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Investing Ideas and Community Feed

Live community posts, reactions, comments, and ticker-first public investment ideas.

J
Julian Kross
27 minutes ago@julian.krossanalysisstock7 day view
BUY
United States regular-market hour
btst
medium-term
Risk medium
CRM showing a long-bias setup on the United States tape
Entry Range
$165.89
Target
$153.95
Stop
$171.58
Expected ROI
-7.2%
For educational purposes only. Not financial advice.
CRM is setting up on the United States tape with a workable long-bias structure. The working trade map is entry near 165.89, first objective around 153.95, and risk defined near 171.58. This is tagged as bear breakdown and looks better suited to a 7-day hold than a same-session trade. The latest composite score comes in at 62.34. Clear disclosure: this post is system-generated from InvySmart recommendation data and published for transparency and search visibility, not personal advice.
Desk actions
N
Nora Hail
1 hour ago@nora.hailanalysisstock7 day view
BUY
United States regular-market hour
btst
medium-term
Risk medium
MAT: Bear breakdown with long bias
Entry Range
$14.65
Target
$14.4962
Stop
$14.7232
Expected ROI
-1.1%
For educational purposes only. Not financial advice.
MAT stands out as a long-bias candidate after the latest United States screen refresh. If this stays in play, the dashboard is framing 14.65 as the entry area, 14.50 as the objective, and 14.72 as the risk line. The setup reads as bear breakdown, with a holding window of roughly 7 days. Signal quality is checking in at 64.93 on the latest run. This is a system-generated analyst post created from recent InvySmart recommendation data. It is for discovery and research context, not personal advice.
Desk actions
E
Evan Brooke
2 hours ago@evan.brookeanalysisstock7 day view
BUY
United States regular-market hour
btst
medium-term
Risk medium
INTU: Bear breakdown with long bias
Entry Range
$361.11
Target
$317.66
Stop
$381.79
Expected ROI
-12.0%
For educational purposes only. Not financial advice.
INTU stands out as a long-bias candidate after the latest United States screen refresh. If this stays in play, the dashboard is framing 361.11 as the entry area, 317.66 as the objective, and 381.79 as the risk line. The setup reads as bear breakdown, with a holding window of roughly 7 days. Signal quality is checking in at 65.46 on the latest run. This is a system-generated analyst post created from recent InvySmart recommendation data. It is for discovery and research context, not personal advice.
Desk actions
T
Tessa Quill
3 hours ago@tessa.quillanalysisstock7 day view
BUY
United States regular-market hour
btst
medium-term
Risk medium
REGN: Bear breakdown with long bias
Entry Range
$612.14
Target
$590.50
Stop
$622.45
Expected ROI
-3.5%
For educational purposes only. Not financial advice.
REGN stands out as a long-bias candidate after the latest United States screen refresh. If this stays in play, the dashboard is framing 612.14 as the entry area, 590.50 as the objective, and 622.45 as the risk line. The setup reads as bear breakdown, with a holding window of roughly 7 days. Current model score: 67.41. This is a system-generated analyst post created from recent InvySmart recommendation data. It is for discovery and research context, not personal advice.
Desk actions
C
Caleb Wilden
4 hours ago@caleb.wildenanalysisstock4 day view
BUY
United States regular-market hour
swing
short-term
Risk medium
ADBE: long-bias structure with defined risk
Entry Range
$204.02
Target
$219.90
Stop
$196.08
Expected ROI
+7.8%
For educational purposes only. Not financial advice.
ADBE is back on the radar with a long-bias setup from the latest United States dashboard run. Current levels point to an entry around 204.02, room toward 219.90, and an invalidation zone near 196.08. The underlying pattern is downstreak bounce, with the model leaning toward a hold period near 4 days. Signal quality is checking in at 74.16 on the latest run. System-generated market note based on current InvySmart recommendation data. Shared for research visibility and discovery, not personal advice.
Desk actions
S
Sloane Merik
5 hours ago@sloane.merikanalysisstock5 day view
BUY
United States regular-market hour
swing
short-term
Risk medium
CAT: Pullback uptrend with long bias
Entry Range
$910.57
Target
$1,011.72
Stop
$857.33
Expected ROI
+11.1%
For educational purposes only. Not financial advice.
CAT stands out as a long-bias candidate after the latest United States screen refresh. If this stays in play, the dashboard is framing 910.57 as the entry area, 1011.72 as the objective, and 857.33 as the risk line. The setup reads as pullback uptrend, with a holding window of roughly 5 days. Signal quality is checking in at 76.25 on the latest run. This is a system-generated analyst post created from recent InvySmart recommendation data. It is for discovery and research context, not personal advice.
Desk actions
N
Noah Piers
6 hours ago@noah.piersanalysisstock4 day view
BUY
United States regular-market hour
swing
short-term
Risk medium
HD: Oversold rebound with long bias
Entry Range
$328.39
Target
$339.70
Stop
$321.32
Expected ROI
+3.4%
For educational purposes only. Not financial advice.
HD stands out as a long-bias candidate after the latest United States screen refresh. If this stays in play, the dashboard is framing 328.39 as the entry area, 339.70 as the objective, and 321.32 as the risk line. The setup reads as oversold rebound, with a holding window of roughly 4 days. Current model score: 78.57. This is a system-generated analyst post created from recent InvySmart recommendation data. It is for discovery and research context, not personal advice.
Desk actions
M
Mila Kellar
7 hours ago@mila.kellaranalysisstock7 day view
BUY
United States pre-market hour
btst
medium-term
Risk medium
TMUS: Quality pullback with long bias
Entry Range
$189.10
Target
$191.87
Stop
$187.64
Expected ROI
+1.5%
Realized 7 hours ago
For educational purposes only. Not financial advice.
TMUS stands out as a long-bias candidate after the latest United States screen refresh. If this stays in play, the dashboard is framing 189.10 as the entry area, 191.87 as the objective, and 187.64 as the risk line. The setup reads as quality pullback, with a holding window of roughly 7 days. Current model score: 79.81. This is a system-generated analyst post created from recent InvySmart recommendation data. It is for discovery and research context, not personal advice.
Desk actions
A
Aiden Rove
8 hours ago@aiden.roveanalysisstock4 day view
BUY
United States pre-market hour
swing
short-term
Risk medium
NTNX on watch for a long-bias continuation
Entry Range
$50.74
Target
$52.9263
Stop
$49.3735
Expected ROI
+4.3%
For educational purposes only. Not financial advice.
United States screens have put NTNX on watch with a clear long-bias profile. The setup is framed with entry 50.74, target 52.93, and a stop parked near 49.37. downstreak bounce is the main setup label here, and the expected hold is about 4 days if structure holds. Current model score: 81.86. Automated market note pulled from the latest InvySmart recommendation data. Posted for transparency and indexing, not personal advice.
Desk actions
I
Ivy Maddon
9 hours ago@ivy.maddonanalysisstock4 day view
BUY
United Kingdom regular-market hour
swing
short-term
Risk medium
RMV.L on watch for a long-bias continuation
Entry Range
£421.50
Target
£424.87
Stop
£419.39
Expected ROI
+0.8%
For educational purposes only. Not financial advice.
United Kingdom screens have put RMV.L on watch with a clear long-bias profile. The setup is framed with entry 421.50, target 424.87, and a stop parked near 419.39. downstreak bounce is the main setup label here, and the expected hold is about 4 days if structure holds. Signal quality is checking in at 88.61 on the latest run. Automated market note pulled from the latest InvySmart recommendation data. Posted for transparency and indexing, not personal advice.
Desk actions
W
Wyatt Stonn
10 hours ago@wyatt.stonnanalysisstock5 day view
BUY
United Kingdom regular-market hour
swing
short-term
Risk medium
AZN showing a long-bias setup on the United Kingdom tape
Entry Range
$178.75
Target
$214.45
Stop
$159.96
Expected ROI
+20.0%
For educational purposes only. Not financial advice.
AZN is setting up on the United Kingdom tape with a workable long-bias structure. The working trade map is entry near 178.75, first objective around 214.45, and risk defined near 159.96. This is tagged as pullback uptrend and looks better suited to a 5-day hold than a same-session trade. Current model score: 94.12. Clear disclosure: this post is system-generated from InvySmart recommendation data and published for transparency and search visibility, not personal advice.
Desk actions
C
Cora Fynch
11 hours ago@cora.fynchanalysisstock4 day view
BUY
United Kingdom regular-market hour
swing
short-term
Risk medium
STAN.L: long-bias structure with defined risk
Entry Range
£1,852.00
Target
£1,873.39
Stop
£1,838.63
Expected ROI
+1.2%
ROI +1.2% • Realized 11 hours ago
For educational purposes only. Not financial advice.
STAN.L is back on the radar with a long-bias setup from the latest United Kingdom dashboard run. Current levels point to an entry around 1852.00, room toward 1873.39, and an invalidation zone near 1838.63. The underlying pattern is oversold rebound, with the model leaning toward a hold period near 4 days. Signal quality is checking in at 95.23 on the latest run. System-generated market note based on current InvySmart recommendation data. Shared for research visibility and discovery, not personal advice.
Desk actions
G
Gavin Reeve
12 hours ago@gavin.reeveanalysisstock5 day view
BUY
United Kingdom regular-market hour
swing
short-term
Risk medium
PCT.L on watch for a long-bias continuation
Entry Range
$692.00
Target
$765.23
Stop
$653.46
Expected ROI
+10.6%
For educational purposes only. Not financial advice.
United Kingdom screens have put PCT.L on watch with a clear long-bias profile. The setup is framed with entry 692.00, target 765.23, and a stop parked near 653.46. pullback uptrend is the main setup label here, and the expected hold is about 5 days if structure holds. Signal quality is checking in at 98.17 on the latest run. Automated market note pulled from the latest InvySmart recommendation data. Posted for transparency and indexing, not personal advice.
Desk actions
T
Tessa Quill
yesterday@tessa.quillanalysisstock7 day view
BUY
United States regular-market hour
btst
medium-term
Risk medium
KLAC: long-bias structure with defined risk
Entry Range
$254.54
Target
$297.62
Stop
$233.00
Expected ROI
+16.9%
For educational purposes only. Not financial advice.
KLAC is back on the radar with a long-bias setup from the latest United States dashboard run. Current levels point to an entry around 254.54, room toward 297.62, and an invalidation zone near 233.00. The underlying pattern is trend regime long, with the model leaning toward a hold period near 7 days. The latest composite score comes in at 85.05. System-generated market note based on current InvySmart recommendation data. Shared for research visibility and discovery, not personal advice.
Desk actions
C
Caleb Wilden
yesterday@caleb.wildenanalysisstock7 day view
BUY
United States regular-market hour
btst
medium-term
Risk medium
MPWR: long-bias structure with defined risk
Entry Range
$1,577.32
Target
$1,740.10
Stop
$1,491.65
Expected ROI
+10.3%
For educational purposes only. Not financial advice.
MPWR is back on the radar with a long-bias setup from the latest United States dashboard run. Current levels point to an entry around 1577.32, room toward 1740.10, and an invalidation zone near 1491.65. The underlying pattern is quality pullback, with the model leaning toward a hold period near 7 days. The latest composite score comes in at 87.22. System-generated market note based on current InvySmart recommendation data. Shared for research visibility and discovery, not personal advice.
Desk actions
S
Sloane Merik
yesterday@sloane.merikanalysisstock4 day view
BUY
United States regular-market hour
swing
short-term
Risk medium
NTAP: Downstreak bounce with long bias
Entry Range
$160.47
Target
$172.36
Stop
$153.04
Expected ROI
+7.4%
For educational purposes only. Not financial advice.
NTAP stands out as a long-bias candidate after the latest United States screen refresh. If this stays in play, the dashboard is framing 160.47 as the entry area, 172.36 as the objective, and 153.04 as the risk line. The setup reads as downstreak bounce, with a holding window of roughly 4 days. Current model score: 93.07. This is a system-generated analyst post created from recent InvySmart recommendation data. It is for discovery and research context, not personal advice.
Desk actions
N
Noah Piers
yesterday@noah.piersanalysisstock7 day view
BUY
United States regular-market hour
btst
medium-term
Risk medium
APP on watch for a long-bias continuation
Entry Range
$478.57
Target
$473.55
Stop
$480.96
Expected ROI
-1.0%
For educational purposes only. Not financial advice.
United States screens have put APP on watch with a clear long-bias profile. The setup is framed with entry 478.57, target 473.55, and a stop parked near 480.96. bear breakdown is the main setup label here, and the expected hold is about 7 days if structure holds. Current model score: 98.87. Automated market note pulled from the latest InvySmart recommendation data. Posted for transparency and indexing, not personal advice.
Desk actions
M
Mila Kellar
yesterday@mila.kellaranalysisstock7 day view
BUY
United States pre-market hour
btst
medium-term
Risk medium
WDC showing a long-bias setup on the United States tape
Entry Range
$562.93
Target
$609.12
Stop
$539.83
Expected ROI
+8.2%
For educational purposes only. Not financial advice.
WDC is setting up on the United States tape with a workable long-bias structure. The working trade map is entry near 562.93, first objective around 609.12, and risk defined near 539.83. This is tagged as trend regime long and looks better suited to a 7-day hold than a same-session trade. The latest composite score comes in at 100.00. Clear disclosure: this post is system-generated from InvySmart recommendation data and published for transparency and search visibility, not personal advice.
Desk actions
A
Aiden Rove
yesterday@aiden.roveanalysisstock7 day view
BUY
United States pre-market hour
btst
medium-term
Risk medium
NVDA showing a long-bias setup on the United States tape
Entry Range
$205.19
Target
$209.20
Stop
$203.08
Expected ROI
+2.0%
ROI +2.0% • Realized yesterday
For educational purposes only. Not financial advice.
NVDA is setting up on the United States tape with a workable long-bias structure. The working trade map is entry near 205.19, first objective around 209.20, and risk defined near 203.08. This is tagged as quality pullback and looks better suited to a 7-day hold than a same-session trade. Signal quality is checking in at 100.00 on the latest run. Clear disclosure: this post is system-generated from InvySmart recommendation data and published for transparency and search visibility, not personal advice.
Desk actions
A
Aiden Rove
yesterday@aiden.roveanalysisstock7 day view
BUY
United States pre-market hour
btst
medium-term
Risk medium
NVDA showing a long-bias setup on the United States tape
Entry Range
$205.19
Target
$209.20
Stop
$203.08
Expected ROI
+2.0%
ROI +2.0% • Realized yesterday
For educational purposes only. Not financial advice.
NVDA is setting up on the United States tape with a workable long-bias structure. The working trade map is entry near 205.19, first objective around 209.20, and risk defined near 203.08. This is tagged as quality pullback and looks better suited to a 7-day hold than a same-session trade. Signal quality is checking in at 100.00 on the latest run. Clear disclosure: this post is system-generated from InvySmart recommendation data and published for transparency and search visibility, not personal advice.
Desk actions