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@si14bank Avatar @si14bank Viktor Kopylov

Viktor Kopylov posts on X about momentum, signals, positions, phd the most. They currently have XX followers and XXX posts still getting attention that total XXX engagements in the last XX hours.

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Followers: XX #

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Social Influence #


Social category influence finance countries stocks technology brands currencies automotive brands cryptocurrencies

Social topic influence momentum #2580, signals #1436, positions #851, phd #282, fed, macro, cash flow #331, china, shutdown, debt

Top assets mentioned Salesforce Inc (CRM) Cream (CRM) Exelixis Inc (EXEL) Comcast Corporation (CMCSA) Thermo Fisher Scientific Inc. (TMO)

Top Social Posts #


Top posts by engagements in the last XX hours

"Macro: IP and retail inventories due; a downside surprise risks cyclical equities. Insight: Sell cyclical exposure and buy short-term Treasury bills if IP or inventories disappoint; monitor capacity utilization for confirmation. πŸ“‰ Viktor Kopylov PhD CFA"
X Link @si14bank 2025-10-17T18:08Z XX followers, X engagements

"Reduce Kering πŸ“‰: a near 4bn sale of Creed to LOral will reduce debt but highlight strategic retrenchment; expect short-term profit-takinguse a tactical short or hedge. Rebalance positions; monitor cash flow and margins. Viktor Kopylov PhD CFA"
X Link @si14bank 2025-10-18T15:57Z XX followers, XX engagements

"Buy on weakness: Kelun-Biotech's sac-TMT Phase-3 PFS XXX vs 4.1m and priority NMPA review justify accumulating on pullbacks; monitor margins and H1 profit decline. Viktor Kopylov PhD CFA Maintain modest exposure; track NMPA timeline and cash flow"
X Link @si14bank 2025-10-18T15:09Z XX followers, X engagements

"Buy Salesforce on pullbacks; management's $60B 2030 revenue guide supports a growth multiple but monitor margin expansion and subscription churn; set a disciplined stop below recent support. Watch macro and churn risks. Viktor Kopylov Ph.D CFA"
X Link @si14bank 2025-10-15T22:23Z XX followers, XX engagements

"Buy ASML on dips; leverage Q4 guidance and strong EUV bookings hedge anticipated 2026 China demand decline with options and scale out near 1050 to lock gains. Position size 20-30% of equity; 6-12m option hedge. Risk:Md. Viktor Kopylov PhD CFA"
X Link @si14bank 2025-10-15T05:48Z XX followers, XX engagements

"RBA pause reflects firmer consumption and sticky services/home-building costs; risk to further disinflation. Trade AUD short on a breakout below 0.6500; else expect rate-cut pricing into Dec. πŸ“‰ Viktor Kopylov PhD CFA. Monitor data into Nov. Watch"
X Link @si14bank 2025-10-15T21:04Z XX followers, XX engagements

"Trade insight: Short USD/JPY; expect further dollar weakness as Fed cut bets US shutdown and trade tensions drive debasement flows into gold/crypto. Target XXX stop XXXXX. πŸ”» Viktor Kopylov PhD CFA"
X Link @si14bank 2025-10-17T01:20Z XX followers, XX engagements

"Buy on weakness: Boeing's delivery and order momentum plus cash flow recovery support a rebound toward $240$260; target partial long exposure trim into strength. Size positions 3050% stop $XXX scale gains to $XXX. max Viktor Kopylov PhD CFA"
X Link @si14bank 2025-10-17T18:51Z XX followers, XX engagements

"Buy HBAN: maintain exposure for X% dividend yield and 55-year payout streak; NII guidance uplift and Q3 beats underpin earnings while valuation pressure after PT cut warrants position sizing. Monitor capital ratios QoQ. πŸ“ˆ Viktor Kopylov PhD CFA"
X Link @si14bank 2025-10-17T20:23Z XX followers, XX engagements

"Macro: gold momentum looks stretched. Trade: short on confirmed break below $4267; place stop at $4538 and target $3714. Catalysts: Fed rate commentary US shutdown geopolitical news. Manage risk and size positions tightly. Viktor Kopylov PhD CFA"
X Link @si14bank 2025-10-17T08:31Z XX followers, XX engagements

"Reduce exposure to Italian telecom merger risk; FiberCop's EU complaint signals a prolonged EC probe that can delay consolidation and depress valuations. Favor liquid defensive names until clarity. Viktor Kopylov PhD CFA Monitor EC probe timeline"
X Link @si14bank 2025-10-17T19:39Z XX followers, XX engagements

"Buy Iveco on Tata Motors takeover momentum; accumulate on dips to 1617 target XX post-deal. Keep position size moderate due to truck-market pressure and divestiture timing; watch cash dividend execution. Review on Q4 πŸ“ˆ Viktor Kopylov PhD CFA"
X Link @si14bank 2025-10-15T01:19Z XX followers, XX engagements

"Buy Hon Hai on dips: $16.2M investment in Fulian is marginal (0.32% of assets) but signals continued strategic supply-chain consolidation; accumulate into pullbacks for tactical exposure. Viktor Kopylov PhD CFA Short-term bias; monitor liquidity"
X Link @si14bank 2025-10-17T10:43Z XX followers, X engagements

"Macro: DBRS upgrade signals resilient Italy but soft GDP. Key: banking repair external surplus fiscal consolidation. Risks: very high debt rising interest burden. Action: Buy Italian 10Y on dips for yield compression. πŸ“ˆ Viktor Kopylov PhD CFA"
X Link @si14bank 2025-10-18T09:28Z XX followers, XX engagements

"Novo Nordisk hires US pharma veteran amid pricing pressure; expect stock to resist near-term selloffs but face regulatory dragtrim positions on strength and use tight stops. Viktor Kopylov PhD CFA Monitor US pricing policy impact on margins. Q1"
X Link @si14bank 2025-10-17T14:59Z XX followers, XX engagements

"Buy VERI on breakout; $40M VDR pipeline and XX% revenue growth support momentum but monitor widening non-GAAP losses and the Nov X 10-Q call. πŸ“ˆ Viktor Kopylov PhD CFA. Position size to limit downside; re-evaluate post-10-Q and Q4 guidance. Now"
X Link @si14bank 2025-10-14T21:33Z XX followers, XX engagements

"Trade idea: Buy Futura Medical (FUM) ahead of Sep XX interimsstrong Eroxon distribution links to Haleon/Cooper suggest upside if revenue/margin beats; monitor WSD4000 timelines; use tight stop to limit downside. πŸš€Watch ER Viktor Kopylov PhD CFA"
X Link @si14bank 2025-09-26T11:24Z XX followers, XX engagements

"Kashkari suggests growth may outpace expectations and two Fed cuts are likely; position for lower yields add duration and rate-sensitive equities ahead of cuts. Viktor Kopylov PhD CFA"
X Link @si14bank 2025-10-16T23:51Z XX followers, XX engagements

"Buy Salesforce on breakout: $CRM surged after a $60bn FY guide that eases revenue-growth fears; expect momentum to sustain into earnings if subscription retention holds. Manage risk with X% stop. Viktor Kopylov PhD CFA πŸ“ˆ #CRM near-term upside 1%"
X Link @si14bank 2025-10-16T11:10Z XX followers, XX engagements

"Macro: luxury recovery from China; key factor: LVMH Q3 beat across divisions. Risk: China slowdown/currency. Trade: buy LVMH on pullback stop below EUR520 target EUR680. Monitor China comps; trim if momentum fades q4 rev. Viktor Kopylov PhD CFA"
X Link @si14bank 2025-10-15T08:03Z XX followers, XX engagements

"Sell USD/JPY; Fed cut odds US shutdown and trade frictions pressure the dollar boosting safe-haven flows. Trim USD exposure and add JPY or gold positions. Manage risk with tight stops. πŸ“‰ Viktor Kopylov PhD CFA. Timeframe: 1-6 weeks. Re-evaluate"
X Link @si14bank 2025-10-17T05:24Z XX followers, XX engagements

"Stellantis' $13B U.S. investment and 5k jobs signal stronger U.S. execution; I recommend a tactical long in STLA targeting upside if production ramps as planned monitor tariff exposure and Belvidere restart risk. Viktor Kopylov PhD CFA BuySTLA"
X Link @si14bank 2025-10-14T23:06Z XX followers, XX engagements

"Trade insight: Buy EOS on confirmed break above $0.67; momentum supports short-term longs. Confirm with 24h volume and hold stop at $0.60; target $XXXX πŸ“ˆ Risk/reward 1:2; trim if price $0.60; watch BTC/ETH flow. Viktor Kopylov PhD CFA. See outlook"
X Link @si14bank 2025-10-18T06:12Z XX followers, XX engagements

"Buy selective regional bank exposure; set tight stops. S&P at 23x robust big-bank earnings and easing credit fears support the trade; monitor China tariff rhetoric for volatility. πŸ“ˆ Viktor Kopylov PhD CFA. Data-driven risk management advised"
X Link @si14bank 2025-10-17T23:03Z XX followers, XX engagements

"Cellnex Sells French Towers 391M"
X Link @si14bank 2025-10-17T06:01Z XX followers, X engagements

"Buy Exelixis: CABOMETYX cut progression/death risk XX% in lung/thymic NETs; initiate a tactical long ahead of ESMO and STELLAR readouts size to risk given safety signals. Monitor catalysts; watch volume peers patent risk. Viktor Kopylov PhD CFA"
X Link @si14bank 2025-10-18T07:15Z XX followers, XX engagements

"Buy ORLEN on dips; its non-binding offer for Grupa Azoty Polyolefins prioritizes offshore gas-terminal logistics. Limit exposure due to Polimery Police operating at XX% capacity and weak polypropylene margins. Trim size πŸ“ˆ Viktor Kopylov PhD CFA"
X Link @si14bank 2025-10-15T09:28Z XX followers, XX engagements

"Streaming bundling lowers churn and raises ARPU; Apple/Comcast bundle pressures ad-funded rivals; pricing or regulatory backlash is risk. Trade: buy Comcast (CMCSA) to play Peacock monetization; target +12% over 3-6m. πŸ“ˆ Viktor Kopylov PhD CFA"
X Link @si14bank 2025-10-16T16:15Z XX followers, XXX engagements

"Trade insight: Buy BTC on a retest to $109-117k scale size use tight stops; ETF inflows must resume to confirm breakout. Institutions absorbed $10bn in the wash - risk stays if flows remain muted. Outlook: watch flows - Viktor Kopylov PhD CFA"
X Link @si14bank 2025-10-15T17:35Z XX followers, XX engagements

"Trade: Buy large-cap European banks on JPMorgan takeover speculation; prefer high CET1 and Germany/LATAM exposure. Monitor M&A signals keep stop-loss. Rebalance toward banks with improving NPLs and digital franchises. πŸ“ˆ Viktor Kopylov PhD CFA"
X Link @si14bank 2025-10-16T22:05Z XX followers, XX engagements

"Buy Indian power fibre and cloud suppliers; Google's $10bn Andhra Pradesh AI/data centre will boost demand favoring utilities and data-infra gear providers. Monitor policy and power risks. Act on dips; target 6m horizon. Viktor Kopylov PhD CFA"
X Link @si14bank 2025-10-14T03:58Z XX followers, XX engagements

"Trade: Buy ARS assets on U.S. backstop; expect tighter bond spreads and peso support as $40bn (swap+facility) reduces tail risk. Monitor policy continuity; scale out if reforms stall. Reassess policy signals & flows fast. πŸ“ˆ Viktor Kopylov PhD CFA"
X Link @si14bank 2025-10-15T20:21Z XX followers, XX engagements

"Buy TMO on AI partnership pullback: Thermo Fisher accelerates drug development and trial timelines with OpenAI improving R&D efficiency and de-risking pipeline; favor exposure to PPD-driven margin upside. Expect 2-3% beat.πŸ”¬ Viktor Kopylov PhD CFA"
X Link @si14bank 2025-10-16T12:39Z XX followers, XX engagements