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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12,234 total articles

Rubrik: Execution Is Quietly Closing the Gap Between Growth and Value

Rubrik: Execution Is Quietly Closing the Gap Between Growth and Value

Rubrik reported stronger-than-expected Q4 results and raised fiscal 2027 revenue guidance, yet the stock trades well below its prior highs. With subscription ARR at $1.46B, subscription revenue up 50% year-over-year, and free cash flow of $242.97M, Rubrik is a growth name showing real operational leverage. This trade idea outlines a mid-term long w…

Domino's Pizza Group: Buy for Dividend Capture and a Recovery Bounce

Domino's Pizza Group: Buy for Dividend Capture and a Recovery Bounce

Domino's Pizza Group (DPUKY) is trading at $4.855 with a 4.80% dividend yield and a modest PE of 12.1. The stock sits below its short- and medium-term moving averages and shows bearish momentum, but an upcoming ex-dividend date (04/07/2026) plus a valuation that looks reasonable for a stable franchisor create a trade-worthy risk-reward. This idea l…

Why Nvidia's $2 Billion Strategic Push Trumps AI Bubble Chatter

Why Nvidia's $2 Billion Strategic Push Trumps AI Bubble Chatter

Nvidia's capital move into AI infrastructure has reignited the story that matters: real capacity and product leadership that convert into durable free cash flow. With a market cap north of $4.3 trillion, expansive margins and more than $96 billion in free cash flow last reported, the risk is not that AI is a fad - it is that the market has already …

Globe Life: Cheap, Cash-Generating Life Insurance with a Clear Upside

Globe Life: Cheap, Cash-Generating Life Insurance with a Clear Upside

Globe Life (GL) is a cash-generative, niche life and supplemental-health insurer trading at a single-digit P/E and below historical multiples for high-quality specialty insurers. Strong free cash flow, a $0.33 quarterly dividend, and a benign regulatory backdrop make a measured long trade attractive for traders targeting a mid-term rebound.

Buying the MI450 Run: A Tactical AMD Trade Plan Into the Next AI Wave

Buying the MI450 Run: A Tactical AMD Trade Plan Into the Next AI Wave

AMD looks positioned to benefit from a fresh datacenter AI accelerator cycle centered on the MI450. Fundamentals show a cash-generative company with low leverage and a large market cap, but valuation is rich. This trade targets a mid-term breakout while keeping a tight stop to manage event risk around product specs and competitor announcements.

Solid Power: Tactical Long — Buy the Dip, Aim for a Real Rebound

Solid Power: Tactical Long — Buy the Dip, Aim for a Real Rebound

Solid Power (SLDP) looks buyable around current levels after a pullback into oversold territory and improving short-term momentum. The company still trades at a premium relative to revenue and is burning cash, so this is a tactical, conviction-weighted long with clearly defined risk controls: entry $3.20, stop $2.60, target $5.00 for a mid-term pla…

Collect the Yield, Ride the Recovery: A Practical Buy on Pfizer

Collect the Yield, Ride the Recovery: A Practical Buy on Pfizer

Pfizer is trading at a depressed multiple and a 6%+ yield despite stable cash generation, a manageable balance sheet and an improving pipeline. This trade idea recommends buying Pfizer at current levels to capture the dividend while positioning for a recovery in earnings and sentiment. Entry, stop and target provided with risk context and catalysts…

Signet Jewelers: A Tactical Long — Cheap Cash Flow, Durable Demand

Signet Jewelers: A Tactical Long — Cheap Cash Flow, Durable Demand

Signet (SIG) trades at an attractive multiple relative to its cash generation and carries multiple near-term catalysts: persistent jewelry spending (Valentine's strength), rising lab-grown adoption, and margin tailwinds from product mix and cost actions. With EV/EBITDA ~4.8 and P/FCF ~5.7 versus a $3.34B market cap, there's tangible upside if comps…