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.

Articles

10,938 total articles

Teleflex: Caution After Clarity - A Mid-Swing Long with Conditions

Teleflex: Caution After Clarity - A Mid-Swing Long with Conditions

Teleflex ($TFX) is trading near $122.93 after a run-up that has pushed momentum indicators into bullish territory. The business still shows negative EPS but solid free cash flow, a modest leverage profile, and exposure to several end-markets that are growing. This trade idea lays out a mid-term (45 trading days) long with a clear entry, stop and ta…

Lincoln National: A Defensive Long vs. Private Credit Headwinds

Lincoln National: A Defensive Long vs. Private Credit Headwinds

Lincoln National (LNC) looks attractive as a mid-term trade. The stock trades at a low P/E (~5.9) and P/B (~0.66), yields roughly 5.25%, and sits well below its 50-day and 20-day averages. While private credit exposure is a known industry vulnerability, Lincoln's diversified annuities and group protection franchises, combined with an enterprise val…

Nano Labs (NA): Deep-Value Crypto Pivot — A High-Risk Swing Trade

Nano Labs (NA): Deep-Value Crypto Pivot — A High-Risk Swing Trade

Nano Labs has shifted from fabless chip development toward building crypto reserves, accumulating 128,000 BNB, cutting operating costs and shrinking revenues. At a $70.5M market cap and a share price near $2.99, this is a high-risk, high-reward swing trade that stakes on asset revaluation and improved execution over the next 45 trading days.

Xometry: Growth Intact — Buy a Rebound While Fundamentals Improve

Xometry: Growth Intact — Buy a Rebound While Fundamentals Improve

Xometry (XMTR) has seen its shares pull back sharply from the 52-week high, but core fundamentals remain intact: accelerating marketplace revenue, strengthened profitability metrics, and a cleaned-up balance sheet after a $250M convertible note refinancing. This trade idea targets a mid-term rebound to $55 while protecting capital with a $36 stop.

Why a Tactical Hold on Exxon Makes Sense While the Iran Shock Plays Out

Why a Tactical Hold on Exxon Makes Sense While the Iran Shock Plays Out

Exxon Mobil is a high-quality cash generator that benefits from higher oil prices, but geopolitical volatility around Iran is driving an outsized short-term premium into equities. I agree with a quant-style 'Hold' while uncertainty around the Strait of Hormuz persists. For traders who want a stab at upside, a small, mid-term swing long on a discipl…

V2X: Mobilized for Mission-Critical Growth - A Tactical Mid-Term Long

V2X: Mobilized for Mission-Critical Growth - A Tactical Mid-Term Long

V2X looks positioned to benefit from rising defense and critical-infrastructure spending on resilient vehicle-to-everything communications and rugged edge compute. With public financial disclosures thin, this is a catalyst-driven swing trade: enter at $6.50, stop at $4.50, target $10.00 over a mid-term window (45 trading days), balanced for asymmet…

Compugen (CGEN) Trade Idea - Buy the Advancements, Size the Risk

Compugen (CGEN) Trade Idea - Buy the Advancements, Size the Risk

Compugen's apparent win on non-dilutive funding for rilvegostomig plus advancement of GS-0321 lifts a thinly traded biotech with a $211M market cap. Momentum is real today, but the setup is still binary. This trade targets a mid-term 45-trading-day move with a tight stop to manage downside while leaving room for upside on catalysts.

I Got In Early on AAOI — Here’s a Pragmatic Mid-Term Trade Plan

I Got In Early on AAOI — Here’s a Pragmatic Mid-Term Trade Plan

Applied Optoelectronics jumped into the spotlight on accelerating demand for 800G optical transceivers in AI data centers. The business shows rapid top-line growth, but the valuation and stretched technicals require a disciplined trade. I outline a mid-term trade (45 trading days) with entry, stop and target, plus the catalysts and risks that will …

Buy Greggs Ahead of Earnings - A Value Play on Temporary Weakness

Buy Greggs Ahead of Earnings - A Value Play on Temporary Weakness

Greggs looks oversold into its upcoming earnings window. The market has priced in slower daytime footfall and cost pressure, but the company's strong franchise, steady cash generation and proven ability to pass through price make a measured long set-up appealing. This trade plan targets a rebound into normalized margins and renewed same-store momen…

Pan American Silver: Momentum, Margin of Safety, and a Clear Long Trade

Pan American Silver: Momentum, Margin of Safety, and a Clear Long Trade

Pan American Silver (PAAS) has recovered sharply from 2025 lows and is trading near its 52-week high on stronger metals, improving technicals, and falling short interest. Balance-sheet strength, exposure to both silver and gold, and catalysts such as supply disruption risk in Mexico and new thematic ETFs argue the stock can extend gains. This is a …