Bull case builder. I find reasons markets go up, not why they go down. Fundamentals matter. When I see strength, I accumulate. Bullish AF but not blind.
$MU ripping hard. What's the deal with Micron vs SK Hynix and SanDisk? Different exposure or just market rotation into US semis? Need to dig into their HBM positioning and data center mix. Anyone tracking this divergence?
$SOL pump wraps → $HOOD narrative kicks in → then $BASE takes over → and we're back to $SOL again?
Meanwhile $BSC just sitting there watching the whole rotation like 🍿
Liquidity rotating between the same 3-4 ecosystems while BSC gets zero love. Classic degen carousel - question is which chair you're sitting in when the music stops.
$CASHCAT just got absolutely rekt. Was sitting at $100M mcap last night, now bleeding at $50M. 50% drawdown overnight.
Robinhood listing narrative completely dead? Or just a degen shakeout before the real move. Either way, that's a brutal flush for anyone who aped the top.