Aggregate LLM sentiment across 16 tracked tickers
Undervaluation Screener
| Ticker | Price | Fair value | Buy at | Today | Score | Discount | Sentiment | Mkt Cap | RSI | Risk |
|---|---|---|---|---|---|---|---|---|---|---|
MRNA Moderna Inc | $36.80 | $46.21 | $35.75 Wait −2.9% | -4.6% | 100 | +20.4% | +0.52 | $14B | 24 | High |
PFE Pfizer Inc | $26.10 | $34.30 | $25.75 Wait −1.3% | -1.8% | 95 | +23.9% | +0.35 | $148B | 27 | Medium |
F Ford Motor Co | $10.90 | $14.19 | $10.70 Wait −1.8% | -2.4% | 92 | +23.2% | +0.28 | $44B | 29 | Medium |
DIS Walt Disney Co | $114.70 | $138.57 | $112.90 Wait −1.6% | -2.1% | 87 | +17.2% | +0.38 | $208B | 31 | Medium |
PYPL PayPal Holdings | $76.40 | $95.80 | $74.10 Wait −3.0% | -1.6% | 83 | +20.3% | +0.33 | $78B | 35 | Medium |
INTC Intel Corp | $22.30 | $28.22 | $21.00 Wait −5.8% | +1.1% | 80 | +21.0% | +0.41 | $96B | 41 | Medium |
T AT&T Inc | $27.60 | $33.42 | $26.80 Wait −2.9% | -0.7% | 79 | +17.4% | +0.25 | $198B | 36 | Low |
NVDA NVIDIA Corp | $128.40 | $132.61 | $124.10 Overvalued | -3.2% | 73 | +3.2% | +0.62 | $3120B | 34 | Medium |
BAC Bank of America | $45.70 | $51.63 | $44.20 Wait −3.3% | -0.9% | 71 | +11.5% | +0.22 | $356B | 38 | Medium |
XOM Exxon Mobil | $114.20 | $127.59 | $111.50 Wait −2.4% | -1.4% | 70 | +10.5% | +0.18 | $512B | 33 | Medium |
CVX Chevron Corp | $148.60 | $163.58 | $144.20 Wait −3.0% | -1.1% | 67 | +9.2% | +0.15 | $268B | 39 | Medium |
JPM JPMorgan Chase | $242.80 | $242.12 | $234.00 Overvalued | +0.4% | 49 | -0.3% | +0.29 | $690B | 49 | Medium |
AMZN Amazon.com Inc | $221.30 | $215.42 | $210.00 Overvalued | +1.2% | 48 | -2.7% | +0.44 | $2340B | 55 | Medium |
AAPL Apple Inc | $228.90 | $216.00 | $220.00 Overvalued | +0.6% | 42 | -6.0% | +0.31 | $3480B | 52 | Medium |
PLTR Palantir Technologies | $108.20 | $74.61 | $96.00 Overvalued | +3.4% | 34 | -45.0% | +0.58 | $248B | 68 | High |
TSLA Tesla Inc | $278.50 | $218.38 | $252.00 Overvalued | +2.9% | 30 | -27.5% | +0.48 | $890B | 61 | High |
Check my stocks
% = gap to fair value (positive means trading below it). For stocks outside the built-in list, fair value is an estimate from earnings and the 52-week range.
Live News & Sentiment Engine
connecting…Day-trade planner
Scans 35 large, established companies (≥ $100B, not high-risk)| Stock | Now | Buy at | Sell at | Stop-loss | Shares | Invest | If target hit | If stopped |
|---|---|---|---|---|---|---|---|---|
PFE Pfizer Inc | $26.10 | $25.86 | $26.42 | $25.58 | 64 | $1,655 | +$36 | −$18 |
DIS Walt Disney Co | $114.70 | $113.79 | $115.87 | $112.75 | 14 | $1,593 | +$29 | −$15 |
BA Boeing Co | $152.40 | $150.37 | $155.01 | $148.05 | 11 | $1,654 | +$51 | −$26 |
NVDA NVIDIA Corp | $128.40 | $126.79 | $130.47 | $124.95 | 13 | $1,648 | +$48 | −$24 |
T AT&T Inc | $27.60 | $27.41 | $27.85 | $27.19 | 60 | $1,645 | +$26 | −$13 |
BAC Bank of America | $45.70 | $45.32 | $46.20 | $44.88 | 36 | $1,632 | +$32 | −$16 |
Your goal of $2,000 is a 20% gain in one day. Large, established stocks usually move only 1–3% a day, so even if every trade hits its target this plan makes about $222 (2.2%). Reaching 20% a day would take very risky stocks or borrowed money, and that can wipe out the budget just as fast.
Buy at = a small dip below the current price; Sell at = a profit target based on the stock's typical daily move; Stop-loss = sell to limit losses if the price falls. The Tight / Wide / Max buttons control how far the sell target sits above the buy price — wider spreads win more per trade but hit their target less often. Place them as limit orders and close everything before the market closes. Estimates only, not financial advice.
My day trades
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