Pure Trade Ideas
2026-02-09 07:05
Regime
Risk-on momentum environment with sector rotation into tech and industrials
Bias
Bullish with momentum favoring growth names and breakouts
Best Setups
Semiconductor breakouts, industrial strength, gold momentum. Focus on 52-week high makers with volume.
Avoid
Communications (XLC weakness), avoid laggards in strong sectors, avoid value traps
📈

Stock Ideas

4 ideas
NVDA
LONG
high 2-4 weeks 3-5% of portfolio
Classic momentum breakout - up 7.9% with massive volume (231M vs avg ~50M). Breaking through key resistance at $185, showing institutional accumulation. AI trade resuming with strength.
Catalyst: Q4 earnings catalyst approaching, AI infrastructure spending accelerating
Entry
$186-188 on any pullback or break above $190
Target
$210 (prior 52-week high)
Stop
$175 (below breakout zone)
R:R
2.2:1
Invalidation: Close below $175 or broad tech sector breakdown
AMD
LONG
high 3-6 weeks 2-3% of portfolio
Explosive breakout +8.3% on heavy volume. Breaking out of multi-month base, showing relative strength vs semis. Following NVDA's momentum in AI chip space.
Catalyst: Riding AI chip momentum, potential data center wins
Entry
$209-212 on consolidation
Target
$240 (50% retracement to highs)
Stop
$190 (back in prior range)
R:R
2.4:1
Invalidation: Break below $190 or semiconductor weakness
XLI
LONG
medium 4-8 weeks 2-3% of portfolio
Making new 52-week highs at $173.39, up 2.9%. Industrial strength indicates economic optimism and infrastructure spending. Clean breakout pattern.
Catalyst: Infrastructure spending, manufacturing resurgence
Entry
$173-175
Target
$190
Stop
$165
R:R
2.1:1
Invalidation: Break below $165 or economic data deterioration
AMZN
SHORT
medium 2-6 weeks 2% of portfolio
Massive breakdown -5.5% on huge volume (179M). Breaking key support around $210. Weak relative performance vs tech peers. Distribution pattern forming.
Catalyst: Earnings disappointment, cloud growth concerns, retail headwinds
Entry
$208-212 on any bounce
Target
$180 (next major support)
Stop
$225 (back above breakdown)
R:R
2.3:1
Invalidation: Reclaim $225 or broad tech recovery
🛢️

Commodity Ideas

2 ideas
Gold
LONG
high GLD ETF or GC futures 4-8 weeks
Strong momentum breakout +1.6% to $5058. Breaking out of consolidation with volume. Flight to safety bid intact, dollar weakness supporting.
Entry
$5050-5080 level
Target
$5300 (next major resistance)
Stop
$4900 (below breakout zone)
R:R
1.6:1
Key Levels: Support: $4900, Resistance: $5300, $5586 (52w high)
Crude Oil
SHORT
medium ETF 3-6 weeks
Breaking down -1.1% below $63. Showing weakness despite energy sector strength. Supply concerns easing, demand questions mounting.
Entry
$62-64 on any bounce
Target
$58 (next support)
Stop
$67 (above recent highs)
R:R
1.6:1
Key Levels: Resistance: $67, $70, Support: $58, $55

Crypto Ideas

2 ideas
BTC
LONG
medium 2-4 weeks 2-3% allocation
Showing resilience above $70K despite recent weakness. Volume picking up, institutional flows positive. Breaking above consolidation.
On-Chain Signal: Whale accumulation detected, exchange outflows increasing
Entry
$70,000-71,000
Target
$78,000 (next resistance)
Stop
$67,000 (below key support)
R:R
2.3:1
HYPE
LONG
speculative 1-3 weeks 1% allocation
Strong momentum play +5.9% on heavy volume. Rank #15 with solid fundamentals. DeFi narrative gaining traction.
On-Chain Signal: TVL growing, active addresses increasing
Entry
$32-34
Target
$42 (next resistance)
Stop
$28 (below support)
R:R
2.0:1
📊

Options Plays

2 plays
NVDA
high
Long Call | $200 | March 2026
Leverage momentum breakout with defined risk. High IV but justified by move potential.
Max Risk
Premium paid (~$15)
Max Reward
Unlimited above $215
Breakeven
$215
Ideal Scenario: NVDA continues momentum to $220+ by March
XLK
medium
Long Call Spread | Buy $142, Sell $148 | April 2026
Tech sector momentum with defined risk/reward. Cheaper than outright calls.
Max Risk
$2.50
Max Reward
$3.50
Breakeven
$144.50
Ideal Scenario: Tech continues rally above $148 by April
⚖️

Pairs Trades

1 pairs
high 1:2 dollar weighted 1-3 months
LONG
NVDA
vs
SHORT
INTC
AI leader vs legacy laggard. NVDA showing momentum while INTC struggling despite recent bounce. Relative strength divergence continues.
Entry Spread
Current 3.7x ratio
Target Spread
4.5x ratio
Stop Spread
3.2x ratio
🚫

Avoid These

🚫 META
Down -1.3% showing weakness despite tech strength. Breaking key support levels. Avoid knife-catching in weak name.
The Trap: Looks cheap vs recent highs but momentum clearly broken
🚫 GOOGL
Major breakdown -2.5% on heavy volume. Tech peer showing weakness while others rally. Distribution pattern evident.
The Trap: Valuation looks attractive but technical damage severe
🚫 ADBE
Near 52-week lows with no momentum. Dead money in strong tech environment shows relative weakness.
The Trap: Quality name but wrong time - no catalyst visible