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09-13 08:18

HOOD Weekly: New Crypto.com Deal, Yet Shares Reverse Sharply

$Robinhood(HOOD)$ โšก Key Takeaway HOOD's sharp pullback this week looks like a natural pause following an unusually large prior surge, not a break in the underlying story. A wave of continued bullish analyst coverage and a new prediction-markets partnership landed early in the week, yet the stock still reversed sharply on the very day that partnership was announced โ€” a pattern consistent with investors booking gains after last week's outsized run. The zone level is expected to strengthen meaningfully despite this week's decline, while the 10-week expected average has moderated from an unusually elevated reading toward a more typical level. With Risk Level still anchored at its mildest tier and the short-term stance upgrading rather than weakening,
HOOD Weekly: New Crypto.com Deal, Yet Shares Reverse Sharply

HOOD Slip Again, But the Reversal Signal From Yesterday Just Vanished

$Robinhood(HOOD)$ ๐Ÿ“‹ Executive Summary ๐Ÿ”‘ At a Glance Row Status Trend Zone ๐ŸŸฉ Bullish โ€” Correction Trend (Box Pattern) Risk Level ๐ŸŸข Level-1 (โˆ’13%) Bearish Zone Entry Risk โš ๏ธ 0% within 10 days Cumulative Return +11.3% (Buy Entry $103.60 / Aug 24, 2026) Prediction Volatility โžก๏ธ Low ๐ŸŽฏ Trading Plan Action Price Target Timing ๐Ÿ”ด Sell $137.70 Sep 17 โ€“ Sep 18 ๐ŸŸข Buy $115.20 Sep 09 โ€“ Sep 10 ๐Ÿ”ต Sell Target To Be Determined Pending [Adaptive Long]: Correction with Low Risk (Downside Appears Limited/Transitory) - Moderate Reward Potential (Upside Appears Balanced/Uncertain) => Buy near support on down-close weakness [Inverse Allocation]: No exposure warranted โšก Key Takeaway Yesterday's elevated reversal-risk reading didn't develop into anything โ€” instead, the
HOOD Slip Again, But the Reversal Signal From Yesterday Just Vanished

HOOD Shares Pull Back After a Blistering Rally With a Reversal Signal Flash

$Robinhood(HOOD)$ โšก Key Takeaway Today's pullback lands at a genuinely pivotal moment for this position. The probability of a near-term shift into a Bearish zone has climbed past the halfway mark, and the forward-looking 10-day outlook has flipped from a strongly positive reading to a modestly negative one. Yet the risk framework itself hasn't budged from its mildest tier, and the short-term stance has shifted to Neutral rather than an outright Sell โ€” a sign this reads as a trend testing its footing rather than one breaking down. Ten days and a 13.2% gain into this Buy and Hold position, the coming few sessions should clarify whether this is a healthy pause or the start of something more significant. โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”โ”
HOOD Shares Pull Back After a Blistering Rally With a Reversal Signal Flash

US Stock Market Rally Delayed the Correction, But the Risks Behind It Have Not Gone Away

$S&P 500(.SPX)$ $SPDR S&P 500 ETF Trust(SPY)$ $Dow Jones(.DJI)$ $SPDR Dow Jones Industrial Average ETF Trust(DIA)$ $NASDAQ 100(NDX)$ $Invesco QQQ(QQQ)$ $iShares Russell 2000 ETF(IWM)$ The U.S. stock market closed August with a stronger-than-expected performance. Expectations of a potential breakthrough between the United States and Iran regarding the reopening of the Strait of Hormuz, combined with strong earnings from major technology companies, helped the market maintain a relatively solid
US Stock Market Rally Delayed the Correction, But the Risks Behind It Have Not Gone Away

SOXL Rallied 5.34% on Nvidia's Earnings, Its Own Risk Score Just Got Worse

๐Ÿ“Š This Week's Recap & Outlook $Direxion Daily Semiconductors Bull 3x Shares(SOXL)$ From last week's opening report to this week's daily coverage, here's how the SPR cycle for SOXL actually played out โ€” and what it means going forward. All reports are published at pretiming.report. A note before the recap: this batch included the opening Weekly report, two Daily reports (Aug 31 and Sep 01), and the closing Weekly report โ€” Daily write-ups for Sep 02โ€“04 weren't part of this set. Where those three sessions matter to the story, this recap draws only on the closing Weekly's own account of them and on simple arithmetic between the two closing prices we do have, not on invented daily figures. SOXL's week produced a genuinely strong number on the surfa
SOXL Rallied 5.34% on Nvidia's Earnings, Its Own Risk Score Just Got Worse

Chip ETF SOXL Fights a Weak Tap, What Comes Next?

$Direxion Daily Semiconductors Bull 3x Shares(SOXL)$ ๐Ÿ“‹ Executive Summary ๐Ÿ”‘ At a Glance Field Status Trend Zone ๐ŸŸฅ Bearish โ€” Downtrend Risk Level ๐ŸŸ  Level-3 (โˆ’63%) Bullish Zone Entry Probability ๐Ÿ”” 0% within 10 days Cumulative Return โˆ’19.6% avoided (Sell Entry $140.30 / Aug 07, 2026) Prediction Volatility โฌ†๏ธ High ๐ŸŽฏ Trading Plan Action Price Target Timing ๐Ÿ”ด Sell $110.80 Aug 31 โ€“ Sep 01 ๐ŸŸข Buy $83.50 Sep 09 โ€“ Sep 10 ๐Ÿ”ต Sell Target To Be Determined Pending [Adaptive Long]: Very High Risk (Downside Appears Substantial/Sustained) - Very Low Reward Potential (Upside Appears Limited/Transitory) => Avoid new positions โ€” stay in cash [Inverse Allocation]: Aggressive tactical entry review on favorable setups โšก Key Takeaway The bearish structure that has held S
Chip ETF SOXL Fights a Weak Tap, What Comes Next?

$SOXL Weekly Outlook AI Spending Doubts Put 3x Chip Rally Under Pressure

$Direxion Daily Semiconductors Bull 3x Shares(SOXL)$   ๐Ÿ“‹ Executive Summary ๐Ÿ”‘ At a Glance Field Status Trend Zone ๐ŸŸฅ Bearish โ€” Downtrend Beginning (Ascending Rectangle) Risk Level ๐ŸŸก Level-2 (โˆ’50%) Bullish Zone Entry Probability ๐Ÿ”” 0% within 10 weeks Cumulative Return โˆ’38.6% Downside Risk Avoided (Sell Entry $181.50 / Jun 29, 2026) Prediction Volatility โžก๏ธ Low ๐ŸŽฏ Trading Plan Action Price Target Timing ๐ŸŸข Buy $97.20 Sep 14 โ€“ Sep 21 ๐Ÿ”ด Sell $134.10 Oct 05 โ€“ Oct 12 ๐Ÿ”ต Sell Target To Be Determined Pending โšก Key Takeaway SOXL's first appearance in this cycle's coverage arrives amid a genuinely difficult stretch for the semiconductor sector broadly, with renewed concerns about the sustainability of AI-related spending triggering a fresh round of selling t
$SOXL Weekly Outlook AI Spending Doubts Put 3x Chip Rally Under Pressure

$SOXL Faces a Volatility Test as AI Chip Momentum Wavers

If youโ€™ve been tracking the semiconductor space this summer, youโ€™ve probably felt the whiplash. One week the AI narrative feels unstoppable; the next, bond yields spike or a geopolitical headline lands and the whole group takes a sharp breath. That volatility is precisely why the $Direxion Daily Semiconductors Bull 3x Shares(SOXL)$ keeps drawing attentionโ€”and why it is SPRโ€™s featured ticker for next weekโ€™s Pretiming Report update. Before the technical analysis lands, it helps to step back and understand the underlying business drivers, the Streetโ€™s mixed signals, the near-term catalysts, and the structural risks that come with triple daily leverage. Recent News and the Backdrop for Price Swings SOXL does not own a single company in isolation. It s
$SOXL Faces a Volatility Test as AI Chip Momentum Wavers

$AXTI Slips Again as AI Substrate Demand Keeps Bull Case Alive

$AXT Inc(AXTI)$ AXTI slipped again today, extending a volatile stretch that has seen the stock swing sharply in both directions over the past week, even as Wall Street analysts have kept a bullish stance and continued raising earnings estimates on strong demand for the company's indium phosphide substrates used in AI data center applications. ๐Ÿ“‹ Executive Summary ๐Ÿ”‘ At a Glance Row Status Trend Zone ๐ŸŸฅ Bearish โ€” Downtrend (Rebound Signal Emerging) Risk Level ๐ŸŸ  Level-2 (โˆ’54%) Bullish Zone Entry Probability โœ… 68% within 5 days Cumulative Return โˆ’11.2% (Sell Entry $73.4 / Aug 19, 2026) Prediction Volatility โžก๏ธ Low ๐ŸŽฏ Trading Plan Action Price Target Timing ๐Ÿ”ด Sell $78.80 Sep 01 โ€“ Sep 02 ๐ŸŸข Buy $67.20 Sep 09 ๐Ÿ”ต Sell Target To Be Determined Pending [Adaptive
$AXTI Slips Again as AI Substrate Demand Keeps Bull Case Alive

$AXTI Hits Level-4 Risk as Reversal Odds Rise to 63%

$AXT Inc(AXTI)$ ๐Ÿ“‹ Executive Summary ๐Ÿ”‘ At a Glance Row Status Trend Zone ๐ŸŸฅ Bearish โ€” Downtrend Risk Level ๐Ÿ”ด Level-4 (โˆ’73%) Bullish Zone Entry Probability โœ… 63% within 6 days Cumulative Return โˆ’10.9% (Sell Entry $73.4 / Aug 19, 2026) Prediction Volatility โฌ†๏ธ High ๐ŸŽฏ Trading Plan Action Price Target Timing ๐Ÿ”ด Sell $97.50 Sep 04 ๐ŸŸข Buy $63.40 Aug 24 โ€“ Aug 25 ๐Ÿ”ต Sell Target To Be Determined Pending [Adaptive Long]: Downtrend with Very High Risk (Downside Appears Substantial/Sustained) - Very Low Reward Potential (Upside Appears Limited/Transitory) => Avoid new positions โ€” stay in cash [Inverse Allocation]: Strong buy/hold in line with the downtrend โšก Key Takeaway A sharp sell-off today pushed the position directly into its most severe Risk Level tier, t
$AXTI Hits Level-4 Risk as Reversal Odds Rise to 63%

IONQ Cycle Recap: Record Earnings, a Two-Tier Risk Round Trip, and a Bullish Position

๐Ÿฐ Last Week's Full Course: $IONQ Inc.(IONQ)$ From last week's opening report to this week's daily coverage, here's how the SPR cycle for IONQ actually played out โ€” and what it means going forward. All reports are published at pretiming.report. A note before the recap: this batch included the opening Weekly report, three Daily reports (Aug 17โ€“19), and the closing Weekly report โ€” the Thursday and Friday Daily write-ups for this week weren't part of this set. Where those two sessions matter to the story, this recap draws only on the closing Weekly's own account of them, not on invented figures. IONQ's week opened with a familiar tension: record Q2 revenue growth the stock still wasn't rewarding. It closed with that tension essentially unresolved, bu
IONQ Cycle Recap: Record Earnings, a Two-Tier Risk Round Trip, and a Bullish Position

AXTI Beat Earnings by Nearly 3x, Then Gave Back Half Its Rally

Six weeks ago, $AXT Inc(AXTI)$ was a quiet, niche materials supplier trading in the high-$30s. Then a blowout earnings print sent it as high as $96, before the stock gave back a meaningful chunk of that move and now trades in the high-$60s to low-$70s. Before SPR's technical coverage on AXTI updates next week, here's the fundamental case underneath the volatility: what actually drove the surge, what Wall Street thinks it's worth now, and the export-permit risk that's been the company's recurring headache for three years running. The News Behind the Move Picture a small semiconductor-materials company that most investors had never heard of, quietly supplying the wafers that go into fiber-optic lasers โ€” and then AI data center demand shows up at its
AXTI Beat Earnings by Nearly 3x, Then Gave Back Half Its Rally

$IONQ Stays Bullish but the Risk Signal Just Changed

$IONQ Inc.(IONQ)$ ๐Ÿ“‹ Executive Summary ๐Ÿ”‘ At a Glance Row Status Trend Zone ๐ŸŸฉ Bullish โ€” Correction Trend Risk Level ๐ŸŸ  Level-3 (โˆ’70%) Bearish Zone Entry Risk โš ๏ธ 0% within 10 days Cumulative Return +13.6% (Entry $38.9 / Aug 03, 2026) Prediction Volatility โฌ†๏ธ High ๐ŸŽฏ Trading Plan Action Price Target Timing ๐Ÿ”ด Sell $48.50 Aug 27 โ€“ Aug 28 ๐ŸŸข Buy $41.90 Aug 20 โ€“ Aug 21 ๐Ÿ”ต Sell Target To Be Determined Pending [Adaptive Long]: Correction with High Risk (Downside Appears Substantial/Sustained) - Low Reward Potential (Upside Appears Limited/Transitory) => Sell into strength, or hold cash (avoid new entries) [Inverse Allocation]: Consider entry only if a transition into the Bearish zone looks increasingly likely; otherwise, no exposure warranted โšก Key Takeaway
$IONQ Stays Bullish but the Risk Signal Just Changed

$IONQ Extends Its Winning Streak as Gains Near 21%

$IONQ Inc.(IONQ)$ ๐Ÿ“‹ Executive Summary ๐Ÿ”‘ At a Glance Row Status Trend Zone ๐ŸŸฉ Bullish โ€” Uptrend Risk Level ๐ŸŸข Level-1 (โˆ’18%) Bearish Zone Entry Risk โš ๏ธ 0% within 10 days Cumulative Return +20.6% (Entry $38.9 / Aug 03, 2026) Prediction Volatility โžก๏ธ Low ๐ŸŽฏ Trading Plan Action Price Target Timing ๐Ÿ”ด Sell $51.70 Aug 19 โ€“ Aug 20 ๐ŸŸข Buy $46.90 Aug 17 โ€“ Aug 18 ๐Ÿ”ต Sell Target To Be Determined Pending [Adaptive Long]: Uptrend with Very Low Risk (Downside Appears Limited/Transitory) - Very High Reward Potential (Upside Appears Substantial/Sustained) => Strong buy/hold in line with the uptrend [Inverse Allocation]: No exposure warranted โšก Key Takeaway IONQ's Buy and Hold position marks its tenth day in a Bullish zone today, with the uptrend continuing to hold i
$IONQ Extends Its Winning Streak as Gains Near 21%

USMAI Nears a Bullish Breakout as Transition Odds Hit 93%

$S&P 500(.SPX)$ $SPDR S&P 500 ETF Trust(SPY)$ $NASDAQ 100(NDX)$ $Invesco QQQ(QQQ)$ $Dow Jones(.DJI)$ $iShares Russell 2000 ETF(IWM)$ Key Takeaway USMAI's fourth week in the Bearish zone brought this cycle's single strongest weekly gain, and the model's confidence in an imminent Bullish handoff has followed suit โ€” a 93% probability within just one week, up from 65% last week and the highest reading issued for any ticker in this coverage cycle. This mirrors the pattern already confirmed in SPY's own transition this same week, reinforc
USMAI Nears a Bullish Breakout as Transition Odds Hit 93%

US Stock Market Rally Hits August Target Ahead of Schedule

$S&P 500(.SPX)$ $SPDR S&P 500 ETF Trust(SPY)$ $NASDAQ 100(NDX)$ $Invesco QQQ(QQQ)$ $Dow Jones(.DJI)$ $iShares Russell 2000 ETF(IWM)$ The U.S. stock market finished this week with a significantly stronger upward move than previously anticipated, recording a sharp rally within a very short period of time. Our previous outlook expected a strong upward move early in the week, followed by a gradual supply-and-demand stabilization process that would allow the market to maintain a more moderate upward trend through the latter part of the w
US Stock Market Rally Hits August Target Ahead of Schedule

Small-Cap Tech Stocks Could Be the Next Big Winners

This week's sharp decline in oil $WTI Crude Oil - main 2610(CLmain)$ prices, combined with weaker-than-expected U.S. labor market data, has significantly reduced expectations for further Federal Reserve tightening while increasing expectations for either a rate hold or potential rate cuts. This shift in interest-rate expectations is already having a meaningful impact on sector rotation and investor sentiment. As investors begin to anticipate a more favorable monetary-policy environment, risk appetite is strengthening rapidly, particularly toward growth stocks and technology companies. From a market-sector perspective, one of the most notable developments is the increasingly attractive outlook for small- and mid-cap technology stocks. These com
Small-Cap Tech Stocks Could Be the Next Big Winners

IONQ Is Growing Fast. But How Much Is It Really Worth?

$IONQ Inc.(IONQ)$ 's Revenue Grew 287% โ€” So Why Do Analysts Still Disagree by $51 a Share? August 15, 2026 IonQ just posted the best quarter in its history, beat revenue estimates by roughly 20%, and raised its full-year outlook โ€” and the stock has responded by ripping higher, up sharply from where it sat before earnings. But ask five analysts where it goes from here and you'll get five different answers, ranging from a company barely worth more than it trades for today to one worth more than double. Before SPR's technical coverage on IONQ updates next week, here's the fundamental picture: what actually happened last quarter, how Wall Street is pricing it, and why the valuation debate on this one is far from settled. The News Behind the Move Imagi
IONQ Is Growing Fast. But How Much Is It Really Worth?

NVDAโ€™s Bullish Run Faces a Short-Term Warning

$NVIDIA(NVDA)$ 's Bullish Zone Confirmed for Four Days, But the Daily Track Flipped Bearish Before Week's Close Week of Aug 10, 2026 | $225.20 | +0.54% By the numbers, NVDA's week looks almost sleepy: a 0.54% weekly gain, and the Weekly-track report closes the cycle exactly where its own framework said it would โ€” confirmed Bullish, Correction Trend, zero Bearish-zone risk. But the Daily-track read of that same five sessions tells a much more eventful story: a Bearish-transition warning that climbed from 0% to 93% in four days, an actual zone flip to Bearish on the cycle's last session, and an immediate 86% signal that the flip itself wouldn't last. Both reports are right. They're just measuring different things. Recap: What the Cycle Was Watching
NVDAโ€™s Bullish Run Faces a Short-Term Warning

IONQโ€™s Revenue Is Exploding, The Stock Isnโ€™t

$IONQ Inc.(IONQ)$ Weekly Report: Record Revenue, Yet the Stock Still Can't Find Its Footing Week of Aug 10, 2026 $46.30 | +4.12% IONQ posted record Q2 revenue growth of 287% and raised full-year guidance, yet the stock has spent the week digesting rather than celebrating that news โ€” a familiar pattern for this name, where strong fundamentals and price action have repeatedly diverged this year.   ๐Ÿ“‹ Executive Summary ๐Ÿ”‘ At a Glance Field Status Trend Zone ๐ŸŸฅ Bearish โ€” Rebound Trend (Ascending Rectangle) Risk Level ๐ŸŸก Level-2 (โˆ’49%) Bullish Zone Entry Probability โœ… 70% within 3 weeks Cumulative Return โˆ’6.2% Downside Risk Avoided (Sell Entry $49.30 / Jun 22, 2026) Prediction Volatility โžก๏ธ Low ๐ŸŽฏ Trading Plan Action Price Target Timing ๐Ÿ”ด Sell $54.50 A
IONQโ€™s Revenue Is Exploding, The Stock Isnโ€™t

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