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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10,955 total articles

Overlap in African Drilling Creates a Tactical Long on Vaalco (EGY)

Overlap in African Drilling Creates a Tactical Long on Vaalco (EGY)

Vaalco is executing concurrent drilling and restart programs across Gabon, Cote d'Ivoire and Egypt. Positive early results and an asset sale that bolsters liquidity make a tactical long here attractive. Trade plan below targets a near-term recovery toward the $6s while keeping a tight stop against operational or commodity setbacks.

Rivian R2 Catalyst: A Swing Trade on Delivery Momentum

Rivian R2 Catalyst: A Swing Trade on Delivery Momentum

Rivian's cheaper R2 SUV has started to show up in the numbers: 12,194 Q2 deliveries and a raised 2026 guide to 65,000-70,000. Technicals are constructive and short pressure is significant but easing. This trade targets a momentum-driven swing that leans on R2 volume and improving unit economics while respecting cash and FCF headwinds.

PayPal Looks Cheap on Paper — But the Setup Favors a Tactical Short

PayPal Looks Cheap on Paper — But the Setup Favors a Tactical Short

PayPal trades at single-digit multiples and generates meaningful free cash flow, yet core transaction growth is stalled, management faces execution questions, and legal pressure is rising. The market is pricing steady earnings; we expect downside once catalysts materialize. This is a tactical short for investors willing to accept elevated risk.

Western Digital: Practical Long on Durable Demand, Not a Pure AI Sprint

Western Digital: Practical Long on Durable Demand, Not a Pure AI Sprint

Western Digital ($538.99) sits squarely in the memory and storage value chain benefiting from AI data-center buildouts and constrained NAND supply. The business generates strong cash flow and returns on equity, but the stock trades at premium multiples that could re-rate quickly if supply normalizes or AI spending stalls. This trade idea proposes a…

Buy Amerigo for the Dividend, Not the Rally

Buy Amerigo for the Dividend, Not the Rally

Amerigo Resources (ARREF) offers a modest ~2.5% yield and a stable payout cadence that makes it a candidate for income-oriented position trades. This is a buy-for-dividend setup: own the stock for distributions and defensive yield, limit capital exposure with a clear stop, and don’t expect rapid appreciation absent a change in mining fundamentals o…

Navitas (NVTS): A High-Conviction Long After a Brutal Reset

Navitas (NVTS): A High-Conviction Long After a Brutal Reset

Navitas Semiconductor sells a simple narrative right now: cutting-edge GaN power ICs, a tangible win with NVIDIA integration, high insider churn and an expensive long-term valuation — combined with a share price that has already retraced sharply from $34 to the mid-teens. For traders willing to accept execution and macro risk, NVTS offers an attrac…

Hermès: Tariff Shock Creates a Shortable Window Despite Brand Strength

Hermès: Tariff Shock Creates a Shortable Window Despite Brand Strength

Hermès (HESAY) remains a fortress brand, but rising talk of tariffs on European exports and recent heavy short-volume spikes create a tactical shorting opportunity. Market cap sits at ~$198.6B with a P/E of 38.7, yet the share price has plunged from a $289.87 52-week high to $188.14 today. Technical momentum is bearish and average volumes have surg…

Calix: Buy the Pullback — A Swing Trade into the Recovery

Calix: Buy the Pullback — A Swing Trade into the Recovery

Calix has pulled back toward $35 after a steeper move from its 52-week high. The core story - broadband operators upgrading to cloud-enabled access gear - remains intact. With a market cap of roughly $2.45B, positive free cash flow, and supportive technicals, a disciplined long with a tight stop offers an attractive risk/reward over the next 45 tra…

Buy WYFI: A Direct Play on the AI Power Bottleneck

Buy WYFI: A Direct Play on the AI Power Bottleneck

WhiteFiber (WYFI) is a $1.21B market-cap operator of AI-focused cloud and colocation capacity that just pulled back into the low $30s. The company has locked large, long-duration power contracts and is uniquely exposed to the 40+ MW deployments that underpin modern generative AI clusters. For traders willing to accept execution and execution-risk i…

NiSource: An Electrification Play for Data Center Power Demand

NiSource: An Electrification Play for Data Center Power Demand

NiSource (NI) is a regulated utility with growing electric exposure in northern Indiana and an attractive entry point for investors who want to play near-term data center-driven power demand while collecting a 2.6% yield. Balance-sheet and cash-flow execution are the primary watch items, but the stock's combination of stable regulated earnings, mod…

Buy PUGBY: Undervalued Luxury Exposure at an Attractive Entry

Buy PUGBY: Undervalued Luxury Exposure at an Attractive Entry

PUIG BRANDS S.A. U/ADS (PUGBY) is a high-conviction long idea. At $9.91, the stock trades with technical momentum, limited observable short coverage, and is being priced like a conservatively valued luxury compounder despite reported revenue north of €5 billion in 2025. This trade targets a re-rating toward a mid-teens multiple over a mid-term hori…