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Crypto market
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Crypto vs stocks — key differences to know
24/7 trading: Crypto never sleeps. Price can move 20% while you sleep. Stop losses and position sizing are even more critical than with stocks.
Meme coins (DOGE, SHIB, PEPE): Driven almost entirely by social media and influencer posts. Pure speculation. Never put money in these you are not prepared to lose entirely.
Bitcoin dominance: When BTC rises, alts often follow. When BTC crashes, alts usually crash harder. BTC is the tide that lifts or sinks all boats.
Pre-market & after-hours — search a ticker
Search a ticker to see extended hours data.
How to use pre-market data
Gap up 2%+ pre-market: Buyers excited — often earnings, upgrades, or overnight news. Watch whether it holds at open or fades in first 15 minutes.
Gap down 2%+ pre-market: Sellers in control before bell. First 30 minutes often determines if gap fills or extends lower.
Pro tip: Many traders wait for the opening range (first 15-30 min) before placing trades. The real direction usually becomes clear then. Thin pre-market volume can create misleading moves.
Upcoming earnings — next 30 days
Earnings history — search a ticker
Search a ticker above for AI-powered earnings analysis.
Earnings trading rules
Never hold through earnings unless sized way down. Even a "good" report can sell off on a penny miss vs whisper number.
IV Crush: Options prices spike before earnings then collapse after — even if stock moves the expected direction. Buying options pre-earnings is often a losing trade.
Whisper number: The published "estimate" is often sandbagged. Research what traders actually expect vs what is published. The gap between those two numbers is what moves the stock.
Unusual options activity
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How to read options flow
Bullish signals: Large call sweeps (bought at ask), far out-of-the-money calls with big premiums, call/put ratio above 2:1.
Bearish signals: Large put sweeps, deep in-the-money puts, sudden surge in put volume on an otherwise quiet stock.
Remember: Large puts can be hedges, not just bearish bets. Context matters — use options flow as one signal among many, not a standalone trigger.
SEC insider buying & selling — search a ticker
Search a ticker then click "Load filings" to see recent SEC Form 4 insider transactions.
Why insider filings matter
Insider buying is a strong signal. When a CEO or CFO buys their own company's stock with personal money, they are putting skin in the game. They know the business better than anyone.
Insider selling is not always bearish. Executives sell for many reasons — diversification, taxes, divorce. Buying is almost always bullish. Selling is context-dependent.
Cluster buying: When multiple insiders buy at the same time, pay close attention. That is a rare and powerful signal that something good may be coming.
Short interest & squeeze potential
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Understanding short squeezes
High short interest (20%+): A large percentage of the float is sold short. If the stock rises, shorts must buy to cover — which pushes price higher — forcing more shorts to cover. This cascade is a short squeeze.
Days to cover: How many days it would take all short sellers to buy back their shares at average volume. Above 5 days = squeeze potential. Above 10 days = high squeeze risk.
GameStop lesson: GME had 140% short interest in Jan 2021. The squeeze took it from $20 to $483 in days. High short interest with a catalyst = explosive upside potential.
Fear & Greed index
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Market breadth indicators
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How to use sentiment
Extreme Fear = contrarian buy signal. The best buying opportunities in history came during periods of extreme fear. When everyone panics, sellers are often exhausted.
Extreme Greed = contrarian warning. When everyone is euphoric, who is left to buy? Markets rarely crash during fear — they top during greed.
Buffett's rule: "Be fearful when others are greedy, and greedy when others are fearful." Use sentiment as a timing overlay, not a standalone signal.
Economic calendar — upcoming market-moving events
How economic events move markets
FOMC / Fed meetings: The most market-moving event. Rate hike = bearish for stocks and crypto. Rate cut = bullish. Watch the language and "dot plot," not just the decision.
CPI (inflation): Hot CPI = Fed stays hawkish = bad for stocks. Cool CPI = possible rate cuts = bullish. Markets often move 1-3% on this number alone.
Jobs report (NFP): Too many jobs = inflation risk. Too few = recession fear. A goldilocks number moves markets up. Released first Friday of every month.
Pro rule: Do not hold leveraged positions into major economic events unless prepared for 3-5% gap moves against you. Reduce size before the event, re-enter after.
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Alerts are checked whenever you have this app open in your browser and click "Check alerts." For automated 24/7 alerts, you would need a server-side solution — something we can build later when deploying to your hosting.
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