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Nvidia: I’m Not Sweating A Drop After This Q3 Meltdown (NASDAQ:NVDA)
Seeking Alpha· 2025-11-24 02:58
Core Insights - The investor adopts a contrarian investment style, focusing on high-risk, illiquid options and shares, with a balanced portfolio of approximately 50% in each [1] - The investment strategy emphasizes buying stocks that have recently experienced sell-offs due to non-recurrent events, particularly when insiders are purchasing shares at lower prices [1] - Fundamental analysis is employed to assess the health of companies, their leverage, and to compare financial ratios with sector and industry averages [1] - Technical analysis is utilized to determine optimal entry and exit points, using multicolor lines for support and resistance levels on weekly charts [1] Investment Strategy - The investor's timeframe for holding positions ranges from 3 to 24 months [1] - A professional background check is conducted on insiders who purchase shares post-sell-off to gauge credibility and potential for recovery [1] - The approach includes screening through thousands of stocks, primarily in the US, but also considering international investments [1]
Nvidia: I'm Not Sweating A Drop After This Q3 Meltdown
Seeking Alpha· 2025-11-24 02:58
Core Insights - The investor adopts a contrarian investment style, focusing on high-risk, illiquid options and shares, with a balanced portfolio of approximately 50% in each [1] - The investment strategy is centered around identifying stocks that have recently experienced sell-offs due to non-recurrent events, particularly when insiders are buying shares at lower prices [1] - Fundamental analysis is employed to assess the health of companies, their leverage, and to compare financial ratios with sector and industry averages [1] - Technical analysis is utilized to optimize entry and exit points, using multicolor lines for support and resistance levels on weekly charts [1] Investment Strategy - The investor's timeframe for holding positions typically ranges from 3 to 24 months [1] - A professional background check is conducted on insiders who purchase shares after a sell-off, indicating a focus on insider activity as a signal for potential investment [1] - The investor screens through thousands of stocks, primarily in the US, but may also invest in companies from less stable economies [1]
The Fed Is Unlikely To Lower Interest Rates In The December FOMC Meeting
Seeking Alpha· 2025-11-21 20:00
Core Insights - The investor adopts a contrarian investment style, focusing on high-risk, illiquid options and shares, with a balanced portfolio of approximately 50% in each [1] - The investment strategy emphasizes buying stocks that have recently experienced sell-offs due to non-recurrent events, particularly when insiders are purchasing shares at lower prices [1] - Fundamental analysis is utilized to assess the health of companies, their leverage, and to compare financial ratios with sector and industry averages [1] - Technical analysis is employed to optimize entry and exit points, using multicolor lines for support and resistance levels on weekly charts [1] Investment Strategy - The investor's timeframe for holding positions typically ranges from 3 to 24 months [1] - A professional background check is conducted on each insider who purchased shares after a recent sell-off to ensure credibility [1] - The investor screens through thousands of stocks, primarily in the US, but may also invest in companies from less stable economies [1]
Palantir: AI Exuberance Likely To Resume Before Year-End
Seeking Alpha· 2025-11-21 11:22
Core Viewpoint - The individual investor adopts a contrarian investment style, focusing on deep value opportunities, particularly in stocks that have recently experienced sell-offs due to non-recurrent events, while also considering insider buying as a positive signal [1] Investment Strategy - The investment portfolio is split approximately 50%-50% between shares and call options, indicating a balanced approach between equity and derivatives [1] - The investor's timeframe for holding positions typically ranges from 3 to 24 months, suggesting a medium-term investment horizon [1] - Fundamental analysis is employed to assess the health of companies, including their leverage and financial ratios compared to sector and industry averages [1] - Technical analysis is utilized to optimize entry and exit points, with a focus on support and resistance levels on weekly charts [1] Stock Selection Criteria - Preference is given to stocks that have undergone a recent sell-off, particularly when there is insider buying at the new lower price, indicating potential recovery [1] - The investor screens through thousands of stocks, primarily in the US, but is open to owning shares in less stable markets, referred to as "banana republics" [1] - Professional background checks are conducted on insiders who purchase shares post-sell-off, adding an additional layer of due diligence [1]
The Big 3: RBLX, BITO, NFLX
Youtube· 2025-11-19 18:00
Market Overview - The current market sentiment is characterized by increased volatility, with a shift from "buy the dip" to "sell the rip" strategies [2][5] - Retail clients are advised to stay cautious and maintain defined risk in their trading strategies [2][3] Roblox - Roblox is experiencing bearish trends, currently down nearly 5%, with concerns over its long-term business model and consistent earnings losses [3][5] - A bearish trade strategy is suggested, involving a put spread with a $5 wide range, targeting a break below the $90 level by December 19 [6][7] - Technical analysis indicates a significant breakdown point at the $100 level, with potential support around the $95-$93 range [9][11] Bitcoin ETF - The sentiment around Bitcoin has shifted to a bullish outlook in the near term, despite previous bearish positions [14][15] - A trade strategy involves purchasing call options on a Bitcoin futures ETF, with a defined risk of $0.85 per share [16][17] - Technical indicators show oversold conditions, with potential resistance around the $1650 level and support at $1403 [20][23] Netflix - Netflix is experiencing post-split euphoria following a 10-for-1 stock split, but there are concerns regarding its potential bid for Warner Brothers Discovery and overall market competition [25][27] - A bearish position is recommended, utilizing an out-of-the-money put spread with a $5 range, targeting a decline towards $108 [29][30] - Technical analysis highlights critical support at $108, with a potential breakdown leading to further declines if the price moves below this level [31][35]
Calavo Growers: An Avocado Platform Mispriced As A Produce Cyclical (NASDAQ:CVGW)
Seeking Alpha· 2025-11-19 12:38
Core Insights - Calavo Growers (CVGW) is positioned as a coordination solution that connects dispersed avocado producers in Mexico, rather than merely functioning as a produce trader [1] Company Overview - Calavo Growers specializes in the avocado market, facilitating the integration of various producers to streamline operations and enhance market efficiency [1] Investment Strategy - The investment strategy employed focuses on identifying high-growth companies within the micro-cap segment, utilizing technical analysis and the CAN SLIM methodology to uncover potential investment opportunities [1] Market Analysis - The research process emphasizes both fundamental and technical perspectives, with attention to indicators such as relative strength, unusual trading volume, and earnings acceleration to identify stocks poised for significant breakouts [1]
Calavo Growers: An Avocado Platform Mispriced As A Produce Cyclical
Seeking Alpha· 2025-11-19 12:38
Core Insights - Calavo Growers (CVGW) is positioned as a coordination solution that connects dispersed avocado producers in Mexico, rather than merely functioning as a produce trader [1] Company Overview - Calavo Growers specializes in the avocado market, facilitating the integration of various producers to streamline operations and enhance market efficiency [1] Investment Strategy - The investment strategy employed focuses on identifying high-growth companies within the micro-cap segment, utilizing technical analysis and the CAN SLIM methodology to uncover potential investment opportunities [1] Market Analysis - The research process emphasizes both fundamental and technical perspectives, with attention to indicators such as relative strength, unusual trading volume, and earnings acceleration to identify stocks poised for significant breakouts [1]
IYG: Outperforming Peers With Banking And Payment Giants
Seeking Alpha· 2025-11-18 14:34
Group 1 - The core focus of Wilson Research is to provide insights on exchange-traded funds (ETFs) that balance growth potential and dividend yield [1] - The analysis incorporates fundamental analysis along with macro-level factors such as industry trends, economics, and geopolitics [1] - Wilson Research aims to offer actionable information for long-term investors who prioritize diversification and low fees [1] Group 2 - The team at Wilson Research includes an MBA graduate and an independent financial coach [1] - The investment philosophies of Warren Buffett and Robert Kiyosaki serve as inspiration for Wilson Research [1]
AMD: Cautiously Bullish On MI450 And Helios Next Year
Seeking Alpha· 2025-11-17 16:51
Core Viewpoint - The individual investor adopts a contrarian investment style, focusing on deep value opportunities, particularly in stocks that have recently experienced sell-offs due to non-recurrent events, while also considering insider buying as a positive signal [1] Investment Strategy - The investment portfolio is split approximately 50%-50% between shares and call options, indicating a balanced approach to risk and return [1] - The investor's timeframe for holding positions typically ranges from 3 to 24 months, suggesting a medium-term investment horizon [1] - Fundamental analysis is employed to assess the health of companies, including their leverage and financial ratios compared to sector and industry averages [1] - Technical analysis is utilized to optimize entry and exit points, with a focus on support and resistance levels on weekly charts [1] Stock Selection Criteria - Preference is given to stocks that have undergone a recent sell-off, particularly when there is insider buying at the new lower price, indicating potential recovery [1] - The investor screens through thousands of stocks, primarily in the US, but is open to owning shares in less stable markets, referred to as "banana republics" [1] - Professional background checks are conducted on insiders who purchase shares post-sell-off to ensure credibility and alignment with shareholder interests [1]
A Runaway Meltdown In The Cooking: Lower Rates Won't Solve Unemployment
Seeking Alpha· 2025-11-14 16:30
Core Viewpoint - The individual investor adopts a contrarian investment style, focusing on stocks that have recently experienced sell-offs due to non-recurrent events, particularly when insiders are buying shares at lower prices [1] Investment Strategy - The investment portfolio is split approximately 50%-50% between shares and call options, indicating a balanced approach to risk and potential returns [1] - The investor's timeframe for holding positions typically ranges from 3 to 24 months, suggesting a medium-term investment horizon [1] - Fundamental analysis is employed to assess the health of companies, including their leverage and financial ratios compared to sector and industry averages [1] Stock Selection Criteria - The investor screens thousands of stocks, primarily in the US, looking for those that have undergone recent sell-offs [1] - A professional background check is conducted on each insider who purchased shares after the sell-off, adding a layer of due diligence [1] Technical Analysis - Technical analysis is utilized to optimize entry and exit points, with a focus on support and resistance levels on weekly charts [1] - Multicolor lines and trend lines are used to identify patterns and trends in stock price movements [1]