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>> No.30405560 [View]
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30405560

>>30404732
Poorfags have no option but to gamble if you want to make money. Stocks and real world items costs determined amounts, meaning proportional slow-growing is ideal when able to afford easily these things, but when unable to afford slow growth is useless and gets you nowhere and able to buy nothing.

DYOR, hunt for moonshots and things that will easily x10 or more, and gamble. You got no choice as a little boat, once you are a big boat you can diversify and conserve more with a higher and higher percentage of holdings being bluechips and such for safety. But until you are a big boat, in order to secure the real-world buying power needed, you need to gamble your ass off. Be smart though, there is a difference between retard gambling and calculated gambling. Don't be that guy going x10 leverage on a commodity and going 100k in debt. Be that guy buying some new smallcap that rockets x10 instead, or catches a momentum upswing on a stock for 10% within 2 days before getting out and finding another stock doing the same thing. So basically, get all small caps until you got a couple tens of thousands of grand in your pocket, then diversify, and continue diversifying and having more and more large caps as you make more money.

>> No.30300073 [View]
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30300073

>>30299554
Yep, just FOMO'ed in and it went down 2 dollars, nice. A tiny, tiny cut on my SOXL I made profit on today from 28 to now 33 was trimmed just for this meme play. Time to lose a ton of money on that now while watching SOXL fly up. I guess GME is my hedge for market going down on Monday.

>> No.30281719 [View]
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Buying more SOXL. Sold BFARF early, picking up now sub-29 with BFARF funds. Oil chads won today, I was wrong that they would sell as apparently they fled there for safety instead. Only one thing left to do now though, buy more and commit harder. If we go down Monday and then Tuesday well I guess I just got to deposit more money, still doubt line goes down forever when analysts and investors on the air are doing nothing but shilling semis yesterday and today.

>> No.30220536 [View]
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30220536

>>30219982
50/50. As I said, this was a dual action to try and get the Fed to prop up the market more for even more profits, and also to take profits from last year to write off positive revenue and both look good for investors and secure more financing for hedgies after getting crushed last year. Knowing this, it is a coin flip on whether we double down on pushing up bond yields, or if they can't resist this dip now that it entered correction and became massive undersold under moving averages. Either way, we don't have a week or whatever of red ahead, at most 1 maybe 2 tries, then pure green if not green from here already.

We are near enough to the end anyways. Either going to go up, or if we go down we get help and go up. Technicals breaking to mean selling more if we go further into correction mean nothing if the Fed helps, don't fight the Fed beats any TA or momentum. So that is what is on the table, go up, or go down and be propped up.

>> No.30209795 [View]
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30209795

Alright, Powell hasn't mentioned anything to help the market yet. My thesis is wrong if he doesn't mention something being done, nothing is safe, he won't do anything, 50/50 shot we rebound tech like I expect or go down 3 more percent. Oil won't be safe neither, everything gonna chop unless he corrects himself soon and mentions he is doing something before the end of this. New advisory given here, fucking Jerome.

Please Jerome, fix things. No one will be safe if you don't. Do something and make my thesis right.

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