#407 Alpha Score 68.7

Rudy & Rooster

Substack author, Rooster Global Portfolio Mastery Club
· tracked since May 2026
407
BUZZBERG The leaderboard is ranked by Alpha Score, which weighs a speaker's average return, their number of calls, and reputation — a credibility rating of the source that can only raise a score, never lower it. Read the FAQ
Alpha Score 68.7
Calls
37
Win Rate
64.5%
return
+3.7%
Calls 37 128 Posts tracked · 1.2/day Posted today
Calls
7d 1
30d 17
90d 33
Best Calls
GFI Long +46.8%
GDXJ Long +37.7%
LITP Short +25.1%
Worst Calls
COH.AX Short -24.2%
SILJ Short -18.4%
LITP Long -10.2%
Most Mentioned
TSLA ×2
PME ×2
A4N ×2
Recent Calls
SDR Short 3 days ago
CBA Long 4 days ago
WES Long 1 week ago
Win Rate 65% Long 23 Short 14
Win Rate
7d 60%
30d 50%
90d 50%
Average Return +3.7% Long Return +6.3% Short Return -3.8%
Average Return
7d +1.1%
30d +5.1%
90d +4.0%
Loading charts...
Result
Result
Sort
Theme Stance
Ticker
Side
Mentions
First Call
Call Price
P&L
Thesis
Theme
Source
Long
Aug 21
$36.72
-3.2%
Author is explicitly buying SLVM with proceeds from the partial WIRE sale, making it a disclosed long; no reasoning beyond the trade itself is available.
Author is explicitly buying SLVM with proceeds from the partial WIRE sale, making it a disclosed long; no reasoning beyond the trade itself is available.
Construction & Infrastructure
Long
Jul 31
$314.07
+19.5%
The only actionable content is the directive to buy TSLA in the US portfolio; no supporting thesis, valuation, catalyst, or risk details are provided.
The only actionable content is the directive to buy TSLA in the US portfolio; no supporting thesis, valuation, catalyst, or risk details are provided.
Autos & EV
Long
Jul 01
$13.10
-10.2%
The author explicitly recommends buying LITP immediately, indicating a bullish view on this ETF for a US portfolio.
The author explicitly recommends buying LITP immediately, indicating a bullish view on this ETF for a US portfolio.
Thematic ETFs
Long
Aug 31
$159.79
+0.5%
The article title explicitly labels CBA as a buy, but no supporting reasoning, catalyst, valuation, or trade structure is provided in the supplied text.
The article title explicitly labels CBA as a buy, but no supporting reasoning, catalyst, valuation, or trade structure is provided in the supplied text.
Banks
Long
Aug 27
$48.53
+1.2%
The author is adding WES to a dividend-focused portfolio, indicating an income-oriented long position. No additional catalyst, valuation, or position size is provided in the available text.
The author is adding WES to a dividend-focused portfolio, indicating an income-oriented long position. No additional catalyst, valuation, or position size is provided in the available text.
Oil & Gas
Long
Aug 27
$12.48
+0.2%
The author is maintaining their long position despite the stock experiencing a gap down in price.
The author is maintaining their long position despite the stock experiencing a gap down in price.
AI Hardware
Long
Aug 21
$100.11
+0.6%
The article title explicitly presents Estee Lauder as a new US share buy; the excerpt contains no supporting valuation, catalyst, or position-size details.
The article title explicitly presents Estee Lauder as a new US share buy; the excerpt contains no supporting valuation, catalyst, or position-size details.
Personal Care
Short
Aug 21
$56.08
-1.6%
The author issues a direct, unelaborated recommendation to sell the security without providing a supporting thesis.
The author issues a direct, unelaborated recommendation to sell the security without providing a supporting thesis.
Oil & Gas
Long
Aug 21
$190.94
+1.0%
The author is deliberately holding DGT rather than executing a stop-loss, keeping it in a dividend portfolio. No further rationale is provided in the visible text.
The author is deliberately holding DGT rather than executing a stop-loss, keeping it in a dividend portfolio. No further rationale is provided in the visible text.
Equity Indexes
Long
Aug 21
$39.91
-2.8%
The author identifies SHL as an existing dividend holding and explicitly confirms it as both a hold and a buy, indicating continued bullishness and no immediate intention to sell.
The author identifies SHL as an existing dividend holding and explicitly confirms it as both a hold and a buy, indicating continued bullishness and no immediate intention to sell.
MedTech
Long
Aug 18
$78.97
+4.2%
The author is adding Netflix (NFLX) to the US share portfolio, signaling a bullish long view. No further rationale, position size, or price target is provided in the available text.
The author is adding Netflix (NFLX) to the US share portfolio, signaling a bullish long view. No further rationale, position size, or price target is provided in the available text.
Streaming
Long
Aug 17
$148.71
+0.6%
The author discloses that SpaceX (SPCX) is already at double weighting in the US share portfolio, indicating an existing outsized long position and high conviction in the name. No additional reasoning
The author discloses that SpaceX (SPCX) is already at double weighting in the US share portfolio, indicating an existing outsized long position and high conviction in the name. No additional reasoning or fresh catalyst is provided in the available text.
Crypto Assets
Long
Aug 15
$133.60
+5.5%
The author is rotating capital into Cochlear Limited, funded by the sale of CBA.
The author is rotating capital into Cochlear Limited, funded by the sale of CBA.
Construction & Infrastructure
Long
Aug 14
$124.18
-1.9%
The headline says the author is topping up (adding to) XES in their US ETF portfolio, indicating a long stance on this oil & gas equipment/services ETF. The available text does not disclose the ration
The headline says the author is topping up (adding to) XES in their US ETF portfolio, indicating a long stance on this oil & gas equipment/services ETF. The available text does not disclose the rationale, size, or price behind the add.
Commodities
Short
Aug 13
$113.40
+8.1%
The headline states the author is selling ORA, implying an exit from a dividend-oriented ASX300 portfolio; no valuation, catalyst, or sizing rationale is provided in the visible text.
The headline states the author is selling ORA, implying an exit from a dividend-oriented ASX300 portfolio; no valuation, catalyst, or sizing rationale is provided in the visible text.
Power Producers
Showing 15 of 37 calls · sorted by mentions

Rudy & Rooster has 37 trade ideas tracked on Buzzberg across 35 tickers since May 2026. Win rate 65% across 31 evaluated calls, average return +3.7%. Ranked #407 on the Buzzberg Alpha leaderboard. Most covered: TSLA, PME, A4N.