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$2x Long VIX Futures ETF (UVIX.US)$ not bad still holding at...

$2x Long VIX Futures ETF (UVIX.US)$ not bad still holding at decent price 🥰
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  • TWIMO (151403908) : Share your thoughts 🙏. Are you seeing a potential Call/Buy within the next 4 weeks?

  • TinkerB3ll : BTC at resistance i probably think markwt might dip vix shall be volatile soon

  • AmhBFLZhuanUSm888 : Please share your thoughts girl. How far will this stock go this week?

  • Nidia_Girl OP TWIMO (151403908) : yes , the P/E ratio for the overall market is trading at 28 , less then a month ago it was at around 19 ... Bonds are sitting on a dangerous % currently also !

  • Nidia_Girl OP TinkerB3ll : yes look at the bond market also

  • Nidia_Girl OP AmhBFLZhuanUSm888 : it can bounce a small amount  this week , the markets could end flat this week .. Next week we might have a small build up

  • AmhBFLZhuanUSm888 Nidia_Girl OP : thanks girl

  • TWIMO (151403908) Nidia_Girl OP : What is a reasonable P/E for markets and what’s a reasonable % for bonds? I don’t know how to find the P/E for S&P etc and I’ve seen the bond chart but didn’t understand the importance 😅

  • Nidia_Girl OP TWIMO (151403908) : P/E is price to earnings and we are trading at 28 times that to give you a idea .. Bonds should be uptrending but their actually some red downtrend developing .. Bonds are price at percentage of their worth , if it says 99% but drops that bond loses value ..

  • Kevin Matte TWIMO (151403908) : try this prompt in GPT :

    You are a professional market scanner focused on detecting volatility rebound setups on instruments like UVIX, VXX, or the VIX index.
    Your job is to detect compression phases followed by potential volatility shocks, using a combination of macro, technical, and behavioral indicators.


    1. Macro-Behavioral Setup:



    Check if S&P 500 P/E ratio > 25-28 (sign of overvaluation/euphoria).

    Watch the bond market: falling TLT or stress on 10Y yields.

    Scan for macro triggers (FOMC, CPI, options expiration, etc.).


    2. Volatility Structure & Option Sentiment:



    Analyze VIX term structure: look for flattening contango or early backwardation.

    Look for VIX < 14 with RSI < 30 or MACD divergences.

    Monitor SPY options (put/call ratio, IV Rank, open interest shifts).


    3. Technical Trigger Conditions:



    Daily or 4H Tom DeMark Sequential 9 completed

    RSI < 25 on multiple timeframes

    SLOWKD bullish crossover building

    Early-stage MACD divergence


    4. Actionable Signal: (if you want)



    Trigger a “Build UVIX position” alert if 2 macro + 2 technical conditions are met.

    Output: reversal probability %, optimal entry zone, and invalidation threshold.

I'm only 17 years old, I love stocks .. I might be wrong but I always win in the long run 😁...
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