COMM - Re-setup after 10 x ATR% from 50-MA pullback
$CommScope(COMM)$ - Re-setup after 10 x ATR% from 50-MA pullback3 consecutive days of higher low price contraction within its rising 10 & 20-MA within 4 x ATR% from 50-MA, similar to mid-june action before high RVOL day trajected this to a 35% move in 5 days to 10 x ATR% from 50-MA. The difference is the price contraction comes with RS before the move.The ideal scenario now is for further price contraction for RS improvement before any volumetric re-rally. Earnings report for COMM is on 7th Aug BMO.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 Acco
CRWD - Make or Break Moment at a Key Technical Confluence
$CrowdStrike Holdings, Inc.(CRWD)$ - Make or Break Moment at a Key Technical Confluence:The price is sitting directly on a confluence of major technical levels: the point of control of the current volume shelf, the 50DMA, and a new bullish Stochastic crossover.This all comes after the $466 level was tested every single day last week. The lines are drawn: a successful bounce from here targets $488, while a breakdown would target $430.ImageFor whom haven't open CBA can know more from below:🏦 Open a CBA today and enjoy privileges of up to SGD 20,000 in trading limit with 0 commission. Trade SG, HK, US stocks as well as ETFs unlimitedly!Find out more here:Trade on a Cash Boost Account and enjoy up to 6 months of Commission-Free trading.
🔥Key events in the coming week, share your trading plans!
Hi, Tigers!Welcome to Daily Discussion! This is the place for you to share your trading ideas and win coins!Click here to join the Topic & Win coins >>[Rewards]We will reward you with 50 Tiger Coins when you share your knowledge about stocks and markets here, depending on quality and originality.[Winners Announcement:18 July]1.Here are the 6 Tigers whose post has the best quality & interaction last Friday:Congratulations on being offered 50 Tiger Coins!Can N
Sharplink vs Coinbase - 2 Titans in the Crypto Rally, Supercharged by Trump's Crypto Revolution
🌟🌟🌟The crypto bull market of 2025 isn't just a market cycle. It is a political and economic transformation. With Bitcoin soaring past USD 120,000 and Ethereum eyeing USD 6,000, investors are flocking to crypto linked equities like$SharpLink Gaming(SBET)$ and $Coinbase Global, Inc.(COIN)$ . This rally isn't happening in a vacuum. It is being turbocharged by a seismic shift in US policy under President Donald Trump, who has just signed the GENIUS Act, CLARITY Act and Anti CBDC Surveillance State Act into law. Sharplink Gaming (SBET) Sharplink has reinvented itself from a sports book tech firm into a full blown Ethereum treasury play. With 36
Core and Edge: Balancing Broad ETFs with High-Growth Innovators—Cautiously
I want returns, not regrets—so I anchor wide and tread carefully on high flyers When it comes to investing, I’ve learnt the hard way that excitement and discipline don’t often live in the same portfolio. That’s why I now split mine between globally diversified ETFs and a select few high-growth innovators I track—but don’t always buy. I call it my “core and edge” strategy. The core keeps me safe. The edge keeps me interested. But with valuations sky-high and competitive pressures intensifying, my excitement is tempered by realism. This is not the moment for blind bets. Stability meets speculation in one deliberately split investment view The Safety Net: VOO and VT Keep Me Grounded Let’s start with the core. $Vanguard S&P 500 ETF(VOO)$ and
US consumer and producer inflation reports have been out since Tue, 15 Jul 2025. At the same time, the Top 6 US banks have also released their Q2 2025 earnings since Tuesday as well. Time to take stock and make sense of where US market might be heading in the remaining 2 weeks of July 2025, supposedly one of US market, best performing months. Consumer Price Index (CPI). US’s June 2025 Consumer Price Index (CPI) report, released on Tue, 15 Jul 2025, with its subtle shifts, reveals how tariffs are quietly reshaping consumer prices, particularly in sectors heavily reliant on imports. Headline inflation saw a rise of +0.3% MoM, from the previous month (0.1%), largely aligned with expectations. Annual inflation accelerated to +2.7% YoY, from May’s 2.4%, marking its highest level since February
$Rocket Lab USA, Inc.(RKLB)$ s$Virgin Galactic(SPCE)$$Tesla Motors(TSLA)$ 🚀📡🔥 Rocket Lab: Big Leaps, Big Bets, and Bigger Ascent 🔥📡🚀 I’m still long and cruising with a +22.31% gain in my commons position, but what just hit the options chain has lit the launch pad again! 20Jul25 NZST 🇳🇿: 🐋 This week, Rocket Lab ($RKLB) just clocked in one of the most aggressive, conviction-fueled LEAPS flows I’ve seen in months; nearly $3 million in premium dropped on the $65 16Jan26 calls. That’s not speculation; that’s positioning. 📈 Options Market Signals Are Flashing Green Over 71,000 RKLB calls traded in one day, triple the usual volume. Implied volatility jumped more than 4
Daily Scoop🍨: US Stocks To Rise After Mountains Of Good Data Detected ⬆️🚀
$S&P 500(.SPX)$ CS&P 500 Hits New Closing Record on Strong Earnings U.S. stocks climbed Thursday, with the S&P 500 rising 0.54% to a record 6,297.36 and the Nasdaq gaining 0.75% to 20,885.65, marking its tenth record close this year. The Dow advanced 0.52% to 44,484.49. Investor sentiment was buoyed by robust corporate earnings — 88% of S&P 500 companies reporting so far have beaten estimates — and upbeat economic data. PepsiCo surged over 7% and United Airlines gained 3% after strong results. Retail sales rose 0.6% in June, well above forecasts, and jobless claims fell to 221,000, reinforcing confidence in U.S. consumer resilience. EU Lowers Price Cap for Russian Crude Under New Sanctions Package The European Union has appro
Daily Scoop🍨: ASML, GM and Tesla News Makes For Turbulent 2nd Half 2025 🚀💪⭐️
$ASML Holding NV(ASML)$ $General Motors(GM)$ $Tesla Motors(TSLA)$ Global Stock Market Preview Global markets are reacting to mixed corporate signals and shifting trade dynamics. ASML’s 6.5% share drop underscores semiconductor sector uncertainty, while central banks boost gold reserves as prices hit record highs. Rolls-Royce and GM are expanding U.S. production to capture resilient domestic demand, even as Tesla faces leadership churn amid declining sales. Investors remain focused on trade policy shifts, supply chain realignments, and the outlook for ke
Navigating the Second Half of 2025: A Cautiously Bullish Outlook Across Asset Classes
As we cross the midpoint of 2025 on this July 21st, the financial markets present a tapestry of resilience amid uncertainty. The first half (H1) was a rollercoaster, marked by sharp corrections driven by tariff tensions and geopolitical jitters, followed by a swift recovery that propelled indices to new heights. Yet, I've crunched the data from myriad sources, and my take is one of cautious optimism: the underlying economic strength, coupled with potential policy shifts like Federal Reserve rate cuts, could fuel further gains. However, risks like persistent inflation, trade wars, and overextended valuations loom large. In this article, I'll recap H1, outline the H2 outlook, dive into specific asset classes with personalised insights, and share strategic positioning ideas. H1 2025 Recap: Fr
This infrastructure buildout is the biggest malinvestment bubble since the dot-com era. Everyone’s piling into AI infrastructure plays, but I think we’re witnessing a classic capital misallocation cycle: CoreWeave’s $6B Pennsylvania bet is peak bubble behavior. They’re building massive GPU clusters based on current AI demand, but AI workloads are fundamentally different from traditional cloud computing. These specialized data centers will become stranded assets the moment AI efficiency improves or demand patterns shift. Remember all those fiber optic cables laid in 1999? The “Trump AI Push” is political theater, not sustainable policy. Government-driven tech initiatives have a terrible track record - Solyndra, anyone? This Pennsylvania project smells like industrial policy designed to crea
The real retirement crisis isn’t the amount you need - it’s that traditional retirement is dead. Everyone’s debating S$550K vs S$1.87M, but I think we’re asking the wrong question entirely: “Retirement” is a 20th century concept that makes no sense in 2025. The idea of working 40 years then stopping completely was designed for industrial workers with 10-year post-retirement lifespans. Now people live 30+ years after “retirement” with rapidly changing skill requirements. The binary work/retirement model is obsolete. Singapore’s wealth inequality makes these averages meaningless. The S$550K figure assumes you’ll be content living like a struggling retiree, while S$1.87M assumes you want to maintain wealthy lifestyle. But the real issue is that Singapore’s cost structure is designed to extrac
Speaking of $Taiwan Semiconductor Manufacturing(TSM)$ I'm a fan too! [Miser] [Cool] I totally still believe in the magic of time, as the old adage goes : "Time in the market is better than timing the market. " I do utilize options to enhance my returns, and it's working out okay so far, but my primary source of returns continues to be stocks.
Consistent returns with option wheeling - Stock Selection
The option wheel strategy I use involves two key steps: - First, I sell cash-secured puts, which generate income through premiums. - If I'm assigned the shares, I then sell covered calls at or above the assigned price—earning more premium and possibly locking in capital gains. There are plenty of resources online that explain how the wheel strategy works, so I won’t go into the basics here. Instead, I’ll focus on how I personally customize the approach to generate consistent income while managing risk. Risk Considerations Like any strategy, this isn’t without risk—especially if the stock takes a sharp dive, leaving you with a large unrealized loss. To reduce that risk, here are the guidelines I follow when picking stocks: 1. Stick to profitable companies with a solid track record of posi
I Used to Hold Without Fear. Now I Sell Too Soon When I Have Unrealized Gains
Over the past decade, we've witnessed remarkable financial stories unfold. Companies like Nvidia have skyrocketed over 30,000%, while early Bitcoin investors have seen returns beyond imagination. These aren’t just numbers; they are examples of what’s possible when conviction meets patience. In trading and investing, there’s a loud crowd that praises high-risk, high-reward strategies, especially options. But sometimes, the most powerful gains come not from complexity or speed, but from simply holding a good stock through time. That sounds easy, but if you’ve been in the market long enough, you know it’s anything but. When Holding Worked Back when I started investing, I used Webull. I didn’t know much. I just kept reading one thing: “Buy and hold through volatility.” So that’s what I did. I
Barbell Sleeve Rotation Of GOOGL WIth MSFT and AMZN Across Macro Regimes
We have $Alphabet(GOOGL)$ fiscal Q2 2025 earnings coming up on 23 July 2025, so while we consider how analysts are viewing the fiscal Q2 2025 earnings of GOOGL, but I think we need to consider how GOOGL earnings might be affected by the macro regimes. So in this article, I would like to share how I have done a barbell sleeve simulation across macro regimes. But first, let us looked at what are the metrics investors would be looking at for Alphabet’s July 23 earnings release. GOOGL Fiscal Q2 2025 Earnings: Key Metrics to Watch Core Financial Metrics EPS Forecast: $2.16–$2.17, up ~14% YoY Revenue Estimate: $93.67B, +10.5% YoY Net Income: ~$24.7B, up from $21.2B YoY Free Cash Flow Margin: ~20.8% (watch for compression due to AI capex) Segment-Level
1/ $UnitedHealth(UNH)$ is one of my highest conviction stocks for the next 5 years.It is an easy 3x from the current levels.Here is why UNH is an asymmetric opportunity now: 🧵2/ $UnitedHealth(UNH)$ is dominating healthcare in the US.As a group, UnitedHealth owns:- Largest health insurer in the US- Largest care delivery network- Largest pharmacy benefit managerThese businesses are integrated under one roof, making it a vertically integrated giant.Image3/ Its vertical integration allows it to keep more money in the system compared to the competitors.Clients pay policy premiums to UnitedHealthcare.When they need health services, they primarily use Optum.UnitedHealthcare pays Optum, thus UNH group avoids premiu
$Microsoft(MSFT)$ Everyone keeps parroting the idea that AI is going to kill Google Search.Sure -- the era of printing cash off blue-link ads is winding down. That part’s real.But $Alphabet(GOOG)$ isn’t just a search engine. It’s the OS of the digital workday: Gmail, Docs, Sheets, Meet, Drive, Chrome, Android. That’s where people live -- and Gemini is being quietly embedded into every inch of that stack.The shift from clicks to tokens is already underway:• Gemini costs $20–30/user/month in Workspace. Flat-rate for now, but you think usage-based pricing isn’t coming?• Vertex AI? Already monetized per token.• Gemini for Ads? Actively testing AI-generated copy, headlines & creative -- every variation = t
The small-cap world is full of noise -- pump-and-dumps, zero-revenue shells, Discord-driven hype cycles. Fundamentals get ignored, and what passes for “research” is often just recycled speculation. No institutional-lever research. No framework for finding what actually matters.That’s why I launched this portfolio three years ago -- to chase momentum or spin up a content engine, but to bring real structure to a chaotic corner of the market. I wanted to treat sub-$4B companies with the same rigor you'd expect further up the cap stack. A roadmap for how to find the ones that actually build -- with real product, real IP, and long enough runways to become foundational.This was never about “what’s hot.” It was about “what lasts.” I wasn’t looking for names that could just go up -- I was looking