I find it intriguing that Tesla rose 3% after Trump announced a deal to set 15% tariffs on goods from the European Union. This kind of news can certainly impact stock prices, and Tesla's reaction suggests investors see potential benefits from such tariffs. It is a clear sign that external economic policies can play a significant role in the company's performance. The question of whether it is time to sell Tesla or hold for a breakout after this recent rebound is an important one. I believe now is definitely not the moment to sell. The share price is currently in a lower price range, which I see as a potential support level. Selling at this point might mean missing out on future gains. Instead, I think this could be a good opportunity for investors to hold or even start accumulating sh
I find it interesting to see Coinbase's stock gaining nearly 100 more than this analyst expected two months ago when he suggested people should buy it. The fact that it has also outperformed bitcoin by a wide margin is quite impressive. It shows the strength and potential in the cryptocurrency market, especially with platforms like Coinbase leading the charge. Regarding MicroStrategy's earnings report, I believe it could indeed influence its stock. Positive earnings, particularly those tied to Bitcoin holdings, may boost both assets. On the other hand, disappointing results could trigger sell-offs. This connection between earnings and Bitcoin holdings highlights how intertwined traditional finance is becoming with cryptocurrencies. When it comes to whether I think Coinbase can continue out
NVIDIA Doubled From Lows: While Other Stocks Struggled This Earnings Season?
Yesterday, both the S&P 500 and Nasdaq hit fresh all-time highs. Yet investors are asking the obvious question: if earnings reports have generally been disappointing, why is the market still going up?According to the latest data, the S&P 500's net profit margin for Q2 2025 is 12.3% — down from 12.7% in the previous quarter, but still higher than 12.2% a year ago and above the 5-year average of 11.8%. This marks the fifth consecutive quarter with profit margins above 12%, a streak only seen previously between Q2 2021 and Q2 2022. However, this is also the first quarter-on-quarter decline since Q4 2023.Looking at individual company earnings, poor results often led to steep drops, while beats mostly brought only mild gains.1. Semiconductors: All but NVDA and AMD CrumbledAI favorites <
$Novo-Nordisk A/S(NVO)$ was scheduled to report Q2 earnings on Aug. 6, but chose to issue an early earnings warning.There has also been a change of CEO, with Maziar Mike Doustda replacing Lars Fruergaard Jørgensen on August 7th.Earnings warning and market reactionSales & Profit Adjustments: Full year 2025 sales growth estimate is lowered to 8%-14% (CER ) from 13%-21% (CER) and operating profit growth is lowered to 10%-16% (CER) from 16%-24%, which is significantly lower than analysts' expectations of 16.6%. In Danish krone terms, sales and profit growth fell by a further 4% and 7% respectively, mainly due to the depreciation of the US dollar.The core driver of the downgrade stems from Wegovy, with lower-than-expected penetration in the out-of-p
Figma IPO vs CoreWeave IPO: A Battle for 2025's Tech Crown
$Figma(FIG)$$CoreWeave, Inc.(CRWV)$ The tech IPO market in 2025 is heating up, with Figma's upcoming public offering on July 31, 2025, poised to challenge the benchmark set by CoreWeave's blockbuster IPO earlier this year. Figma, a cloud-based design software giant, is targeting a valuation of up to $18.8 billion, while CoreWeave, an AI-focused cloud computing platform, raised $1.5 billion at a $23 billion valuation in March 2025. This analysis explores whether Figma's IPO can surpass the hype generated by CoreWeave, examining financials, market conditions, and investor sentiment. Figma's IPO Details Figma's IPO is one of the most anticipated tech listings of 2025. The company plans to issue approximately
$5 Vouchers & Coins Sent🔥 Join the Buzz with Prediction Games and Topic Posts!
Thank you all for your enthusiastic participation.It’s time to announce the winners again! Let’s reveal last week’s winning Tigers! Tiger Coins have already been distributed[Heart][Heart]please check the Tiger Coin Center to find in your history!First, let’s take a look at last week’s Lucky Tigers!Each of you has received 100 Tiger Coins! Don’t forget to check them[Tongue]@joechill@luv2trade@DeanstaGanggang679FBBSOiLGeR@NJ.@piggy pig All it takes is one post in the weekly topic to have a chance at winning the lucky dra
$Figma(FIG)$ , the popular design platform used by teams around the world, is going public this week. The company will set its IPO price on July 30 and begin trading on the NYSE under the ticker “FIG” on July 31. We're giving you a chance to earn 888 Tiger Coins just by making a prediction!About the IPOFounded in 2012 and headquartered in San Francisco, Figma is a leading SaaS design platform known for its real-time collaboration features.Figma is offering nearly 37 million shares at $30–32 per share, aiming for a valuation of $18.8 billion.Demand is strong — orders are reportedly more than 30 times the available shares.In 2024, revenue reached $749 million, up 48% YoY. Net income more than tripled. In Q1, Figma reported $228 million in revenue, up
📉7 "Fallen Angel" Stocks to Watch: LULU, NKE, UNH & More
Hi Tigers! The EV/EBIT ratio is a financial metric used to assess the valuation of a company in relation to its earnings before interest and taxes (EBIT).Here's a breakdown:EV (Enterprise Value): This is the total value of a company, calculated as the market capitalization (the total value of all its shares) plus debt, minus cash and cash equivalents. It represents the cost to acquire the entire company, including debt obligations and excluding excess cash.EBIT (Earnings Before Interest and Taxes): This is a measure of a company's profitability that excludes interest and taxes, providing an idea of the company's ability to generate profit from operations alone.Interpretation:Low EV/EBIT: A lower ratio could indicate that the company is undervalued relative to its operating earnings, which
Hello everyone! Today i want to share some macro analysis with you!1. $Gold - main 2508(GCmain)$$XAU/USD(XAUUSD.FOREX)$ Technicals: Gold prices fell for the fourth consecutive session. The Relative Strength Index (RSI) has turned bearish, suggesting the ongoing downtrend could continue.If gold prices fall below 3300, the next support level will be the confluence of the 100-day SMA and the 30 June low (near 3244). Should the latter be broken, gold would aim for $3200 and the 15 May swing low of $3120.On the upside, gold needs to regain 3350, which would clear the way to 3400 ounces, followed by the 16 June peak at 3452! European markets are focusing first on resistance around 3330 , and person
1.TRADE PLAN for Tuesday 📈 $S&P 500(.SPX)$ consolidation day before FOMC on Wednesday. SPX rejected at 6400 and dropped 25 points. Most likely we see another consolidation day tomorrow. WAIT For AFTER FOMC before considering a trade this week. $NVIDIA(NVDA)$ lots of relative strength, NVDA to 180 possible if market can rip higher after FOMC.NVDA Aug 8 180C is best above 175 this week $Broadcom(AVGO)$ 300 test in play by Wednesday. If AVGO can breakout above 300 it can run another 15-20 points in August.AVGO Aug 8 310C best near 300I'd be patient over the next 1.5 days before FOMC. I don't see any signs of momentum in SPX or
This market is great. Mostly everyone makes money in this phase. It is “fun” That said; it is important to begin thinking about how to secure it if rainy day/weeks/months come. For me, it is simple. When trend, breadth and momentum all simultaneously falter this is my risk-off alarm 🚨 (the last alarm was Feb 21). Until then I intend to keep positioned long, using $ARK Innovation ETF(ARKK)$ as a core trade for outperformance. I think similar to the past intermediate tops, the leading indicator will be stretched sentiment for duration and us equity positioning (NAAIM > 100 + Fear & Greed Index in Extreme Greed). $Cboe Volatility Index(VIX)$ For whom haven't open CBA can know more from below:🏦 Open a C
Hello everyone! Today i want to share some option strategies with U!1. $PayPal(PYPL)$ Ended up writing the Aug 1 expiry, $70 put strike on PYPL.Confidence level on this trade is not high considering there is a large amount of OI at the 70 put strike. Feels like tutes know this is gonna dump for earnings, and am kinda thinking it might. Will roll down-and-out if that 70 level gets breached badly. Let's see what earnings brings. 😬🤞🏽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 m
VIX, NKE, TEM, AMD& QQQ Welcome Great Upward Momentum!
Hello everyone! Today i want to share some technical analysis with you!1. $Invesco QQQ(QQQ)$ Who remembers the “Blood in the Streets” QQQ strategy we flagged back in March?Long when price drops 10%+ from 20-week high.Hold for six months.Sitting pretty right now.Image2. $Advanced Micro Devices(AMD)$ Monthly falling wedge breakout...Take two. 🎬 Image3. $Tempus AI(TEM)$ Pelosi is still in this one?Hmmmm. 👀Image4. $Nike(NKE)$ attempting its first monthly bull MACD cross in 5 YEARS. 🐂Image5. $Cboe Volatility Index(VIX)$ I fear that there is no fear left. 🪦💐ImageFor whom haven't open CBA
Coinbase (COIN) - Continued Outperformance or Impending Correction?
Coinbase ( $Coinbase Global, Inc.(COIN)$ ) has evolved far beyond its origins as a simple Bitcoin exchange. The company is now positioning itself as the foundational infrastructure layer for the entire digital asset economy. Its recent stock performance, which has significantly outpaced that of Bitcoin, is not an anomaly but a reflection of the market beginning to recognise the value of its increasingly diversified and defensible business model. To determine if this outperformance can continue, a granular analysis of its financial performance, institutional business, and strategic technology investments is required. Q1 2025 Financial Dissection and Q2 2025 Outlook Coinbase's financial results for the first quarter of 2025, which ended March 31, pr
July FOMC Meeting Approaches: Focus on Potential Early Rate Cuts
The anticipated July Federal Reserve policy meeting is upon us. There are two main points of interest for this session: First, whether the Fed might unexpectedly cut rates earlier than expected (which is considered unlikely), and second, the degree of dissent among committee members regarding the rate decision. While the likelihood of an early rate cut is low, it’s notable that “the Boss” recently visited the Fed and publicly pressured Chairman Powell to lower rates. The market largely expects the first rate cut to come in September; if it happens as early as July, it would suggest these political pressures were effective and that further cuts might accelerate. Regarding committee votes, if the Fed keeps rates unchanged, attention will turn to how many policymakers dissent. A high level of
SRT WTD Gains Led by Industrial/Office/Retail; MAS and Fed Policy in Focus【CSOP Fixed Income Weekly】
【SRT】 Gains over the week was led by industrial, office and retail by subsector, and Suntec REIT, FLT, and KREIT by individual REIT. Suntec REIT gained after it reported resilient 1H performance with 1H DPU gaining 3.7% due to strong operating performance and lower financing costs. $CSOP iEdge SREIT ETF S$(SRT.SI)$ 2025 WTD Total Return: +1.49% 【MMF】 This week, headlines surrounding Fed Chair Powell’s future at the central bank. Secretary Bessent had said that there was “nothing that tells” him that Powell should step down now. Secretary Bessent has also called for a review of the Fed’s non-monetary policy functions. On the data front, initial jobless claims had fallen to 217k (consensus: 226k), signaling labor resilience. Flash July PMI diverge
$iShares Bitcoin Trust ETF(IBIT)$ ₿ Why I Dollar Average Into IBIT (iShares Bitcoin Trust) 🧱 I See Bitcoin as Digital Gold I dollar average into IBIT because I see Bitcoin as a long-term store of value — like gold, but with higher potential upside. In times of uncertainty, inflation, or distrust in fiat currencies, I want a portion of my portfolio in something not controlled by governments or printed endlessly. IBIT gives me direct exposure to Bitcoin’s price without the hassle of wallets, private keys, or cold storage. It’s simple, secure, and institutional-grade. ⸻ 💰 I Invest Through Dips and Crashes When Bitcoin falls 10%, 20%, or even 50%, I don’t panic — I accumulate. Crashes don’t scare me anymore; they excite me. I see them as discount
$CapitaLandInvest(9CI.SI)$ Why I'm Buying CapitaLand Investment (9CI.SI): A High-Conviction Bet on Asia's Real Asset Growth In a volatile global market where asset-light models often chase valuations over value, CapitaLand Investment (SGX: 9CI) stands out as a compelling, resilient, and strategically positioned real asset manager. Here's why I've initiated a position and why I believe it offers both defensive strength and structural upside. 1️⃣ Scalable Asset-Light Model with Recurring Fee Income CapitaLand Investment (CLI) pivoted decisively from a developer-heavy balance sheet to a capital-efficient, asset-light model. Today, it is one of Asia's largest real estate investment managers, with over S$134 billion in real estate assets under m