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TDC
TERADATA CORPORATION
stock NYSE

At Close
Jul 10, 2026 3:59:57 PM EDT
33.72USD-3.173%(-1.11)3,686,781
0.00Bid   0.00Ask   0.00Spread
Pre-market
Jul 9, 2026 9:13:30 AM EDT
34.74USD-0.258%(-0.09)0
After-hours
Jul 9, 2026 4:10:30 PM EDT
34.83USD+0.029%(+0.01)0
OverviewOption ChainMax PainOptionsHistoricalExchange VolumeDark Pool LevelsDark Pool PrintsExchangesShort VolumeShort Interest - DailyShort InterestBorrow Fee (CTB)Failure to Deliver (FTD)ShortsTrendsNewsTrends
TDC Reddit Mentions
Subreddits
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We have sentiment values and mention counts going back to 2017. The complete data set is available via the API.
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TDC Specific Mentions
As of Jul 13, 2026 6:27:03 AM EDT (<1 min. ago)
Includes all comments and posts. Mentions per user per ticker capped at one per hour.
16 days ago • u/tballes8 • r/investingforbeginners • how_do_you_guys_project_your_portfolios • C
I use NWC-Analytics. I have all my positions listed and the portfolio analyzer consumes all aspects of the portfolio and summarizes it -- here is a text example: Your portfolio is up 3.76% overall, with AAPL doing the heavy lifting — its $3,378 gain accounts for more than the entire net profit, meaning it's more than offsetting losses elsewhere. Small-cap speculative positions TDC and HIVE are also contributing meaningfully to the upside, with particularly strong percentage gains of 36.5% and 93.8% respectively. On the losing side, SPCX, PFE, and ULTY are collectively dragging performance down, with SPCX alone responsible for nearly two-thirds of total losses. This portfolio also has a notable income component, generating an estimated \~$2,437 per year in dividends — driven heavily by ULTY's exceptionally high 68.58% yield, though such elevated yields often reflect elevated risk. Broad market context isn't available today, so it's not possible to compare this portfolio's performance against a benchmark like the S&P 500.
sentiment 0.82
16 days ago • u/tballes8 • r/investingforbeginners • how_do_you_guys_project_your_portfolios • C
I use NWC-Analytics. I have all my positions listed and the portfolio analyzer consumes all aspects of the portfolio and summarizes it -- here is a text example: Your portfolio is up 3.76% overall, with AAPL doing the heavy lifting — its $3,378 gain accounts for more than the entire net profit, meaning it's more than offsetting losses elsewhere. Small-cap speculative positions TDC and HIVE are also contributing meaningfully to the upside, with particularly strong percentage gains of 36.5% and 93.8% respectively. On the losing side, SPCX, PFE, and ULTY are collectively dragging performance down, with SPCX alone responsible for nearly two-thirds of total losses. This portfolio also has a notable income component, generating an estimated \~$2,437 per year in dividends — driven heavily by ULTY's exceptionally high 68.58% yield, though such elevated yields often reflect elevated risk. Broad market context isn't available today, so it's not possible to compare this portfolio's performance against a benchmark like the S&P 500.
sentiment 0.82


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