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Buy SPY on the thesis that the current AI-driven bull cycle mirrors prior 8-year cycles (2008–2016, 2016–2022), implying ~2 more years of upside before a projected 2028–2029 peak; reasoning is historical pattern-matching with thin fundamental support.
Buy SPY on the thesis that the current AI-driven bull cycle mirrors prior 8-year cycles (2008–2016, 2016–2022), implying ~2 more years of upside before a projected 2028–2029 peak; reasoning is historical pattern-matching with thin fundamental support.
Modest long AMZN into H2; holiday retail spending and easing AWS capex deferral provide incremental tailwinds, though the speaker flags only modest upside (~+2.8%) with limited conviction.
Modest long AMZN into H2; holiday retail spending and easing AWS capex deferral provide incremental tailwinds, though the speaker flags only modest upside (~+2.8%) with limited conviction.
Buy Datadog on short-term weakness alongside NOW; author holds a 2% allocation and groups it with names worth owning through near-term pressure with a longer-term lens.
Buy Datadog on short-term weakness alongside NOW; author holds a 2% allocation and groups it with names worth owning through near-term pressure with a longer-term lens.
Author discloses current portfolio holdings in AI-themed names (GOOGL, MU, BB, GLW), maintaining these positions through expected near-term chop with a 2+ year bullish uptrend thesis intact.
Author discloses current portfolio holdings in AI-themed names (GOOGL, MU, BB, GLW), maintaining these positions through expected near-term chop with a 2+ year bullish uptrend thesis intact.
Buy NVDA as part of a broader semiconductor strength thesis; author sees semis as a positive leading indicator for overall market continuation to all-time highs, with long-term bullish conviction.
Buy NVDA as part of a broader semiconductor strength thesis; author sees semis as a positive leading indicator for overall market continuation to all-time highs, with long-term bullish conviction.
Buy AAPL into H2; the September iPhone announcement and October shipment cycle provides a structural catalyst aligned with post-midterm equity recovery, while the buyback program supports the stock during softer months.
Buy AAPL into H2; the September iPhone announcement and October shipment cycle provides a structural catalyst aligned with post-midterm equity recovery, while the buyback program supports the stock during softer months.
Author discloses current holdings in HOOD and PL as speculative moonshot positions within a balanced portfolio, held alongside defensives through expected near-term volatility.
Author discloses current holdings in HOOD and PL as speculative moonshot positions within a balanced portfolio, held alongside defensives through expected near-term volatility.
Buy MU on significant pullbacks; speaker suggests waiting until after earnings before entering, implying earnings is a near-term risk/catalyst to navigate before committing.
Buy MU on significant pullbacks; speaker suggests waiting until after earnings before entering, implying earnings is a near-term risk/catalyst to navigate before committing.
Buy MongoDB on short-term weakness; author discloses a current position alongside NOW and DDOG, recommending a longer-term hold through near-term pressure.
Buy MongoDB on short-term weakness; author discloses a current position alongside NOW and DDOG, recommending a longer-term hold through near-term pressure.
Add healthcare exposure as a defensive rotation play during expected choppy, range-bound market through October 2026; speaker explicitly recommends balancing into healthcare alongside financials and utilities.
Add healthcare exposure as a defensive rotation play during expected choppy, range-bound market through October 2026; speaker explicitly recommends balancing into healthcare alongside financials and utilities.
Long these names as part of a balanced portfolio rebalanced on 6/15 to rotate out of tech into healthcare, financials, energy, and defensives, outperforming SPY by 4x.
Long these names as part of a balanced portfolio rebalanced on 6/15 to rotate out of tech into healthcare, financials, energy, and defensives, outperforming SPY by 4x.
Long these names as part of a balanced portfolio rebalanced on 6/15 to rotate out of tech into healthcare, financials, energy, and defensives, outperforming SPY by 4x.
Long these names as part of a balanced portfolio rebalanced on 6/15 to rotate out of tech into healthcare, financials, energy, and defensives, outperforming SPY by 4x.
Author discloses an existing long position in NOW while flagging conditional downside risk to $35 if the current downtrend continues, particularly if MSFT breaks down — a cautiously held long with acknowledged bearish tail risk.
Author discloses an existing long position in NOW while flagging conditional downside risk to $35 if the current downtrend continues, particularly if MSFT breaks down — a cautiously held long with acknowledged bearish tail risk.
asklivermore has 93 trade ideas tracked on Buzzberg across 93 tickers since June 2026. Win rate 45% across 93 evaluated calls, average return -3.3%. Ranked #990 on the Buzzberg Alpha leaderboard. Most covered: SPY, AMZN, DDOG.
#990Ranked Speaker
#990 of 1475 voices on Buzzberg