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General
koolgal
·
2025-08-22
🌟🌟🌟In the first half of 2025, $HKEX(00388)$ posted its best ever revenue - HKD 141.1 billion, up 33% year on year.  Profits surged 39%.  Daily turnover? HKD 222.8 billion, up 122%.  These are not just numbers.  It shows that Hong Kong stock market is buzzing again.  It is a story of resilience and grit.  With new reforms such as paperless listing, smart IPO pricing, lower trading thresholds -  these are great moves that will power $HKEX(00388)$ to new record highs in the future.  I am super excited at these new developments. It is time for $HKEX(00388)$ to shine.🚀🚀🚀🌛🌛🌛💰💰💰

【🎁港財報季暴漲靚股】港交所公佈創紀錄盈利,收入和溢利創新高!你點看?

@財報話你知
小虎們,隨着恆生指數重返25000點,港股IPO熱潮持續,港交所2025年中期業績出爐,利潤和收入再創歷史新高,一起來看看吧~~~[Sly]上半年收入創歷史新高!8月20日,香港交易及結算所有限公司發佈2025年中期業績,財報虎只能說依舊讓人驚喜不斷:收入及其他收益同比增長33%至140.76億港元,股東應佔溢利為85.19億港元,同比增長39%,兩者均創歷史新高![Miser]其中2025年Q2淨利潤同比增長41%至44.42億港元,港交所表示主要是因為港股現貨市場的成交量增長所帶動的交易及結算費用的增加。[Cool]圖源:港交所我們來看看具體項目:證券市場上半年平均每日成交額為2402億元,同比增長118%;期貨及期權產品平均每日成交合約張數超過170萬張,同比增長11%;香港ETF市場增長更加亮眼,平均每日成交金額達338億元,同比增加184%;交易費及交易系統使用費同比增長49%至49億港元;結算及交收費同比增長48.5%至31.55億港元;滬深港通收入及其他收益創歷年半年度新高,達18.13億港元,其中將近80%來自交易及結算收費;南向港股通日均成交額高達1110億港元,是2024年同期三倍。不僅如此,港交所依舊慷慨派息,宣佈中期派息為每股6港元,同比增長38%,以現金派付。今年以來,恆生指數累計升幅超25%,國企指數與恆生科技指數均累計升幅超23%,港交所股價升超50%,上個月底,港交所股價創下年內新高的452港元。[Grin]圖源:港交所財報香港重奪全球最大IPO桂冠!IPO這一方面財報虎需要給大家重點聊一聊,這也是港交所的焦點所在:2025年上半年,香港市場迎來44家公司,募資金額超過1000億港元,同比增長716%,創下港交所自2021年以來的最佳半年度表現,重奪全球最大IPO桂冠![Miser]最大規模的還是「寧王」寧德時代,募資410億港元,成為202
【🎁港財報季暴漲靚股】港交所公佈創紀錄盈利,收入和溢利創新高!你點看?
🌟🌟🌟In the first half of 2025, $HKEX(00388)$ posted its best ever revenue - HKD 141.1 billion, up 33% year on year. Profits surged 39%. Daily turnov...
TOPJamesWalton: Incredible numbers! So exciting! 🚀💰
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nerdbull1669
·
2025-08-22

PDD Holdings (PDD) Operational Expenses On Margins Control To Watch

$PDD Holdings Inc(PDD)$ is scheduled to release its fiscal Q2 2025 earnings report on Monday, August 25, 2025, before the U.S. markets open. This report will be highly anticipated by investors, as the company's recent performance has been mixed. Earnings Per Share (EPS): The market's primary focus will be on whether PDD can meet or beat analyst consensus estimates. The consensus EPS forecast for Q2 2025 is around $1.69 per share. Revenue: The revenue forecast is approximately $14.35 billion. It is worth noting that analyst estimates have been trending lower over the last month, which could suggest a more cautious sentiment. Based on the Q1 2025 earnings report, PDD Holdings (PDD) showcased a mixed but ultimately revealing performance, providing key
PDD Holdings (PDD) Operational Expenses On Margins Control To Watch
TOPGeraldAdela: It's crucial to consider how cost control affects PDD's user growth and profitability.
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koolgal
·
2025-08-22
🌟🌟🌟The Diagonal Spread Strategy on $iShares 20+ Year Treasury Bond ETF(TLT)$ is a great way to play the bond market's potential rebound, especially if you believe interest rates will fall and the long duration bonds will rally. The Diagonal Spread Strategy lets you express bullish bias with reduced upfront cost.  It also generates income from the short leg while holding the long leg.  It manages risk more flexibly than outright long calls. @Tiger_comments @TigerStars @Tiger_SG @CaptainTiger
🌟🌟🌟The Diagonal Spread Strategy on $iShares 20+ Year Treasury Bond ETF(TLT)$ is a great way to play the bond market's potential rebound, especially...
TOPIreneWells: That strategy sounds intriguing
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58.48K
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JC888
·
2025-08-22

When Will PLTR Stopped Sliding ?

US market continued to close lower on Wed, 20 Aug 2025. According to Dow Jones Market Data, although S&P 500 index fell for a 4th straight day, it ended Wednesday just -1.1% below its last week’s record closing high on Thu, 14 Aug 2025. By the time mid-week trading was over: (see above) DJIA: +0.04% (+16.04 to 44,938.31). S&P 500: -0.24% (-15.59 to 6,395.78). Nasdaq: -0.67% (-142.095 to 21,172.857). US market continual dip on Wednesday, was largely attributed to: Pressured by a broad decline in tech sector. The Fed’s July 2025 meeting minutes. (1) Tech sell off. Investors continued to take profits on several heavyweight technology and semiconductor stocks over: Concerns about their high valuations. “Real” strength of AI trade over longer term. As a result, the followings happened:
When Will PLTR Stopped Sliding ?
TOPEnid Bertha: If you want to be rich wait till it hits $165 then short, don’t try and take a position rn it’s too much of a gamble.
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1.71K
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Tony Boon
·
2025-08-22
Sentiment this week seems to be quite lousy for US markets. Depending on Powell's speech especially on the rate cut issue, I guess market might rebound slightly into the green. Probably less than 1% green. Nevertheless, it is good buying opportunity if market goes red since probability of rebounding on early next week should be high. I should be monitoring Telsa closely. Lol. Cheers. [Smile] [Smile]. Enjoy your trading tonight.
Sentiment this week seems to be quite lousy for US markets. Depending on Powell's speech especially on the rate cut issue, I guess market might reb...
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991
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nerdbull1669
·
2025-08-22

Can HEICO (HEI) Continue To Beat Analyst Expectations Amid Supply Chain Challenges?

$Heico(HEI)$ is set to release its fiscal Q3 2025 earnings report on Monday, August 25, 2025, after the market closes. This is a highly anticipated report, given the company's strong historical performance and its position in the aerospace and defense industry. Earnings Per Share (EPS): The market's primary focus will be on whether HEICO can continue its streak of beating analyst expectations. The consensus EPS forecast for Q3 2025 is $1.12 per share, and this represent a projected year-over-year increase of 15.5%. Revenue: The revenue forecast is approximately $1.11 billion, which represent a projected year-over-year increase of 12.2%. Given that HEICO has beaten consensus EPS estimates for the last four consecutive quarters, a miss would be a sig
Can HEICO (HEI) Continue To Beat Analyst Expectations Amid Supply Chain Challenges?
TOPEnid Bertha: I will buy a little now on weakness but will wait to load up til after earnings
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1.17K
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Mkoh
·
2025-08-22

What is the risk of stablecoin to Visa business model. How efficient is stablecoin as means of payment

Stablecoins, digital currencies pegged to assets like the U.S. dollar, pose both opportunities and risks to Visa’s business model. Below are the key risks:Disintermediation of Traditional Payment Networks:Stablecoins enable direct, near-instant transactions on blockchain networks, potentially bypassing Visa’s payment rails. Merchants and retailers like Walmart and Amazon are exploring issuing their own stablecoins to avoid interchange fees (1-3% per transaction), which could erode Visa’s revenue, particularly in high-margin cross-border payments. For instance, analysts estimate Walmart and Amazon could save $14 billion annually by using stablecoins. Competitive Pressure from Retailers and Fintechs:Major retailers and fintechs (e.g., Coinbase, Shopify) are integrating stablecoin payment pla
What is the risk of stablecoin to Visa business model. How efficient is stablecoin as means of payment
TOPPhyllis Strachey: Merchant stablecoins could slash fees—how will Visa negotiate with Walmart/Amazon?
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5.13K
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Binni Ong
·
2025-08-22

Pop Mart At All Time High – Calculated Technical Target at 339

Pop Mart ( $POP MART(09992)$ ) Chart Analysis Cup and handle pattern breakout Breakout to all-time high: The recent breakout in POP MART was supported by strong interim results, highlighting robust revenue growth and profitability. Analyst upgrades and optimism that the company could become a candidate for Hang Seng Index inclusion further boosted sentiment. (Source: https://www.aastocks.com/en/stocks/news/aafn-con/NOW.1462558/popular-news/AAFN?) These fundamental catalysts provided the momentum that aligned with the bullish technical setup. Cup and Handle Pattern: The chart illustrates a classic cup and handle formation, a bullish continuation pattern Cup: Formed between 235 and 287, creating a base structure. Handle: Short consolidation before
Pop Mart At All Time High – Calculated Technical Target at 339
TOPJo Betsy: Cup & handle target 339—can 200% revenue growth keep fueling it?
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1.31K
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Shyon
·
2025-08-22
I find the recent 7% drop in Intel's $Intel(INTC)$   stock price after a continuous rally quite intriguing. This might be a load-up chance, and I can see why some might view it as an opportunity. A dip like this, especially following a strong upward trend, often attracts investors looking to buy at a lower price, hoping for a rebound.  I am considering whether this is a good ticker to try options with, given its low price. Options trading can be risky, but a lower stock price might offer a chance for higher leverage if I believe in a quick recovery. Intel's established position in the semiconductor industry and its potential to innovate in areas like AI and 5G could make it an interesting pick. However, I would need to weigh th
I find the recent 7% drop in Intel's $Intel(INTC)$ stock price after a continuous rally quite intriguing. This might be a load-up chance, and I can...
TOPMortimer Arthur: Intel ridiculously undervalued here at $100B and below book. $30+ in the short term.
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881
General
Shyon
·
2025-08-22
My boldest move in the stock market recently was stepping into high-volatility tech plays when most investors were running for cover. Instead of waiting for perfect timing, I relied on a structured strategy—balancing long-term conviction stocks with tactical entries. It was risky, but I believe calculated boldness pays off more than hesitation. One example is my position in semiconductor and AI-related names. While the market sentiment was shaky, I added exposure through leveraged ETFs and stayed committed to my conviction. Even in uncertain times, I’d rather lean into growth sectors than sit on the sidelines waiting for clarity that may never come. To me, being bold doesn’t mean chasing hype—it means daring to act when the crowd hesitates, and having a plan to manage both upside and down
My boldest move in the stock market recently was stepping into high-volatility tech plays when most investors were running for cover. Instead of wa...
TOPzookie: Incredible strategy and courage! Love it! [Heart]
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1.01K
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Option_Lab
·
2025-08-22

Beginner Options Strategy: Long Call — A Smart Way to Play the Upside | #OptionsHandbook EP030

Buying a stock is the classic way to profit when prices go up. But what if you don't want to commit a large chunk of money? What if you wish to limit downside but still want to capture the upside? That’s where a long call comes in! 📘 The Options Handbook breaks down how the Long Call works—the risk, reward, and that ‘small bet, big payoff’ effect: ▶ Control Your Risk 💡 Let's say Pear Inc. is trading at $100. You believe it could reach $120 in a month. You have two choices: Buy 100 shares for $10,000. Or buy a one-month call option (strike $100) for $300. If the stock drops, your max loss is only $300—not a painful stock position. ▶ Boost Your Returns 🚀 If the stock jumps to $120, the call could ri
Beginner Options Strategy: Long Call — A Smart Way to Play the Upside | #OptionsHandbook EP030
TOPzippyloo: This strategy is such a game changer for beginners
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1.01K
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Lanceljx
·
2025-08-22
For Jackson Hole, the key points for traders and investors usually revolve around Fed signalling and market psychology rather than the event itself. Based on the pattern you outlined: 1. Focus Points for Jackson Hole 2025 Powell’s tone: Hawkish, dovish, or neutral. Hawkish → market interprets it as higher rates for longer → S&P dips. Dovish → market may hope for rate cuts → temporary relief or rally. Forward guidance: Any hints about September rate cuts or the pace of policy easing. Inflation commentary: Markets react strongly if Powell signals inflation is still sticky. Market expectations vs. reality: Even if he’s dovish, traders often take profit after pre-event positioning, which explains the “dip even on dovish tone” you noted in 2024. --- 2. Classic Dip-Rally Pattern Historically
For Jackson Hole, the key points for traders and investors usually revolve around Fed signalling and market psychology rather than the event itself...
TOPAstrid Stephen: Not sweating today.Powell’s noise, not trend.
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839
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Lanceljx
·
2025-08-22
As Nvidia approaches its Q2 FY2026 earnings report on August 27, 2025, market expectations are elevated, driven by robust demand in AI infrastructure and advancements in its GPU architectures. Here's an analysis of anticipated results, guidance, and developments in Nvidia's product roadmap: --- 📊 Anticipated Q2 FY2026 Financial Results Revenue Expectations: Analysts forecast Q2 revenue between $44.1 billion and $45.9 billion, marking a 52.4% year-over-year increase. This growth is primarily attributed to sustained demand in AI workloads and data center expansions.   Earnings Per Share (EPS): Projected EPS stands at $1.00, reflecting a significant year-over-year improvement.   --- 🧠 Product Development and Ramp-Up GB200 ("Blackwell") Production Status: The GB200 GPU has
As Nvidia approaches its Q2 FY2026 earnings report on August 27, 2025, market expectations are elevated, driven by robust demand in AI infrastructu...
TOPMerle Ted: NVDA may raise again if a rumor starts that Fed chair going. So dont sell or short
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2.72K
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MilkTeaBro
·
2025-08-22
$CHINA RES POWER(00836)$ Added position for swing trading. A company profits fluctuate is normal, dividend yield 6% is attractive, spin off new energy in A share market in the near future could happen, documents have been submitted to authority.  I believed it was good chance for it if HK Bull Market continues.
00836
08-22 13:18
HKCHINA RES POWER
SidePrice | FilledRealized P&L
Buy
Open
18.14
2,000
--
Closed
CHINA RES POWER
$CHINA RES POWER(00836)$ Added position for swing trading. A company profits fluctuate is normal, dividend yield 6% is attractive, spin off new ene...
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9.86K
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Daily_Discussion
·
2025-08-22

🔍 The Asymmetric Investor: Share Your High-Reward Bets!

Hi,Tigers:💰Market waves crashing – time to dive in!🌊 Big splash? 💎 Hidden treasure? 🎲 Bold call?Share your wisdom and lead the pack!Let’s break it down. These stories drove the markets.More NewsWeekly Five Key Areas: Macro, Singapore Stocks, Options, Futures, EarningsCovering five major market segments this week to help you stay ahead of market trends and plan your trades effectively!📊 Friday — Earnings FocusInterpret key corporate earnings reports to grasp performance-driven investment opportunities.📌【Today’s Question】What is your boldest move in the stock market?Yesterday's winners:
🔍 The Asymmetric Investor: Share Your High-Reward Bets!
TOPWanEH: My boldest move is to bet on a single stock with all my funds + leverage. The result is one success and one failure. Next, I don't dare to continue doing that. @Tiramisu2020
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984
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pretiming
·
2025-08-22

COIN is nearing a potential rebound phase

$Coinbase Global, Inc.(COIN)$ $GraniteShares 2x Long COIN Daily ETF(CONL)$ $GraniteShares 2x Short COIN Daily ETF(CONI)$ 1. Today’s Market FlowCoinbase (COIN) closed at $300.3, down -1.35% from the previous session.The stock remains in a Bearish trend zone, reflecting ongoing selling pressure and cautious investor sentiment.Over the past 21 days, COIN has consistently remained in this Bearish zone, accumulating a decline of -24.5% since July 23, 2025. This performance highlights the importance of risk management and defensive positioning.Selling activity continues to outweigh buying pressure, although signs of a potential rebound trend are emerging as downward mo
COIN is nearing a potential rebound phase
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1.15K
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Callum_Thomas
·
2025-08-22

Chart of the Week - The Best vs Worst

Hidden pressures are building up beneath the surface of the stockmarket.And most people are ignoring this (some knowingly, others oblivious).What we’re seeing is some of the most extreme relative valuation readings in history —and this type of setup has been a harbinger before of big moves, major changes, and generational opportunities for smart asset allocators.I call this theme the Relative Value Trinity of Global Equities:Small vs Large: the smallest stocks are much cheaper than usual vs the largest stocks (and we see this especially in the USA but also globally).Value vs Growth: the cheapest end of the market is much cheaper than usual vs the more richly priced growthier end of the market (again, this is something we see globally, but especially pronounced in the USA with big tech outs
Chart of the Week - The Best vs Worst
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1.20K
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Trend_Radar
·
2025-08-22

Daily Charts - Stock Market Fear & Greed Index drops to lowest level since early May

1.Stock Market Fear & Greed Index drops to lowest level since early May 🚨🚨Image2.Short Sellers say they're having a really hard time with the current market 😂😂😂Image3.The odds of a September rate cut have tumbled to just over 73% 👀 The odds were 100% less than 2 weeks ago 🤯Image4.Federal Reserve Reverse Repo down to its lowest levels in 4 years 🚨🚨 The amount in 2023 was over $2 Trillion and now sits at just $20-$30 Billion 📉📉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:💰Join the TB Contra Telegram Group to Get $10 Trading Vouchers Now🎉
Daily Charts - Stock Market Fear & Greed Index drops to lowest level since early May
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1.76K
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Trend_Radar
·
2025-08-22

QQQ, TSLA, PYPL & PLTR Will Surge Upward

1. $Invesco QQQ(QQQ)$ Nasdaq trades red for a 6th consecutive day, its longest losing streak since October 2022 📉Image2. $Tesla Motors(TSLA)$ Robotaxis could generate $34 Trillion in Enterprise Value by 2030 🚨 Tesla's market cap is only $1.05 Trillion right now 🤯Image3. $PayPal(PYPL)$ Nearly 16 million PayPal login credentials have been leaked on the Dark Web 🚨🚨 Looking forward to my $2.73 settlement check 🥳🫂Image4. $Palantir Technologies Inc.(PLTR)$ Palantir now down 18% from its all-time high set last week 📉📉ImageFor whom haven't open CBA can know more from below:🏦 Open a CBA today and enjoy privileges of up to SGD 20,0
QQQ, TSLA, PYPL & PLTR Will Surge Upward
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1.59K
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PeterDiCarlo
·
2025-08-22

Hot Stock Updates - LLY, PEP, RKT & HIMS

1. $Eli Lilly(LLY)$ $12K day on LLY using the Smart Money Zone. 🟣Why I entered, why I closed, and when I’m back in. 2. $Pepsi(PEP)$ $10k day on PEP using a simple 2-step system.See my entry trigger, exit rule, and re-entry conditions. 3. $Rocket Companies(RKT)$ Booked $30,000 on RKT with one simple 2-step system. 🔥✅I show the chart trigger, the exact exit, and when I’d take it again.4. $Hims & Hers Health Inc.(HIMS)$ HIMS needs to hold this volume block and support. If not we’re going down to the next SmZ at $36-$34 ✅For whom haven't open CBA can know more from below:🏦 Open a CBA today and enjoy privileges of up to SGD
Hot Stock Updates - LLY, PEP, RKT & HIMS
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