[GUEST ACCESS MODE: Data is scrambled or limited to provide examples. Make requests using your API key to unlock full data. Check https://lunarcrush.ai/auth for authentication information.]
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.
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 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. π Viktor Kopylov PhD CFA"
X Link @si14bank 2025-10-17T18:08Z XX followers, X engagements
"Reduce Kering π: 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. π 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. π» 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. π 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 π 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. π 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. π 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. πWatch 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 π #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. π 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 π 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. π 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 π 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. π 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. π 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. π 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.π¬ Viktor Kopylov PhD CFA"
X Link @si14bank 2025-10-16T12:39Z XX followers, XX engagements