My portfolio is going to look completely different in two weeks from now. PLTR, RKLB, OKLO, OPEN, ASTS, NVTS, BBAI, RDW, BKSY all have earnings and I have positions in all of them.
Between Qualcomm, NVTS, Palantir, AMD, Robinhood, and Constellation Energy; which companies do yall see popping off from their earnings report. I think Palantir and AMD will sell off because they are overpriced for the amount of dollars you have to spend to see a ROI. I’m thinking Qualcomm and Robinhood have potential to break out after earnings.
I'm up +11k yesterday, but down -2.5k today from my small caps declining RR, PATH, BBAI, RKLB, OKLO, NVTS, RDW, SYM, BSKY, ASTS all down today.
Oh well, still up +9.5k on the week so far with big day tomorrow.