CommunityConnect with experts, uncover more opportunities
675
General
TopdownCharts
·
04-14

Stocks saw a strong rebound + technical wins

Learnings and conclusions from this week’s charts: $S&P 500(.SPX)$ $SPDR S&P 500 ETF Trust(SPY)$ $Invesco QQQ(QQQ)$ $NASDAQ 100(NDX)$ $Dow Jones(.DJI)$ 1. Stocks saw a strong rebound + technical wins last week.2. Yet a couple of technical challenges and tests remain overhead.3. And arguably a lot of damage has already been done.4. Recession risk is the key variable from here for stocks.5. The US (stockmarket) faces a prospective Great Restructuring.Overall, stocks have come back from the brink with tariff tinkering and worst-fears fading — this came interestingly enough rig
Stocks saw a strong rebound + technical wins
Comment
Report
600
General
Travis Hoium
·
04-14

The market is changing, but let's give the changes some perspective

The last 11 days on the stock market have been nothing short of crazy. Tariffs on, tariffs off, yields down, yields up, risk off, risk on. It’s times like this that show why I’m not a day trader. And we’ve barely started earnings season.The common refrain last week was that President Trump’s capitulation on tariffs — which seems to be wavering depending on the hour — was driven by rising yields in the bond market.Markets are the fastest way to get feedback on policy changes and economic data, so it’s not surprising that investors were worried about 30-year yields rising from 4.6% to 4.9% in 3 days. $S&P 500(.SPX)$ $SPDR S&P 500 ETF Trust(SPY)$ $NASDAQ 100(NDX)$
The market is changing, but let's give the changes some perspective
Comment
Report
970
General
SmartReversals
·
04-14

TSLA - Will it hold?

$Tesla Motors(TSLA)$ : $217 has proven to be a strong support during the last month. Will it hold? Most likely, and If price stays above $247 next week, a breakout to $279 is possible.$260 can bring some turbulence, but as of now, it looks like that resistance has flipped to support.Image $NASDAQ 100(NDX)$ The initial euphoria following the tariff exemptions for smartphones, computers, and chips is fading. Futures have now halved yesterday's reaction.ImageFor whom haven't open CBA can know more from below:🏦 Open a CBA today and enjoy privileges of up to SGD 20,000 in trading limit with 0 commission. Trade SG, HK, US stocks as well as ETFs unlimitedly!Find out more here:Trade on a Cash Boost Account and enj
TSLA - Will it hold?
Comment
Report
2.26K
General
ShayBoloor
·
04-13

WHAT MATTERS MOST IN THIS WEEKS $TSM & $ASML EARNINGS

$Taiwan Semiconductor Manufacturing(TSM)$ is the most systemically important manufacturer on the planet, and ASML is its enabler. Together, they sit at the center of the global compute stack -- not just facilitating growth, but defining its pace. The stakes of their earnings go far beyond revenue beats. They point to whether the fragile equilibrium that kept semiconductors globalized, efficient, and collaborative can survive in a world that’s rapidly re-fragmenting.Because under the surface of the AI boom, something deeper is happening. Capital isn’t just chasing performance. It’s navigating policy. Export controls, tech bans, reindustrialization subsidies, chip acts, tariff feints -- these aren’t isolated events. They’re part of a broader campaign
WHAT MATTERS MOST IN THIS WEEKS $TSM & $ASML EARNINGS
Comment
Report
1.51K
General
ShayBoloor
·
04-13

SO WHAT DOES $PLTR ACTUALLY DO?

$Palantir Technologies Inc.(PLTR)$ I get this question all the time -- and honestly, it makes sense.But that’s not because it lacks a story. It’s because the story doesn’t fit into the usual enterprise software narrative. Most software companies build tools that make business functions more efficient -- better CRMs, faster databases, cleaner dashboards. Palantir is building something else entirely: the infrastructure layer for AI-native decision-making in high-stakes, real-world environments.Palantir isn’t trying to make software that looks good in a pitch deck. It’s making software that takes real-time data from dozens of fractured systems -- internal, external, structured, unstructured -- and turns it into executable action at machine speed. Not
SO WHAT DOES $PLTR ACTUALLY DO?
Comment
Report
2.56K
Selection
Spiders
·
04-13

SG Banks – Earnings Risks vs. Strong Valuations: What's Your View?

Singapore’s three major local banks – DBS (D05), OCBC (O39), and UOB (U11) – have shown resilience, rebounding from multi-month lows, only to face renewed selling pressure in recent weeks. Despite their solid fundamentals and long-standing reputations, they are currently navigating a challenging environment marked by several headwinds that continue to weigh on earnings prospects. Key Earnings Risks Facing SG Banks: Lower Net Interest Margins (NIMs): Following aggressive rate hikes in 2022–2023, central banks globally might now be more likely to pivot towards a more neutral or even easing stance. As a result, NIMs are coming under pressure, especially as the pace of interest rate hikes slows or reverses. This reduces the profitability of lending operations, a core revenue stream for banks.
SG Banks – Earnings Risks vs. Strong Valuations: What's Your View?
1
Report
1.73K
General
Selling For Premium
·
04-13

Option Strategies: TSLA, AMD, SOFI& .SPX

Hello everyone! Today i want to share some option strategies with you!1.Haven't had one of these in a while ... finally had a very profitable optionselling week. The bulk of the profit came from trades that were naked/covered calls on $Advanced Micro Devices(AMD)$ $SoFi Technologies Inc.(SOFI)$ $Tesla Motors(TSLA)$ $Taiwan Semiconductor Manufacturing(TSM)$ .✅ Profit for the week ended April 11th = $26,683.67 In full transparency, last week was horrible from having to roll put positions and close out positions for a loss (didn't want to continue holding those trades or rolling farther out).❌ Loss for the week ended April 7t
Option Strategies: TSLA, AMD, SOFI& .SPX
Comment
Report
1.13K
General
EliteOptionsTrader
·
04-13

Option Strategies: .SPX& META

Hello everyone! Today i want to share some trading analysis with you!1. $Meta Platforms, Inc.(META)$ is getting ready for a move towards 600 before earnings on April 30th. If we see The Mag 7 start a bounce this week, META can lead the move. If you want to grow your account this week, read my plan below 👇 Trigger: META at 543 ✅ Trade idea: META April 17 460CTargets: 555,569 🎯 META has dropped from 740 to 481 the past 2 months. That marks a 35% drop in a short period of time. We started to see signs of a bottom after defending 500 last week. IF META holds a higher low above 533 this week we can see 569-588 in the next 2 weeks. Id stay bullish on META above 533.2.The big question is... Is the bottom in? OR is this just a dead cat bounce?
Option Strategies: .SPX& META
Comment
Report
1.94K
General
MasterWU
·
04-13

.SPX: What's Going on Next?

Hello everyone! Today i want to share some trading analysis with you!1.Short the Rip below 5500: (1) my small short position entered Friday afterhours is under-water now, if future's pump holds--which is not a given, as the real big brother is bond market. (2) the entire day's structure on Friday is very confusing--or artificial--to say the least, as the buying power came out periodically with a burst and some large quantity of ST calls. I noticed this weird behavior, but I STILL Believed, falsely, that at least Trump would give himself a few days to enjoy the delusional "win" over China. I mean, come on--everyone has a room temperature-level IQ knows from the beginning this tariff policy is a total farce and doomed to fail. (3) a pop-up open Monday, if below 5500, would be a spot to short
.SPX: What's Going on Next?
Comment
Report
2.48K
Selection
nerdbull1669
·
04-14

Can Johnson & Johnson (JNJ) MedTech Help To Reduce Pharma Tariffs Impact?

$Johnson & Johnson(JNJ)$ is expected to report its first-quarter results for fiscal Q1 2025 on 15 April 2025 before the market open. The consensus estimate for the fiscal Q1 2025 revenues is anticipated to come in at $21.66 billion, while the earnings per share consensus estimate is expected to come in at $2.58 per share which is a decline of around 2% compare to same period last year. Johnson & Johnson (JNJ) Last Neutral Earnings Call Saw Share Price Increase A Modest 3.24% Johnson & Johnson had a neutral earnings call on 22 Jan 2025 which saw its share price increase by a modest 3.24% since. Johnson & Johnson showed robust growth in sales and innovation in 2024, particularly in the Innovative Medicine and MedTech sectors. However,
Can Johnson & Johnson (JNJ) MedTech Help To Reduce Pharma Tariffs Impact?
TOPMortimer Arthur: Amazing how Bitcoin is still attracting money after taking such a hit recently. Ethereal money that can vanish in a keystroke...JMHO.
2
Report
928
Selection
Mickey082024
·
04-14

Six Flags Entertainment Stock Is Down 50% in 2025 Time To add ?

$Six Flags Entertainment Corporation(FUN)$ Six Flags Entertainment (NYSE: SIX) has taken a beating in 2025, with shares down approximately 40% year-to-date. Investors are spooked by rising interest rates, recession fears, and a fresh wave of volatility triggered by President Donald Trump’s new tariffs on major U.S. trading partners. But amid all the doom and gloom, I see a compelling opportunity in Six Flags. In fact, I believe this is one of the few consumer discretionary stocks that could hold up relatively well—and potentially outperform—during this turbulent stretch in the market. In this article, I’ll break down the investment thesis in greater detail, including the macro tailwinds that may support the company’s earnings, and walk you through
Six Flags Entertainment Stock Is Down 50% in 2025 Time To add ?
TOPMerle Ted: Historically this stock gets pummelled during recessions....and then has a massive recovery on the upside. Looks like its going down that path again. When it settles down I'll probably buy some.
2
Report
2.97K
Selection
KYHBKO
·
04-14

Can we invest in TSMC - Preview of the week starting 14Apr25

Public Holidays The USA, Hong Kong & Singapore have no public holidays in the coming week. America, Hong Kong and Singapore celebrate Good Friday on 18 Apr 2025. I wish you all a great weekend as Christians celebrate the love, sacrifice, and victory of Jesus. Economic Calendar (14Apr25) Notable Highlights China's GDP (Q1) is expected at 5.2% YoY (vs. 5.4% prior). This can be a good indicator of both Chinese production and global consumption. The Core Retail Sales (Mar) are forecasted at 0.4% MoM (vs. 0.3%), and Retail Sales at 1.4% MoM (vs. 0.2%). The Philadelphia Fed Manufacturing Index (Apr) is forecasted at 3.1 (vs. 12.5). From investing dot com A level above zero on the index indicates improving conditions; below indicates worsening conditions. The data is compiled from a survey of
Can we invest in TSMC - Preview of the week starting 14Apr25
Comment
Report
827
Selection
nerdbull1669
·
04-14

Can Citigroup (C) RoTCE Grow Amid Market Uncertainty?

$Citigroup(C)$ is expected to report its quarterly earnings for fiscal Q1 2025 on 15 April 2025 before the market open. The consensus estimate for revenues for the quarter is projected to reach $21.14 billion, which represent a modest 0.2% from the same quarter last year. The earnings per share consensus estimate is expected to come in at $1.85 per share which would be an increase of 16.5% from the same period last year. Citigroup (C) Last Positive Earnings Call Saw Decline Of 15.55% Citigroup saw its share price decline by 15.55% since its last positive earnings call on 15 Jan 2025. Citi reported strong financial results for 2024 with significant revenue and net income growth, supported by successful strategic initiatives. However, the adjustment of
Can Citigroup (C) RoTCE Grow Amid Market Uncertainty?
TOPEnid Bertha: going forward C will be the bank with biggest drop due to tariff and loss of revenue when countries stop buying or exporting due to tariff
3
Report
850
Selection
nerdbull1669
·
04-14

Bank of America (BAC) 2025 NII Growth To Watch Amid Market Uncertainty

$Bank of America(BAC)$ is expected to release its quarterly earnings for fiscal Q1 2025 on 15 April 2025 before the market open. The revenues consensus estimate are expected to come in at $26.74 billion, which would represent an increase of 3.6% from same period one year ago. The consensus earnings per share forecast would be expected to come in at 82 cents, which would represent a change of 2.4% compared to same period last year. Bank of America (BAC) Last Positive Earnings Call Saw Share Price Decline By 23.18% We saw how BAC share price decline by 23.18% even though we are seeing a positive earnings call on 16 Jan 2025. The earnings call for Bank of America Q4 2024 was predominantly positive, highlighting strong revenue growth, record sales and
Bank of America (BAC) 2025 NII Growth To Watch Amid Market Uncertainty
TOPMortimer Arthur: BAC is about to find it's bottom for this cycle. Once it does, it will see $50 within 6 months. Look for a fantastic report on Tuesday!
2
Report
2.09K
Selection
orsiri
·
04-14

High Scores & Higher Stakes: Why Take-Two May Be the Underrated MVP of Gaming Stocks

In a market flooded with hype and pixelated promises, Take-Two Interactive might just be the grown-up in the gaming room. I’ve always had a soft spot for companies that quietly reinvent themselves while everyone’s busy chasing the next shiny object. And lately, I’ve been spending more time than I’d care to admit eyeing $Take-Two(TTWO)$ . Not just because it makes Grand Theft Auto—a franchise that practically prints money and inspires memes—but because there’s something shrewd and surprisingly undervalued about how this company is evolving. Let’s not kid ourselves: the video game industry is fickle. One hit wonder today, forgotten relic tomorrow. But Take-Two has managed to craft not just blockbusters, but ecosystems—virtual worlds with economic gr
High Scores & Higher Stakes: Why Take-Two May Be the Underrated MVP of Gaming Stocks
TOPMortimer Arthur: i think this is a buy on any dips. i don't care what the government does. Nothing is going to stop the GTA 6 freight train from coming down the tracks.
4
Report
3.65K
General
Barcode
·
04-13
$Celsius Holdings, Inc.(CELH)$ 🚨💥 CELH: Will This Energy Drink Powerhouse Ignite Before Earnings? 💥⚡🚀 I’m adding Celsius Holdings ($CELH) to my Monday watchlist, and there’s serious electricity in the air. Up a blistering 29.8% over the past month, CELH is defying the broader market’s malaise with resilience that demands attention. Here’s why I believe this energy drink contender is about to break out, not burn out! 🧬 Fundamentals: A Growth Story With a Female Edge Celsius is not your typical consumer staples stock, it’s a growth rocket in disguise. Trading at 37x 2025 earnings estimates, CELH offers no dividend, but what it does deliver is unmatched momentum. The recent $1.8 billion Alani Nu acquisition is a strategic slam dunk. Alani Nu res
$Celsius Holdings, Inc.(CELH)$ 🚨💥 CELH: Will This Energy Drink Powerhouse Ignite Before Earnings? 💥⚡🚀 I’m adding Celsius Holdings ($CELH) to my Mon...
TOPCool Cat Winston: //@Queengirlypops: $Celsius Holdings, Inc.(CELH)$ omg yesss I live off Alani Nu, it’s literally my daily power-up girls really got the market in a chokehold rn ty BC @Barcode
9
Report
835
Selection
nerdbull1669
·
04-13

Comparing Market Turbulence to Squid Game: A Metaphor of Uncertainty and Survival

Since 02 April 2025, I believe some of us had been navigating through this unpredictable market situation, while we need to control our fear. I think we might want to look at it from a more relaxed and fun angle, I have a brief chat with a friend over the weekend, can the current market turbulence be compared to the Squid Game? The current market turbulence mirrors the unpredictability and high-stakes tension of Netflix's Squid Game, where participants face sudden, life-threatening challenges. While financial markets do not involve literal life-or-death scenarios, the psychological stress, rapid shifts, and survival instincts resonate deeply. Here is how the analogy unfolds Unpredictable "Games" Squid Game: Each round introduces a new, unknown challenge (e.g., Red Light, Green Light) with
Comparing Market Turbulence to Squid Game: A Metaphor of Uncertainty and Survival
1
Report
528
Selection
orsiri
·
04-13

Quantum Leap or Quantum Sleep? Why IBM and Alphabet Are Thinking in Qubits, Not Quarters

Where qubits meet Wall Street—expect entangled returns As someone who’s spent more time trying to decipher quantum computing than I’ve spent actually using a calculator correctly, I’m fascinated by the looming digital transformation that could redefine everything from cryptography to drug discovery. At the centre of this quantum arms race sit two titans: $Alphabet(GOOGL)$ and $IBM(IBM)$. Both have declared their quantum intentions with flair, but their strategies—and implications for investors—couldn’t be more different. Are we on the verge of a quantum leap, or just nursing a very expensive science experiment? Qubits, Schmubits: What Really Matters The tech world’s fixation with qubit counts is a bit lik
Quantum Leap or Quantum Sleep? Why IBM and Alphabet Are Thinking in Qubits, Not Quarters
TOPOgdenHerbert: Fascinating insights
8
Report
1.13K
General
Shernice軒嬣 2000
·
04-12

Trump’s Tariffs Spark Safe-Haven Surge—But Is the Market Bottom In?

The U.S. tariff wave is shaking things up, pushing the Japanese yen to multi-month highs. Meanwhile, Warren Buffett’s Berkshire Hathaway just issued ¥90 billion in yen bonds on Nov. 11, hinting at a bold bet on Japan’s top five trading companies. Could this signal the market’s bottom and the start of an uptrend? Analysts love the setup: yen-denominated bonds sidestep currency risks, and with trading firms yielding ~3% against Buffett’s ~1.5% borrowing cost, there’s a juicy ~1.5% spread to pocket. Market Pulse: Stocks may be ready to rally! Buffett’s Fortune Grows Amid Billionaire Bust! Trump’s tariffs are hitting billionaire wallets hard, but Warren Buffett’s thriving—his wealth soared $11.5 billion in 2025, or ~NT$379.1 billion monthly, making him the only top-10 billionaire gaining groun
Trump’s Tariffs Spark Safe-Haven Surge—But Is the Market Bottom In?
Comment
Report
4.15K
Selection
koolgal
·
04-12

Is SPYD S&P500 High Dividend ETF A Good Buy?

🌟🌟🌟SPYD $SPDR Portfolio S&P 500 High Dividend ETF(SPYD)$ is built to track the S&P500 High Dividend Index by selecting 80 highest yielding stocks from the S&P500 Index.  What distinguishes SPYD is its approach of equally weighting these stocks.  This setup results in an ETF with an attractive dividend yield at 4.79%.  SPYD also has a low expense ratio of just 0.07%.  The Top 10 holdings include CVS Health, Consolidated Edison Inc, Philip Morris International, AT&T Inc, Exelon Corp, JM Smucker Co, Verizon Communications, Altria Group, WEC Energy Group and Crown Castle Inc. All Top 10 holdings have a weightage of less than 2%.  The total number of holdings is 77. The Real Estate sector takes up 23.5% of
Is SPYD S&P500 High Dividend ETF A Good Buy?
TOPicycrystal: thanks for sharing and congratulations!
14
Report
 
 
 
 

Most Discussed

 
 
 
 
 

7x24