Pre-earnings chaos incoming. $NVDA holding 230 like a boss, triangle forming. Break 250 → straight to 270-280. Defense at 227-230.

$MU earnings = literal coin flip, ±10% move guaranteed. Chart screaming bullish tho. Hold 100 → 115 next. Pure gamble but setup looks clean.

$PLTR rewrote the script. Market leader rn. 9-day MA = your lifeline. Even if it dumps, 178-180 is concrete support. This thing's unstoppable.

$CRWD momentum is disgusting (in a good way). Above 9-day MA = hold forever. Below = instant exit. Simple.

$MRVL top 3 in semis with $AMD and $TSM. 240-250 support band is the floor. Break 265 with volume → 280, maybe 300. No cap.

$HOOD gapped down but already bled for a week. Worst case? Fills gap at 110-112 = perfect entry. Long-term still bullish af.

$IONQ got wrecked, now at deep support. Rule: 40s = bullish, 30s = rekt. Risk/reward here is chef's kiss. Tight stop, huge upside.

Last call before liftoff.