A1 TRADING | Indices, Commodities, Forex, Futures
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The GDP miss seems to be only affecting the stock market negatively. Crypto and gold appear to be taking this in a positive light. This can serve as an indicator that maybe the stock market is the main reactor to Fed and GDP news.
-Frank

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How much do you use fundamental analysis in your trading?
Anonymous Poll
45%
All the time
34%
Sometimes
21%
Not often enough
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When you finally become a macro/fundamental trader:
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$TSLA Daily Chart:

The march to new highs...? On a technical note, it looks like we may be seeing a breakout here.

Fundamentally, I think the stock has massive upside - due to their first move advantage in electric vehicles, AI robotics, and their close proximity to the current administration via Elon Musk.

I continue to stay long and buying dips.

- Nick
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S&P500 Daily Chart / $SPY

Price powering higher here on strong earnings, satisfactory inflation, and strong overall economic outlook.

The dip on Monday was an opportunity for those that didn't panic on Chinese LLM copy-cat news. (DeepSeek).

Stay with the trends. Bulls on parade!

- Nick
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Gold Secret Video...

You guys gotta check this out! Found something interesting...

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- Nick
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Sorry guys I crashed out
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Chart of the Day: EUR/USD πŸ”₯

Downtrend continuation play in the cards this week?

I'll be watching it close!

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Locked another winner on USD/CHF πŸ™
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Discount code: TGVIP
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Tariffs are causing some market jitters this evening, with most risk assets gapping lower.

In my opinion, there are some opportunities to buy the dip - but it may not be right away.

I'll be sharing any trades I take in VIP.

I'll be covering this in more detail during tomorrow's session. Stay tuned.

- Nick
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I ended up being very wrong about gold last week. The Fed had no impact on this metal, rather, tariff concerns brought heavy demand to this safe-haven asset. The interesting thing about this situation is that both dollar and gold are moving up simultaneously. Safe-haven and risk-on trades will probably interchange throughout the year, so choppy markets could be expected in 2025.

-Frank
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The SPX500 is still getting a bullish score on the EdgeFinder which is probably justifiable for now. Despite a break in trend, economics are still healthy, and sentiment is likely going to flip-flop regardless. The best thing to do now is monitor how far the market corrects before bouncing back because this cycle may repeat several times just like in 2018. Price touched down to a falling trend line on the 1D timeframe and bounced about 70 points. We will see the impact for tariff news and whether or not we should sweat the quick sell offs or not.
-Frank

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