrying barely any rev with 10-20B+ marketcap I think is amusing . Props to you if you held OKLO from $8 to $116 though.

  18. UPWK估值极佳,VIRT潜力较小需看期权。

    @mattscottcap 是的,$UPWK 在 20 美元时依然具有极佳的估值,但 13 美元时感觉被极度低估。我现在对 $VIRT 也有类似的感觉,但除非你接触期权,否则其上涨潜力要小得多。

    英文原文

    @mattscottcap Yeah $UPWK is still great value at $20 but $13 just felt extremely undervalued. Feel something similar about $VIRT now, but upside potential is a lot less unless you touch options. https://t.co/ZzF4IlJXdf

  19. 作者因低IV看好$VIRT期权,认为风险收益比佳。

    @__visionxry__ 隐含波动率(IV)确实极低,尽管 $VIRT 的期权流动性稍差。价差并非我见过最糟糕的。正股是最稳妥的选择,但不会带来40%的回报,我选择期权是因为我喜欢在低IV股票上操作。深入研究后,我认为风险收益比相当不错。 https://t.co/Y5HqyhHixB

    英文原文

    @__visionxry__ IV is extremely low though options are a bit more illiquid for $VIRT. Spread isn't the worst I've seen. Shares are safest bet but not going to return a 40%, I'm doing options since I like them on low IV stocks. Risk reward just seems good to me after looking into it more. https://t.co/Y5HqyhHixB

  20. 博主加仓VIRT虚值看涨期权,认为当前IV是良好入场点。

    @ManglaniAkshay 谢谢!是的,我将 $VIRT 的仓位增加到了约 6.5 万美元的虚值看涨期权(OTM Calls)。 部分高行权价期权的隐含波动率(IV)为 29%,这是一个非常好的入场点 https://t.co/5tyJJhRF6h

    英文原文

    @ManglaniAkshay Thanks! Yeah I upped my $VIRT position to $65k or so in OTM calls. 29% IV for some of the higher strikes is such a good entry https://t.co/5tyJJhRF6h