Why Nvidia faces a "no-win scenario" Wednesday
Strong guidance amplifies bubble fears. Weak guidance signals peak growth. Either way, volatility explodes.
Gene Munster of Deepwater Asset Management just identified a paradoxical catch-22 that has Wall Street on edge. Nvidia’s Wednesday earnings create an impossible scenario where both strong and weak results could trigger massive selling.
The S&P 500 has already declined four consecutive sessions—its longest losing streak since August—while Nvidia shares have fallen 12% from all-time highs. Options traders are pricing in a 7% move in either direction, and the structural vulnerabilities are becoming impossible to ignore. Access the full analysis now.
-Christopher
P.S.: Michael Burry—who predicted the 2008 crisis—is raising red flags about AI sector accounting practices. Don’t miss this critical insight.



