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The narrative centers on geopolitical risks impacting $LASR's supply chain, with a recent price drop validating prior bearish technical analysis. The discussion is driven by fundamental concerns and technical chart patterns.
Main discussion
Aligns with my research on how $LASR got the China shaft. Management needs to be paying attention to where their supply chains are coming from. This tit-for-tat ain't easing up any time soon. $LPTH is my largest holding despite being almost flat on the year. I believe the redesig
I said on 8/7 $LASR "Weekly chart is now very troubled. This is a "topping tail" on a weekly basis. Usually marks a top (hence the name) for a while. Maybe. " ------------ 2 weeks later -19%: Realistically I should have shorted it but it is difficult to mentally short the ones yo
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