Alphabet’s Pullback May Be Opening a New Entry Point
Alphabet (GOOGL) shares have slipped more than 12% to around $308, finding stability near the $300 support zone. The pullback has improved the stock’s forward P/E to roughly 22, a more attractive multiple for the search‑and‑AI giant. Institutional investors have poured about $164 billion into the stock over the past year, reinforcing demand. Analysts maintain a Moderate Buy view, with an average price target of $367, implying nearly 20% upside.

Figure Technology Solutions Sees Unusually High Options Volume (NASDAQ:FIGR)
Figure Technology Solutions (NASDAQ:FIGR) saw unusually high options activity on Wednesday, with 33,905 call contracts—a 276% surge over its typical volume. The stock opened 21.3% higher at $39.59, buoyed by a $200 million share‑buyback authorization and a 90.7% year‑over‑year revenue jump...
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Intraday Momentum Index Explained: Key Uses and Insights
The Intraday Momentum Index (IMI) merges candlestick price action with the Relative Strength Index to gauge intraday momentum. It calculates the ratio of gains on up‑days to total price movement over a chosen period, typically 14 days, producing a 0‑100...

Stock Market Live Updates: Stock to Buy Today: Glenmark Pharmaceuticals (₹2,228.25) – BUY
The Gift Nifty opened at 24,335, signaling a modest dip and a likely flat start for the Indian market on March 11, 2026. Analysts expect Nifty to trade within a 24,000‑24,500 range amid heightened volatility from West Asia developments. Meanwhile,...
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Quote Stuffing: High-Frequency Trading Tactic Explained
Quote stuffing is a high‑frequency trading (HFT) tactic where firms flood exchanges with thousands of rapid buy and sell orders that are quickly canceled. The practice aims to overload market data feeds, slowing competitors’ algorithms and creating a temporary pricing...

Another Historic Bull Signal Flashing for Rare Earths Stock
MP Materials Corp (NYSE: MP) shares rose 2.9% to $62.05, marking a 22% gain year‑to‑date after retreating from a January peak. The stock is now within 0.75 of the 200‑day moving average’s 20‑day average true range, a bullish signal that historically...
IBIT: Bitcoin's Resilience Amid The Iran War Is Impressive, New Levels To Watch
Analyst Mike Zaccardi maintains a buy rating on the iShares Bitcoin ETF (IBIT) after the fund held firm at the critical $58,000 support level and showed improving momentum. Implied volatility has normalized following a February spike that signaled a market...
Nvidia Investors Banking on a Big GTC Stock Bump May Be Disappointed
Nvidia posted a blowout earnings report, yet its shares stayed flat, defying expectations of a price surge. Wall Street shifted focus to the upcoming GPU Technology Conference (GTC) as a potential catalyst. However, analysts now argue the event is unlikely...
Why Mosaic Stock Could Enjoy a Short-Term Pop
Mosaic Co. (NYSE:MOS) shares slipped 2% to $26.39, but a technical signal suggests a near‑term upside. The stock is within 0.75 of the 80‑day moving average’s 20‑day ATR, a pattern that historically produced a 4.4% gain one month later in...
What Micron’s Stock Chart Says About the Possibility of a Tech Sector Rebound
Micron's stock chart showed a noticeable uptick this week, sparking talk of a broader tech sector rebound. The State Street Technology Select Sector SPDR Fund (XLK) rose 0.48%, outpacing all eleven S&P 500 groups. This marks the first weekly gain for...
How To Take Advantage Of Micron Stock's Current Prosperity
Micron Technology’s stock rebounded above its 50‑day moving average amid heightened volatility ahead of its March 18 earnings. The article proposes a diagonal put spread—selling a March 20 $345 put and buying a March 27 $340 put—as a low‑upside‑risk strategy targeting a 10‑15%...

How to Profit From Oil's Decline After Its Historic Spike
Oil prices surged to historic highs amid Iran‑related tensions, prompting trader Nishant Pant to propose a bearish play on the United States Oil Fund (USO). Pant recommends a $1‑wide at‑the‑money bear put spread with a 35‑50 day expiration to capture...
USDCHF Technicals: The USDCHF Tilted the Bias Back to the Downside Late Yesterday
The USD/CHF pair slipped below its 100‑hour and 200‑hour moving averages, turning the short‑term bias bearish. During the Asian‑Pacific session the price briefly crossed the 200‑hour MA but stalled in a resistance zone between 0.7785 and 0.7793, allowing sellers to...

GAM’s Markham Questions How Long Relief Rally Will Last
GAM's head of global equities, Paul Markham, cautioned that the recent market relief rally is unlikely to endure. He expects investors to stay wary despite the bounce, citing potential volatility from ongoing geopolitical tensions. Markham is keeping his current stance—long...

Shriram Finance Share Price Surges 7%; Is It the Right Time to Buy the NBFC Stock?
Shriram Finance shares surged 7% on March 10, rallying from a two‑day decline as market sentiment improved following easing of US‑Iran tensions. The jump to an intraday high of ₹1,056.80 reflects value buying in the wake of a broader sell‑off in...

Call Traders Target Struggling Sports Retailer Before Earnings
Dick's Sporting Goods (DKS) is trading down 2% at $193.50 ahead of its Q4 earnings on March 12, marking its lowest close since June and reflecting a 10.1% year‑over‑year revenue decline. The stock’s options market shows a pronounced bullish tilt,...

Options Traders Are Buying the Dip on SoFi Stock
SoFi Technologies (NASDAQ:SOFI) slipped 2.8% to $18.36, extending a 29.7% YTD loss and remaining trapped below the $20 resistance line. Despite the decline, options traders have flooded the stock with activity, logging 3.6 million call contracts and 1.3 million puts over the...
Stock Market Volatility Hits One-Year High, Possibly Marking Bitcoin Bottom
The CBOE Volatility Index (VIX) surged above 35, its highest level in nearly a year, as oil price spikes stoked panic across equity markets. In contrast, Bitcoin rose roughly 5% in 24 hours, trading above $69,000, diverging from the broader...
Why Texas Pacific Land Corporation Rallied Over 50% in February
Texas Pacific Land Corporation (TPL) saw its shares jump 50.5% in February, driven by higher oil and gas prices and an emerging AI data‑center narrative. The company reported a 13.6% revenue increase and $1.79 earnings per share, with water sales...
Pre-Market IV Report March 9, 2026
The March 9 pre‑market report flags a surge in implied volatility across energy ETFs, major oil majors and a cluster of aerospace‑defense names. United States Oil Fund (USO) posted a 30‑day IV of 108, near its 52‑week peak, while ExxonMobil and...
Reliance Shares Trade Flat After Early Loss, Morgan Stanley Maintains Overweight
Reliance Industries shares hovered around ₹1,400 on Monday after an early 2% drop, stabilising despite broader market weakness. The stock oscillated between ₹1,370 and ₹1,413 before settling near its psychological level. Morgan Stanley reaffirmed its overweight stance, keeping the target...
Magnificent 7 News: Microsoft Rebounds While Apple and Alphabet Fall This Week
Microsoft rallied 4.1% amid AI optimism, while Apple fell 2.5% and Alphabet dropped 4.25% as macro and legal pressures weighed on the Magnificent 7. The S&P 500 slipped 1.98% and the Nasdaq 100 fell 1.24% for the week, with the VIX spiking 27.5%...
ARK Innovation ETF: The Trading Strategy Is Now Flashing 'Sell' (Rating Downgrade)
ARK Innovation ETF (ARKK) is flashing a tactical "sell" as its 50‑day moving average fell below the 200‑day line. The fund’s 47% annualized volatility and an 81% peak drawdown make any allocation above 10% highly speculative. Additionally, the discretionary "trim...

Oil Price at Two-Year High After Qatar Warns All Gulf Production Could Stop Within Days
Oil prices surged to a two‑year high after Qatar’s energy minister warned that all Gulf oil and gas exporters could cease production within days amid the escalating Middle‑East conflict. Brent crude rose above $93 a barrel, and the minister suggested...
Friday's ETF with Unusual Volume: AQWA
The Global X Clean Water ETF (AQWA) experienced a sharp surge in trading activity on Friday, with 466,000 shares exchanged—roughly twelve times its three‑month average volume of 37,000. Despite the heightened interest, the ETF slipped 2.4% during the session. Component...
Donoghue Forlines Lists Risk-Managed ETF on NYSE ARCA
The DF Tactical 30 ETF (ticker DFTT) began trading on NYSE ARCA on November 12, 2025, offering a rules‑based, risk‑managed exposure to large‑cap momentum stocks. The fund follows the DF Risk‑Managed Tactical Top 30 Index, which rotates quarterly among the thirty...
Dollar Falls After Weak U.S. Jobs Data
U.S. non‑farm payrolls unexpectedly dropped 92,000 in February, pushing the unemployment rate up to 4.4% and prompting analysts to anticipate further Federal Reserve rate cuts. The dollar index (DXY) slipped to 99.063 from 99.308 as markets digested the weaker labor...
Retail Trader Activity Soars as Middle East Conflict Unfolds: Capital.com
Capital.com reported a 49% jump in active retail traders and a 73% rise in total trading volume on 2 March as the Middle East conflict intensified. Oil surged to become the platform’s second‑most‑traded instrument, with new oil traders up 1,255% and...

Aferian Shares Suspended as Company Prepares for Sale
Aferian has suspended its AIM‑listed shares as it moves toward a pre‑pack administration and the sale of its operating subsidiaries, 24i and Amino, to a single buyer. The transaction, backed by senior lenders, is expected to close within days and...

Sensex Slides over 600 Points to 79,412, Nifty Falls 168 Points to 24,597 as Banks Drag; Energy Stocks Buck the...
India's benchmark indices deepened losses on Friday, with the BSE Sensex slipping 603 points to 79,412 and the Nifty 50 dropping 168 points to 24,597. Banking and financial‑services stocks led the decline, as the Nifty Bank fell 763 points, testing...

Samsara Shares Jump After Earnings Beat Expectations, Guidance Tops Forecasts
Samsara Inc. reported a strong fiscal 2026 Q4, posting adjusted EPS of 18 cents and revenue of $444.3 million, both above analyst forecasts. Annual recurring revenue climbed to $1.9 billion, a 31% year‑over‑year increase, driven by high‑spending customers. The company launched Commercial...
Why Today’s Worst S&P 500 Stock Is Dropping on a Big Earnings Beat
Ciena (CIEN) posted a better‑than‑expected earnings report and lifted its fiscal‑year guidance, yet the stock slipped 1.7% on the day. The company cited strong demand for cabling and networking gear in AI‑driven data centers, with revenue climbing roughly 12% year‑over‑year....

Short Seller Culper Bets Against Ether, Tom Lee's BitMine Citing 'Death Spiral' Risk
Culper Research has turned bearish on ether after the December 2025 Fusaka upgrade flooded the network with excess blockspace, driving transaction fees down by roughly 90%. Lower fees cut validator earnings, threatening staking yields and potentially weakening network security. The...

Top 5 Stocks to Watch: March 2026
The S&P 500 E‑Mini futures are down 1.54% year‑to‑date, trading in a sideways pattern with support around $6,700 and resistance near $6,950. Traders are advised to watch for a break below $6,700 or a rally toward $6,950 and $7,000, which could signal...

Leverage Broadcom Guidance Beat and Nvidia OpenAI Strategy
Broadcom posted a fiscal Q1 earnings beat with $2.05 EPS and $19.31 billion revenue, then raised Q2 guidance to about $22 billion, surpassing analyst forecasts. Nvidia announced a $30 billion investment in OpenAI, likely its last pre‑IPO funding, reinforcing its hardware dominance in...

UK Firms Pull Fixed Energy Deals as Iran War Pushes up Prices
UK energy suppliers are rapidly withdrawing fixed‑price tariffs as wholesale gas and oil prices surge amid the US‑Israel conflict with Iran. Uswitch data shows the number of fixed deals fell from 38 on Saturday to 15 by Thursday, while annual...

Taiwan Shares Surge 844 Points, Post Fifth-Largest Daily Gain
Taiwan's benchmark Taiex index closed up 844.06 points, marking the fifth‑largest single‑day gain on record. The rally was sparked by reports that the United States and Iran might enter negotiations, easing geopolitical tension. Electronics led the advance, rising 3.01%, while...

Tokyo Stocks Rise, Nikkei up 4%, on News of U.S.-Iran Cease-Fire Efforts
Tokyo’s benchmark Nikkei index briefly spiked over 4% on Thursday, settling up 1.9% at 55,278 points, while the broader Topix also rose 1.9% to 3,702.67. The rally was sparked by reports that the United States and Iran were negotiating a...

Stock Market Live Updates: Stock to Buy Today: Tube Investments of India (₹2,769.20)
Tube Investments of India has been on a steady rally since late January, breaking the ₹2,650 resistance on March 2 and trading around ₹2,769. Technical analysts project a short‑term dip to the breached level before the uptrend resumes, with a near‑term...
Stock Market Today: Dow, S&P 500, Nasdaq Futures Fall After Wall Street's Bounce Back
U.S. equity futures opened mixed on Thursday, with Dow futures slipping 0.2% while S&P 500 and Nasdaq contracts hovered near flat after a prior session that snapped a three‑day losing streak. Market sentiment remains tethered to the escalating Middle East conflict,...

Buy on the Dip Prospects: March 4 Edition
The March 4 edition flags 109 ETFs that satisfy a dual‑screen: a long‑term uptrend (50‑day MA above 200‑day MA) and a short‑term dip (price below the five‑day MA). The list emphasizes semiconductor funds such as SOXL, SMH and SOXX, which fell...

Okta Beats Fourth-Quarter Estimates, but Issues Weak Guidance
Okta reported fourth‑quarter 2026 earnings that topped Wall Street forecasts, posting adjusted EPS of $0.90 and revenue of $761 million, an 11% year‑over‑year increase. Despite the beat, the company issued a cautious first‑quarter outlook, projecting revenue of $749‑$753 million and adjusted EPS...

How This Week's Rout in Korean Stocks Might Have Triggered Crypto's Surge Higher
South Korea’s Kospi plunged roughly 20% over two sessions, ending a ten‑month rally that had lifted the index nearly 180% on AI‑linked stocks. The sharp equity correction coincided with a modest resurgence in domestic crypto trading, as retail investors reallocated...

Stock Market Circuit Breaker: Why Did Korean Shares Pause Trading?
On March 4, South Korean equities plunged 12% as the Korea Exchange triggered a twenty‑minute circuit breaker on both the KOSPI and KOSDAQ after the benchmark fell 8.1% in early trading. The sharp sell‑off was driven by heightened volatility linked...
Wall Street Loves FIGS—Why Do Price Targets Predict Pullback?
Medical apparel maker FIGS has surged 260% over the past year, trading above $17—a four‑year high. The rally follows Q4 2025 earnings that showed a 33% revenue jump to $200 million and strong international growth, prompting several analysts to lift price...

Indian Rupee Tumbles to a New Record Low Amid the US-Iran War. What's Next?
The Indian rupee fell to a new record low as the US‑Iran conflict sparked safe‑haven buying of the dollar and pushed oil prices higher. Higher oil costs and the realization that U.S. rate cuts may be delayed have lifted inflation...

Europe Bonds Extend Declines on Inflation Risk From Energy Spike
European sovereign bonds slipped for a third consecutive session as surging oil and natural‑gas prices revived inflation concerns. The rally in energy commodities coincided with a U.S. initiative to secure a key Middle‑East shipping lane, which failed to calm markets....

Indonesia’s Rating Outlook Takes Further Blow as Fitch Cuts View
Fitch Ratings lowered Indonesia's credit outlook to negative, citing rising policy uncertainty. The agency kept the long‑term foreign‑currency issuer default rating at BBB, an investment‑grade level. This follows Moody's February decision to downgrade the outlook amid concerns over governance under...

Vistry Plunges 25% on Sluggish Profit Outlook, CEO Retirement
Vistry Group Plc shares plunged 25% after the homebuilder warned profit growth will remain sluggish in 2026 and announced CEO Greg Fitzgerald’s retirement. The full‑year results highlighted challenging market conditions, tighter mortgage lending and higher construction costs. Profit delivery is...

UAE Stocks Slide As Trading Resumes After Iran Conflict Closure
UAE equities fell sharply when markets reopened after a two‑day shutdown caused by the US‑Israeli attacks on Iran. The Dubai Financial Market General Index slid up to 4.9%, led by drops in Emirates NBD and Emaar Properties. Abu Dhabi’s FTSE...