Trade Ideas

Actionable trade ideas with defined risk and time horizons.

Curated trade ideas across equities, options, and other instruments, featuring clear directional bias, time horizon, and risk considerations. Trade ideas are designed to align market context, technical structure, and risk management principles.

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11,339 total articles

Buy On Holding After Q1 Beat: Margin Lift and a Cleaner Risk/Reward

Buy On Holding After Q1 Beat: Margin Lift and a Cleaner Risk/Reward

On Holding reported a solid Q1 with double-digit revenue growth, margin expansion, and a raised EBITDA guide. The shares trade well below their 52-week high, carry a $12.2B market cap, and show improving technicals. This trade idea outlines an actionable long with entry, stop, and target aimed at capturing a recovery toward renewed multiple expansi…

Pro-Dex: Attractive Fundamentals, Wait for a Pullback Before Buying

Pro-Dex: Attractive Fundamentals, Wait for a Pullback Before Buying

Pro-Dex (PDEX) looks like a fundamentally healthy small-cap: mid-teens P/E, strong ROE, positive free cash flow and low leverage. The stock has ripped above its 52-week high into thin liquidity, so the practical trade is to add on a measured pullback. Entry at $58.65, stop $52.00, target $70.00 for a mid-term (45 trading days) trade.

KLA: The Unsung Gatekeeper of 2nm - A Long Trade Around the Split

KLA: The Unsung Gatekeeper of 2nm - A Long Trade Around the Split

KLA trades like a mature tech bellwether at $1,892.80 with a market cap near $247B. Its inspection, metrology and process-control portfolio is critical to hyperscalers and foundries pushing toward 2nm nodes. Combine robust free cash flow ($4.01B), sky-high returns (ROE ~80%), and a 10-for-1 stock split announced for 06/11/2026, and you have a concr…

Why Zeta's Price No Longer Matches the Business: A Short Trade Setup

Why Zeta's Price No Longer Matches the Business: A Short Trade Setup

Zeta Global (ZETA) posts healthy free cash flow and revenue growth, but a $4.1 billion market cap, EV/EBITDA ~36 and P/S near 2.9 price the stock for flawless execution. Recent regulatory noise, mixed insider/fund flows and technical weakness make the risk-reward skewed to the downside. This is a mid-term (45 trading days) short idea with a clearly…

ORIX (IX) - Position for a Beat and Follow-Through: A Swing Trade Plan

ORIX (IX) - Position for a Beat and Follow-Through: A Swing Trade Plan

ORIX (IX) offers a pragmatic swing trade: enter around today's price to play upside from expected better-than-consensus results and constructive guidance. The company trades at a modest valuation (PE 14.3, PB 1.48) with a $41.7B market cap and improving technical momentum. Target and stop are defined to keep reward/risk favorable while acknowledgin…

Novo Nordisk: Early Payoff From the Oral Wegovy Push

Novo Nordisk: Early Payoff From the Oral Wegovy Push

Novo Nordisk's rebound is being driven by strong data and adoption for its oral Wegovy and next-gen obesity candidates. The pullback is over; fundamentals and valuation leave room for a measured long trade. Entry $46.00, stop $42.00, target $56.00 for a mid-term push tied to product uptake and continued data flow.

AI Power Bottleneck Makes Constellation Energy (CEG) a Conviction Buy

AI Power Bottleneck Makes Constellation Energy (CEG) a Conviction Buy

Constellation Energy is the U.S. nuclear backbone at the moment the market is scrambling for reliable, low-carbon megawatts to feed AI data centers. Q1 revenue and EPS beat, a completed Calpine acquisition, and explicit guidance put the company on a path to meaningful earnings growth. Given the enterprise value of roughly $105 billion, limited free…

Abaxx: Key Infrastructure Wins, But Price Implies Perfection

Abaxx: Key Infrastructure Wins, But Price Implies Perfection

Abaxx has cleared several execution questions after launching its physically-settled LNG and carbon futures and showing persistent share-price strength. That progression makes a controlled, swing-oriented long plausible, but the company's $1.54B market cap and thin fundamentals leave little margin for error. Trade with a defined stop and realistic …

NextPower (NWPX): Acquisition Tethers Growth to Data Centers — Trade the Momentum, Respect the Execution Risk

NextPower (NWPX): Acquisition Tethers Growth to Data Centers — Trade the Momentum, Respect the Execution Risk

NextPower's acquisition of Apex positions the company squarely in the data-center infrastructure wave. That strategic pivot can justify a higher multiple if execution and margin expansion follow, yet the stock has already rallied sharply. This trade idea outlines a mid-term swing entry with a tight stop to capture continued rerating while limiting …

ServiceNow: AI Anxiety Has Been Priced In — A Re-rating Trade Setup

ServiceNow: AI Anxiety Has Been Priced In — A Re-rating Trade Setup

ServiceNow has been punished this year on fears that agentic models and competitive AI will hollow out traditional SaaS economics. The numbers suggest a different story: durable subscription revenue, healthy free cash flow ($4.63B), and a pathway to materially higher ARR via Now Assist. I see an asymmetric long setup with a clear entry, stop and a …