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1.40K
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Mkoh
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2025-08-27

Does Bitcoin and Ethereum have a place in your portfolio?

Bitcoin and Ethereum can have a place in a portfolio, but they should be considered high-risk, high-reward speculative assets. Think of them less as a traditional stock or bond and more as an alternative investment. Their inclusion in a portfolio depends entirely on an individual's financial goals, risk tolerance, and investment horizon.   High Volatility and Risk  Cryptocurrencies are known for extreme price swings. Unlike traditional assets, their value is not based on cash flow or business performance. Instead, it's largely driven by market sentiment, speculation, and perceived utility. This high volatility means you could see significant gains, but you also risk losing a substantial portion of your investment. Because of this, it's widely recommended to only invest what
Does Bitcoin and Ethereum have a place in your portfolio?
TOPElvisMarner: Such insightful thoughts! Love it! [Heart]
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Mickey082024
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2025-08-27

China’s Food Delivery War Heats Up: Meituan Stumbles, Alibaba on Deck

$MEITUAN-W(03690)$ China’s consumer internet space has long been defined by bruising competition, subsidy-driven battles, and shifting consumer preferences. But even in such a dynamic environment, the magnitude of Meituan’s latest earnings collapse stunned markets. A 90% plunge in adjusted net profit, far below consensus expectations, reignited investor debate about whether food delivery is destined to remain a low-margin, cash-burning battlefield. The disappointment also comes just as Alibaba prepares to release its latest quarterly earnings, with many questioning whether the delivery war will spill into its broader e-commerce operations. Meanwhile, Pinduoduo’s (PDD) signals of strategic moderation raise fresh questions about competitive balance
China’s Food Delivery War Heats Up: Meituan Stumbles, Alibaba on Deck
TOPfluffik: It's a tough battleground, but Alibaba's upcoming results could be a turning point.
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1PC
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2025-08-27
I prefer ETF (less hassle [Happy])My pick: Lion-Phillip S-REIT ETF (CLR.SI) 🦁Momentum is strong, but valuations are stretched. I’d watch for a pullback—especially if yields compress further. Use MA5 or MA12 as short-term trend guides. If price holds above MA5 with volume, chasing may still be viable. Otherwise, wait for RSI to cool off before reloading.  @koolgal @JC888 @Barcode @Shyon 

CapLand 52-W Highs: Are SREIT ETFs Smart Play?

@Tiger_SG
Singapore’s REIT market has been shining in 2025. $CapLand IntCom T(C38U.SI)$ recently hit a fresh 52-week high, with YTD gains of 23%. Not only that, several other S-REITs have also set new highs this year.Click to learn more: S-REITs 52-Week Highs! Dividend Kings or Value Traps?Looking at the indices, over the past year the iEdge S-REIT Index rose 10.5%, while the global benchmark FTSE EPRA Nareit Index returned 12.5%, highlighting the overall resilience and appeal of the REIT sector.For investors, the challenge with picking individual REITs is:Different property types (retail, office, logistics, data centers) show wide performance divergence;Rental cycles and interest rat
CapLand 52-W Highs: Are SREIT ETFs Smart Play?
I prefer ETF (less hassle [Happy])My pick: Lion-Phillip S-REIT ETF (CLR.SI) 🦁Momentum is strong, but valuations are stretched. I’d watch for a pull...
TOPkoolgal: Brilliant idea. $LION-PHILLIP S-REIT(CLR.SI)$ is an excellent pick. 🥰🥰🥰
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63.11K
General
Elliottwave_Forecast
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2025-08-27

OIL (CL_F) Elliott Wave : Calling the Decline From the Equal Legs Area

Hello traders. In this technical article we’re going to look at the Elliott Wave charts of  Oil commodity (CL_F) published in members area of the website. OIL  has recently given us a 3 waves recovery  that found sellers precisely at the equal legs area  as we expected. In this discussion, we’ll break down the Elliott Wave pattern and forecast. OIL Elliott Wave 1  Hour  Chart 08.25.2025 OIL is giving us correction against the 70.58 peak. We expect to see another leg up toward  64.68-66.01 area to complete a 3 waves  (a)(b)(c) pattern. Our members know that we identify potential reversal zones using the Equal Legs technique.  As long as the price stays within this region, we expect sellers to take control and push it down toward new low
OIL (CL_F) Elliott Wave : Calling the Decline From the Equal Legs Area
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2.78K
General
Hao1
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2025-08-27
$Nokia Oyj(NOK)$   Nokia (NYSE: NOK) has recently gained investor attention following a manager’s insider purchase disclosure (Uitto’s transaction under EU Market Abuse Regulation). Insider buying is generally interpreted as a strong vote of confidence from leadership, signaling that management views the stock as undervalued and poised for growth. 🔹 Financial Strength and Outlook Revenue Growth: Nokia reported €5.3B in Q2 2025 revenue, demonstrating resilience in its Networks and Cloud segments. While the telecom equipment sector remains competitive, Nokia’s cost optimization initiatives have preserved healthy margins. Profitability: Operating margin improved to 8.9%, reflecting disciplined execution despite macr
$Nokia Oyj(NOK)$ Nokia (NYSE: NOK) has recently gained investor attention following a manager’s insider purchase disclosure (Uitto’s transaction un...
TOPMortimer Arthur: They should change their name to Nok-AI for a 0.25 boost in share price.
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2.46K
General
xc__
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2025-08-27

A-Shares Soar to 10-Year High: Cash Out or Double Down on China ETFs?

The Shanghai Composite Index has roared to a 10-year high of 3,825.76, up 22.7% from its April 7 low of 3,040.69, signaling a potential bull market revival as of August 27, 2025. Yet, the chatter isn’t all bullish—chat groups and forums buzz with debates on whether to cash out, fearing a peak after this surge. The WeChat Index for “bull market” sentiment sits at 65, a modest rise from 50 in April, still lagging last year’s September 24 peak of 85, suggesting cautious optimism rather than euphoria. With the S&P 500 at 6,512.34, Nasdaq at 21,918.45, and Bitcoin at $123,456, global markets shine, though tariffs (30% on EU/Mexico, 35% on Canada) and oil at $74.50/barrel introduce volatility. The VIX at 14.12 reflects calm, but China’s rally, fueled by AI tech and policy support, raises the
A-Shares Soar to 10-Year High: Cash Out or Double Down on China ETFs?
TOPvippy: China's market buzz makes it a tempting play.
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1.68K
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Shyon
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2025-08-27
I see Alibaba’s $Alibaba(BABA)$ earnings as a balance between growth and margin pressure. Cloud looks strong with revenue expected up 20% YoY, and the rollout of Qwen3 plus AI tools should keep Alibaba competitive. That’s a long-term driver I’m positive on. The RMB 50B subsidies are clearly driving huge order volume, but they’re also squeezing profits. I understand the need to defend market share, but investors may stay cautious until costs normalize. For me, the bigger focus is whether Taotian and international commerce can sustain steady growth. Overall, this feels like a mixed quarter. Strong cloud numbers could offset weak margins, but if profitability disappoints, sentiment could turn quickly. I’ll be watching guidance on subsidies before
I see Alibaba’s $Alibaba(BABA)$ earnings as a balance between growth and margin pressure. Cloud looks strong with revenue expected up 20% YoY, and ...
TOPBonnieHoyle: Your insight is spot on
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2.35K
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Spiders
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2025-08-28

Do You Have Your Own Take-Profit Strategy or System?

I’ve often heard traders say that knowing when to sell is more important than knowing when to buy. The buying part feels exciting—you wait patiently, do your research, and finally pull the trigger. But the selling part? That’s where the real test begins. It requires decisiveness, sometimes even courage. For me, my take-profit approach started off as mostly gut feeling. If I sensed it was time to take money off the table, I sold. Simple as that. The problem was, I often sold too early. I hated watching unrealized profits shrink, and the idea of seeing them turn into losses was even worse. In a way, I was protecting myself but at the cost of cutting short potential gains. Over time, I came to respect just how volatile the market can be. A nice green position today can be gone in a flash tomo
Do You Have Your Own Take-Profit Strategy or System?
TOPCornellRudolph: Your take-profit strategy sounds balanced and thoughtful.
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1.37K
General
Barcode
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2025-08-28

📊🚀♟️ Nvidia Earnings Are the Market’s Checkmate Moment 📊🚀♟️

$NVIDIA(NVDA)$ $Apple(AAPL)$ $Microsoft(MSFT)$ 🎯 I'm Calling Nvidia’s Ascent What It Truly Is: A Market Anomaly I’m watching Nvidia’s return since its December 2022 low obliterate Intel, Oracle, Microsoft, and Cisco’s comparable trajectories post-1995. As shown in the first chart, Nvidia’s parabolic move materialized early, powered by realized earnings. By contrast, the Tech Boom giants only achieved similar trajectories much later once fundamentals caught up. This is more than a bubble narrative; it’s the compression of a decade’s growth into two years. ♟️ I Am Allocating Capital Like a Chess Player I’m buying SPX all-time highs into Nvidia’s earnings release, P
📊🚀♟️ Nvidia Earnings Are the Market’s Checkmate Moment 📊🚀♟️
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2.19K
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Barcode
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2025-08-28
$NVIDIA(NVDA)$ 🚨🔔‼️ NVIDIA Q2 2025 EARNINGS: - $46.7B revenues, +56% YoY - $26.4B net income, +59% YoY - 72% gross margins, +20% QoQ - $60B buybacks - $54B revenue guide Q3 The most exciting thing about this quarter is that Nvidia did NOT include  🇨🇳 China sales in guidance.  Outstanding! Stock falls over -5% after reporting record quarterly revenue of $46.7 billion. Nvidia beat both revenue and EPS expectations, but the stock is down sharply 🤷‍♀️ 📢 Don’t miss out! Like, Repost and Follow me for exclusive setups, cutting-edge trends, and insights that move markets 🚀📈 I’m obsessed with hunting down the next big movers and sharing strategies that crush it. Let’s outsmart the market and stack those gains together! 🍀 Trade like a boss! Happy
$NVIDIA(NVDA)$ 🚨🔔‼️ NVIDIA Q2 2025 EARNINGS: - $46.7B revenues, +56% YoY - $26.4B net income, +59% YoY - 72% gross margins, +20% QoQ - $60B buybacks...
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Shernice軒嬣 2000
·
2025-08-28

🚨 Nvidia Earnings Update 🚨

📉 Funny enough, some “experts” told people to buy right before earnings as a contrarian signal. Data center revenue: $41.1B (slightly below $41.25B expected) No H20 sales to China in Q2, but $180M sold elsewhere Total revenue: $46.74B, beating estimates of $46.23B (+56% YoY, but only +1.1% vs. forecast, growth momentum slowing) EPS: $1.05, above $1.01 expected (+54% YoY, +4% beat but smaller margin) Adjusted gross margin: 72.7% vs. 72.3% expected Q3 revenue guidance: $54B ±2% (ex-H20), above Wall St. avg of $52.5B but below some bullish forecasts Q3 gross margin guidance: 73.5% ±0.5% Board approved a $60B share buyback @TigerPM  @TigerObserver  
🚨 Nvidia Earnings Update 🚨
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665
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Sporeshare
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2025-08-28
$ComfortDelGro(C52.SI)$   Today, 3.91 cents dividend will be credited to the account,  very nice! ComfortDelGro - Wasted, all the gains returning back after the running up from 1.43 to 1.64. Now shw is back to the original price level. It might be an opportunity is back! At 1.43, yield is about 5.88 percent which is very gd level level as compared to cpf oa 2.5% and special 4%. Not a call to buy or sell! Pls dyodd. https://sporeshare.blogspot.com/2025/08/comfortdelgro-wasted-all-gains.html 19th August 2025: ComfortDelGro - Gd results but price still being pressed down. Great opportunity is back. Nibbled small units at 1.50. Yearly dividend is about 8.41 cents. Yield is about 5.6%. Pls dyodd. 13th August 2025: I think the results is gd!
$ComfortDelGro(C52.SI)$ Today, 3.91 cents dividend will be credited to the account, very nice! ComfortDelGro - Wasted, all the gains returning back...
TOPJackQuant: Thanks for sharing!
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Mrzorro
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2025-08-28
Nvidia Shares Slip After-Hours as Q3 Outlook Excludes China H20 Shipments $NVIDIA(NVDA)$   shares dipped in extended trading after the company gave a fiscal third quarter revenue outlook that excluded shipments of H20 chips to China. The dominant player in chips that power artificial intelligence said it expects revenue of $54 billion, plus or minus 2%, a forecast that does not assume any H20 shipments, it said in a press release after the market closed Wednesday. Adjusted gross margins are seen 73.5%, plus or minus 50 basis points, compared with the average estimate of 73.4%. The company's H20 shipments have been in a limbo after the Trump administration tightened the screws on semiconductor sales to China
Nvidia Shares Slip After-Hours as Q3 Outlook Excludes China H20 Shipments $NVIDIA(NVDA)$ shares dipped in extended trading after the company gave a...
TOPJesseRW: This outlook is concerning, especially with H20 shipments in limbo.
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8.55K
Selection
Barcode
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2025-08-28

🔥💊📈 $HIMS: The Third Cloud Dip That Could Ignite a Billion-Dollar Health Squeeze 📈💊🔥

$Hims & Hers Health Inc.(HIMS)$ $Oscar Health, Inc.(OSCR)$  Technical Inflection: Third Cloud Dip and Symmetrical Compression I believe $HIMS is at one of those rare market junctions where technical history, fundamental strength, and strategic timing collide. The third dip under the weekly TrendCloud has always been a harbinger of explosive upside moves; this time, the target sits at $109, with potential extensions into $137 if the symmetrical triangle pattern plays out. I’m fully convinced this isn’t just a chart story. It’s the early stage of a billion-dollar vertical shift in health-tech. Compression Dynamics Across Timeframes On the weekly chart, the third dip under the Cloud is visible and i
🔥💊📈 $HIMS: The Third Cloud Dip That Could Ignite a Billion-Dollar Health Squeeze 📈💊🔥
TOPValerie Archibald: People are buying palantir at crazy valuation. HIMS is far better value and price to sales is very attractive here. This needs to be trading over 50 by next week easy.
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The Investing Iguana
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2025-08-28

Singapore Daily Market Update (28 Aug 2025) | 🦖 #TheInvestingIguana EP1052

🟩 🦖 **Your Daily SGX Update Is Here!** Dive into the latest market moves with Iggy as we’re shedding light on key REIT developments shaping Singapore’s financial landscape. Whether you're tracking Capitaland’s groundbreaking China REIT launch or Ascot Trust’s big play in Japanese real estate, this episode is packed with insights to keep your investment strategies sharp. 📊 From the Straits Times Index dip to global trade uncertainties, find out how these trends impact your portfolio. We also explore Singapore Pain Care’s takeover hiccup and what it means for small-cap governance. If you’re wondering how these shifts fit into the bigger economic picture, you're in the right place. 💡 **Why Watch?** Whether you're looking to make smarter investment decisions or stay ahead of regional economic
Singapore Daily Market Update (28 Aug 2025) | 🦖 #TheInvestingIguana EP1052
TOPsnuggix: Incredible insights, Iggy! Love the updates! 🦖❤️
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1.73K
General
Fistein
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2025-08-28
$CNMC Goldmine(5TP.SI)$ $ 2  Target Price by Q4-2025 due to U.S currency depreciation and upcoming Fed interest rate-cut.    According to the recent Q1 financial report, CNMC Goldmine posted a revenue of USD 52.8 million for the first half of 2025. The company's net income reached USD 19.42 million, with earnings per share (EPS) of USD 0.0389. Notably, the net income attributable to shareholders stood at USD 15.76 million, indicating a robust financial position and profitability for the gold miner.   CNMC Goldmine's positive financial results come at a time when the global gold market has been experiencing fluctuations due to various economic factors. The company's ability to maintain strong revenue and profitability in
$CNMC Goldmine(5TP.SI)$ $ 2 Target Price by Q4-2025 due to U.S currency depreciation and upcoming Fed interest rate-cut. According to the recent Q1...
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JC888
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2025-08-28

LCID - Stock Split Is a Red Flag Warning ?

Previously. On 12 Aug 2025, I shared a post on $Lucid Group Inc(LCID)$ where its Q2 2025 earnings were shared and more importantly, its prospect going into H2 2025 and Q3 2025. Click here ! for the details in the original post. Everything seems to be going swell for this ‘forgotten’ luxury EV maker. Even its ad for the soon-to-be launched the Gravity mid-range SUV has been hitting online as planned. Everything except an item that I have inserted last minute into my post. (see below) It was reported on 10 Aug 2025, that a “1-for-10” reverse-stock split has been filed by LCID. Shareholders would be voting on 18 Aug 2025 to either abandon the motion or proceed with the reverse s
LCID - Stock Split Is a Red Flag Warning ?
TOPAgxm: Haha I thought is stock split. But actually is reverse stock split. Company do that to increase the share price. Pretty obvious why they do that as they don’t want the share price to drop below $1.
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1.47K
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Barcode
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2025-08-28

🚗⚡📊 Li Auto 28Aug25 Earnings Spotlight 📊⚡🚗

$Li Auto(LI)$ $NIO Inc.(NIO)$ $Tesla Motors(TSLA)$  📉 Technical landscape I’m tracking Li Auto’s daily Elliott Wave where a corrective A B C completed into October 2023. Key supports are the 61.8 percent retracement near 31.35 and the deeper 27.01 level. Initial resistance sits around 42 to 44. On the weekly chart price is testing its long-term ascending channel near 23 to 24. Holding that channel preserves an upside path toward 48. A breakdown would increase risk toward 21 which aligns with the revised ADR target. 💰 Earnings expectations Wall Street looks for Q2 EPS of 0.24 on revenue of 4.45B. Options imply a 7.6 percent move. Li Auto reports before the open
🚗⚡📊 Li Auto 28Aug25 Earnings Spotlight 📊⚡🚗
TOPTui Jude: 📊The way you framed the 7.6 percent implied move alongside names like Elastic at 15.8 percent gave real perspective. I’m watching Best Buy’s setup in the same earnings window and it’s interesting how these consumer names can swing sentiment back toward the EV sector.
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Mickey082024
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2025-08-28

“Go Long or Play Defense? Nvidia Hits $180 Ahead of Earnings

$NVIDIA(NVDA)$ Nvidia (NASDAQ: NVDA) has become the defining stock of the artificial intelligence (AI) era, leading the market higher while rewriting the boundaries of valuation and institutional positioning. With earnings just around the corner, Wall Street is grappling with a critical question: does Nvidia have enough momentum left to break decisively above $180, or is the current level a short-term ceiling before profit-taking sets in? The answer is not straightforward. Institutional activity, options market signals, and fundamental expectations all tell different parts of the story. To make sense of Nvidia’s trajectory, investors must weigh the bullish case of structural AI demand against the bearish reality of lofty expectations. Institutions
“Go Long or Play Defense? Nvidia Hits $180 Ahead of Earnings
TOPJackQuant: Thanks for sharing your strategy! Investors can use options to hedge short volatilities, and I’m bullish on Nvidia’s long-term trend.
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Mickey082024
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2025-08-28

Home Depot Stock: Valuation Stretched, But Pro Growth Makes It a Housing Winner

$Home Depot(HD)$ A Macro-Linked Retail Giant in a Transition Phase Home Depot (NYSE: HD), the largest home improvement retailer in the United States, has always been viewed as a bellwether for the broader housing market. Its fortunes rise and fall with the tides of residential construction, renovation activity, and consumer discretionary spending. In the wake of the Federal Reserve’s prolonged tightening cycle, the U.S. housing market has faced affordability challenges, with mortgage rates holding near multi-decade highs and home sales volumes suppressed. Yet Home Depot’s latest earnings results reinforce a critical theme: the company is not just weathering the storm, it is actively laying the groundwork to thrive once the housing market inevitably
Home Depot Stock: Valuation Stretched, But Pro Growth Makes It a Housing Winner
TOPValerie Archibald: Like I said. Interest rate cut will take us to $450. Soon enough!
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