Last community mention 8h ago · mention counts update as new posts are ingested.
@hpgpttrading8h ago
Speaking of not betting against this admin
me waking up to another morning of CL shorts printing
$USO $CL $SPY $SPX $QQQ
@cashoutgains18h ago
BANGERS OF THE DAY 9/15
$XRP Short 100x 358%🟢🔥
$AIN Long 50x 605%🟢🔥
$BTC Long 200x 254%🟢🔥
$CL Short 100x 104%🟢🔥
Shorted the high of day on XRP for the #clarityact dump. Crazy day. You think we see new lows or just a higher low?
$SOL $XRP $XLM $DOGE #oil #gold #bitcoin #ai #crypto
@eliasjuliuss1d ago
10 year yield at a 19 year high and crude pushing higher at the same time is a rough combo for equities. $SPX is fighting two headwinds at once. Rising $CL squeezes margins and rising yields compress multiples. The market can handle one. Both is a different conversation.
@lonelyraph1d ago
$SPX $ES_F $NQ_F Premarket
· Slightly offered overnight ahead of FOMC with $SPY at -0,13%, $QQQ at -0,05%, $IWM at -0,45% and $DIA at -0,22%
· Futures with $ES at -0,18%, $NQ at -0,16%, $RTY at -0,23%, $YM at -0,31%, $GC at -0,91% and $CL at +1,60%
· Vol quiet with $VIX at 17,05 (-0,29%), $VXN at 22,05, $VVIX at 94,89, long-vol products barely moving with $UVXY at -0,27%, $VIXY at -0,17%, $VXX at -0,11% and $SVIX at -0,90%
· Macro day : Bessent testifies at 16h00, 20-Year Bond auction at 19h00 & Clarity Act cloture vote at 20h15 with FOMC tomorrow
· Don't forget to switch your futures contract!
$SPX Map
· Spot at 7611 above our balance at 7595
· Upside : 7615 is our first test with biggest short cluster near spot, clearing it opens our 7650/7665 zone above straddle ceiling with extension at 7675
· Downside : losing our balance at 7595 opens our 7575/7560 zone just under straddle floor with extension at 7530
· Charm supportive above 7620 and bearish under it down to 7595 : we open right on the inflection so decay pushes nowhere at spot, support builds again under 7590 into the afternoon
· Gamma flipped short but close to zero at ~$0,4B per 1% : hedging adds little either way, positive gamma sits above 7625 and rebuilds around 7595 later in the session
· 0DTE Straddle at $29 against $30,9 yesterday : today keeps getting priced quieter while $VIX holds 17, move is parked on tomorrow's expiry
Interpretations are mine | Datas from
@drew8819892d ago
📊 Websea pretty active week 👀
🔥 Crypto movers: $BTW +38.96% | $FIL +23.39% | $POWER +19.81%
📈 TradFi: $SOXL +8.58% | $NOW +3.61% | $CL +3.16%
📊 Avg. daily futures volume: $5.9B
Also saw new listings, plus the Crypto vs Commodities trading PK
Lots happening across Websea 🌊
@cashoutgains2d ago
BANGERS OF THE DAY 9/14
$LSK Long 50x 1425%🟢🔥
$CL #oil Short 100x 312%🟢🔥
$SOL Short 100x 184%🟢🔥
$ETH Long 200x 250%🟢🔥
Went on a sniping rampage with the squad. Catch it all for free, in the discord.
$XRP $BTC $BNB $PENGU $AAVE $XLM $SPY $QQQ #gold #bitcoin #crypto #clarityact #ai
@pnlcheckdotcom2d ago
🔔 Market Squawk — US Diesel futures erase gains, near $4.96/gal. Oil drops to intraday low, Brent near $106. Stocks pare losses on US-Iran "step-by-step" deal hopes. $CL $SPX #Oil #Iran
Listen here:
@mktwaves3d ago
Oil jumping on Saudi strikes while Iran proxies stay active in Yemen and Iraq is not just a geopolitical flare. It is a direct input into the Fed's problem. $CL bid means goods disinflation stalls. Rate cuts get pushed. $SPX multiple compression risk is real.
@eliasjuliuss7d ago
$CL surging while $SPX sells off is not a coincidence.
Energy leads when the inflation trade is back on.
Bond yields climbing on the same day confirms it.
This is the rotation that punishes the crowded growth book.
@hayesjcarter7d ago
Oil ripping while bond yields climb and stocks slide is a rough combo. That's not a soft landing setup, that's just pressure building from three directions at once. $CL and $SPX moving opposite each other like this tends not to resolve quietly.
@macrotouchhq7d ago
🚨 JUST IN: Oil tops $100, reigniting inflation fears at a critical time for interest rates. A prolonged oil shock could keep consumer prices elevated and complicate central bank policy. $CL $USO $SPX $TLT
@savage_trades017d ago
Oil over $100. Stocks soft. BTC fighting 80k. Macro’s loud.
$NQ: plan before you size.
Free floor:
NFA
$CL $NQ $BTC #Oil #NQFutures #DayTrading #Crypto
@macrotouchhq7d ago
🚨 BREAKING: Oil tops $100/bbl for first time in 7 weeks, reigniting supply & inflation fears ahead of major central bank rate decisions. $CL $USO $SPX
@xhumbletrader7d ago
🎯 $SPX KEY TAKEAWAYS — SEPT. 9
Futures are off more that 40bps as the Iranian conflict amped up. With that $CL +2.5% to +$95
1️⃣ Gamma Still Supports the Market — For Now
$SPX gamma remains mildly positive across roughly 7,500–7,800.
That favors a familiar regime:
Dips bought → rallies sold → volatility contained.
But 7,550 is the line I don’t want to see break.
Below 7,550, much of that positive-gamma support disappears, increasing the risk of a sharper downside move.
2️⃣ $100 Oil Is Now a Real Equity Risk
The oil scenario we were watching has arrived.
Brent crude has broken $100, while WTI is around $95–96 as the Middle East conflict intensifies.
If oil remains elevated, the concern isn’t just energy prices — it’s inflation → rates → equity multiples.
A move in $SPX toward 7,600 could still remain relatively controlled while positive gamma holds.
3️⃣ Implied Volatility Is Sending a Warning
The supportive gamma backdrop isn’t the whole story.
SPX fixed-strike implied volatility has risen across the board.
That tells me traders are paying more for protection even while dealer gamma remains mildly supportive.
🎯 MY TAKEAWAY
The setup is becoming a tug-of-war:
Positive gamma → stabilizing
Higher implied vol → pressure
$100 Brent → macro risk
I’m watching:
7,600 → first downside area
7,550 → major gamma line
As long as positive gamma holds, dips can remain controlled.
Below 7,550, the character of the market could change quickly.
$SPX $SPY $VIX $CL
@finanzas_zen7d ago
🚨 El petróleo no para
Brent rozó los 99,5 $ esta semana.
Tensión EE.UU.–Irán y Ormuz al fondo.
Más caro el diésel = más presión en precios.
Y eso complica a la Fed.
#Petróleo $CL $SPX
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