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nerdbull1669
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2025-09-05

Play Option Instead Of Broadcom Chase High Or Buy Nvidia Dip

With another major player in the semiconductor sector, $Broadcom(AVGO)$ giving its earnings after market close on 04 Sep 2025, we saw that the shares gained over 4% in after-hours trading. as Broadcom delivered a strong fiscal Q3 2025, with results driven by AI networking strength and continued VMware integration. Revenue and EPS both topped expectations, reinforcing the company’s role as an essential player in the AI infrastructure buildout. Management also raised full-year guidance, citing robust AI chip demand and accelerating adoption of VMware’s software stack. Shares gained over 4% in after-hours trading. I am holding Broadcom for long term so I would like to explore how we can trade opportunities with option for Broadcom. Buying s
Play Option Instead Of Broadcom Chase High Or Buy Nvidia Dip
TOPEnid Bertha: Next week back up to $350.00 +
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OptionsBB
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2025-09-05

Antitrust Ruling Lands—Is It Still Safe to Chase GOOGL Higher?

Google Recent Developments:The final remedies in Google’s search antitrust case turned out far better than the market expected.Google is not required to spin off Chrome or the Android operating system.Google can still pay for default placement, with the only change being contract terms now limited to one year.The only real negative: Google must share part of its search index and user interaction data with “qualified competitors.”How to Evaluate the Outcome:The data-sharing requirement does not include Google’s core ad data, so the impact is manageable.AI is continuously strengthening Google’s competitive position; the company has a clear “full-stack” advantage in AI.Key business metrics, such as paid clicks, accelerated in Q2.The Google Gemini LLM is catching up to GPT-4.$GOOGL$ is one of
Antitrust Ruling Lands—Is It Still Safe to Chase GOOGL Higher?
TOPEnid Bertha: Bought Google some months ago at $150s. Thought I would stop by and see some intelligent discussions on stocks like GOOG. Instead, landed in the middle of a ridiculous display of childish gobbledegook. Kinda sad, and useless.
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Shyon
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2025-09-04
Waller’s remarks basically confirm the pivot is here — the Fed is set to start cutting this month, and the weak jobs data makes it hard to argue otherwise. With rates still above neutral, a steady path of cuts looks likely, and I think the market is right to price in multiple moves by year-end. Morgan Stanley’s view that Fed funds could drop as low as 2.25% by 2025–26 is even more bullish than consensus, and that kind of dovish shift would be rocket fuel for growth stocks and tech. Lower discount rates plus AI momentum could drive another leg higher in the Nasdaq if this scenario plays out. I still like the bond trade as a hedge, but my bigger takeaway is equities stand to benefit most from faster easing. For me, this is a market to stay invested in leaders, especially in tech, rather tha
Waller’s remarks basically confirm the pivot is here — the Fed is set to start cutting this month, and the weak jobs data makes it hard to argue ot...
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19.27K
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MaverickWealthBuilder
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2025-09-05

Big-Tech Weekly | ​​AWS Pushes AMZN To All Times High? Google's Big Winner!

Big-Tech’s PerformanceMacro Headlines This Week: September seasonality and event-driven risks. Investors remain cautious on September’s historically weak performance — the month that has often been the worst for equities. Key events included preliminary announcements on the Russell index reconstitution, heightened sensitivity to upcoming labor market data and the Fed’s policy decision. Equity trading volumes were thin around the holiday, but tech and growth stocks led the market higher.Labor market weakness boosts rate cut expectations. ADP private payrolls added only 54k jobs (below consensus 69k). Initial jobless claims spiked to 237k (vs. 229k expected), showing persistent upward momentum and pressure in the labor market. Meanwhile, the ISM Services PMI climbed to 52, signaling expansio
Big-Tech Weekly | ​​AWS Pushes AMZN To All Times High? Google's Big Winner!
TOPMerle Ted: $235 is no longer resistance for Amazon. A pause at $237 on a back and forth and consolidation - $242 next week then to $247.
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TigerEvents
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2025-09-05

[Event] Does Your Username Tell Your Investing Story?

Does your username tell a story about your investing journey? [Happy]For some Tigers, you can almost guess their portfolio just by looking at their names:BagHolder — still holding those meme stocksValueHunter— always looking for the next Warren Buffett pickThis time, we want to hear the story behind your username! Is it a reflection of your portfolio? A badge of your biggest win (or loss)? Or maybe just a funny nickname you picked for fun?🧧 How to ParticipateComment below with your username and share the story behind it.If it’s tied to a stock or a trading experience, we’d love to hear the details!🎁 RewardsParticipation Prize → Earn 10 Tiger Coins for leaving a commentCreativity Award → Funniest or most creative username wins Tiger MerchPopularity King → Comment with the most likes gets a
[Event] Does Your Username Tell Your Investing Story?
TOPkoolgal: 🌟🌟🌟Why I go by Koolgal - When the markets go full drama queen like DBS dips, Crypto flips and Wall Street throws a tantrum, I don't. Koolgal isn't just a user name, it is a mindset. Calm in chaos. Collected in volatility. I choose "Koolgal" to remind myself that investing isn't about panic, it is about poise and being calm. Koolgal does not chase hype. Koolgal builds confidence, holds steady. So yes Koolgal because cool heads compound better. @TigerEvents @Tiger_SG @TigerStars @TigerClub @CaptainTiger @Tiger_comments
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Optionspuppy
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2025-09-05

Deep dive on Nvidia bullishness

🚀 Chase High of Broadcom or Buy the Dip on Nvidia? Broadcom’s latest earnings were nothing short of spectacular 💥. The company crushed Wall Street expectations, sending shares to fresh all-time highs. Yet seasoned investors know the history here: in the past five earnings reports, whenever Broadcom spiked on earnings day, the stock often cooled off for at least two months. When it dropped on earnings day, however, the opposite happened—shares rallied strongly in the months ahead.$NVIDIA(NVDA)$   With shares up 6% after hours, the key question now is whether Broadcom can sustain this momentum, or if institutions will quietly use this rally to offload positions. Meanwhile, all eyes are on Nvidia, the market’s mos
Deep dive on Nvidia bullishness
TOPVenus Reade: Goldman Sachs says three catalysts exist for Nvidia stock. Nice analysis
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Mickey082024
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2025-09-04

American Bitcoin Jumps 70% on Trump Ties — How Long Can the Hype Last?

$American Bitcoin(ABTC)$ American Bitcoin (NASDAQ: ABTC) has made one of the most eye-catching debuts in the crypto equity space this year. The Bitcoin mining company, newly formed through a merger, has skyrocketed nearly 70% in just weeks. While crypto rallies are nothing new, ABTC’s rise stands out for one unusual reason: the company is openly backed by two of former U.S. President Donald Trump’s sons, making it the first publicly traded Bitcoin miner tied so directly to a political dynasty. This combination of cryptocurrency speculation, political branding, and retail enthusiasm has propelled ABTC into headlines far beyond the financial press. But as every investor knows, hype can only take a stock so far. The big questions now are: Can America
American Bitcoin Jumps 70% on Trump Ties — How Long Can the Hype Last?
TOPZhongRenChun: USA is gaining a dangerous monopoly on bitcoin. Asia better wake up and get in the game. we are falling behind in the bitcoin race.
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Shyon
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2025-09-04
I’ll be watching $Figma(FIG)$ very closely today after its post-earnings drop. These kinds of sell-offs often bring strong volatility, which to me means a chance for intraday opportunities if timed well. I’m expecting some choppy moves in the morning, so I’ll be patient and let the price action show its hand before making a move. My focus will be on volume and whether buyers step back in after the initial wave of selling. If I see stabilization or a reversal forming, I’ll be ready to step in and take a position. The key here is not to chase, but to wait for a clean setup that offers a favorable risk-to-reward. This trade idea isn’t about holding long term, but rather a tactical play. I’d like to buy the dip and ride a quick bounce, then secure pr
I’ll be watching $Figma(FIG)$ very closely today after its post-earnings drop. These kinds of sell-offs often bring strong volatility, which to me ...
TOPJoannaDarwin: Great strategy! Excited to see your moves! [Cool]
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Option_Lab
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2025-09-04

What Happens When an Option Gets Exercised? | #OptionsHandbook EP042

When an option is close to expiration and it’s in the money (ITM, meaning it has intrinsic value), exercise may occur. So, what exactly happens if an option is exercised? 👉 Let’s see how The Options Handbook explains exercise from both the buyer’s and the seller’s perspective — ▶ Buyer’s Perspective For Call (or Put) buyers, exercising is all about buying (or selling) the underlying stock at the strike price, which does require some real capital or stock. If you plan to exercise, pay attention to these three points to avoid unwanted outcomes: 1. Cash or margin required 💰 Exercising a call requires real funds, 100 shares × the strike price. If you don't have sufficient funds in your account, your b
What Happens When an Option Gets Exercised? | #OptionsHandbook EP042
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Princesgp
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2025-09-04
I’ve been following CoreWeave closely, and it’s definitely been an interesting journey. The stock has seen sharp ups and downs since its listing, but it looks like it may be finding its footing around its recent lows. What stands out is CoreWeave’s strong positioning in the AI infrastructure space. The company is scaling up quickly, building massive capacity for GPU-powered workloads at a time when demand for AI compute is outpacing supply. That gives it a unique advantage. The other big factor is its relationship with Nvidia. Nvidia not only has an equity stake in CoreWeave, but also provides preferential access to its most advanced GPUs. This kind of partnership adds credibility and gives CoreWeave a competitive edge compared to many smaller cloud providers. Of course, there are risks—ra
I’ve been following CoreWeave closely, and it’s definitely been an interesting journey. The stock has seen sharp ups and downs since its listing, b...
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The Investing Iguana
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2025-09-04

Singapore Daily Market Update (04 Sep 2025) | 🦖 #TheInvestingIguana EP1067

🟩 📊 **SGX Market Update: Keppel DC REIT's Bold Move Today!** Join Iggy, your go-to source for clear, actionable financial analysis, as we dive into today's SGX highlights packed with insights for savvy Singaporean investors. Wondering how Keppel DC REIT's latest acquisition shakes up the digital infrastructure landscape? Or how Oiltek and MM2 Asia are navigating their respective challenges? We've got you covered! 🧐 **Shedding Light on Market Movers** - Keppel DC REIT's acquisition of two AI-ready data centers is a bold step in solidifying Singapore's position as a global hub for digital infrastructure. Despite a slight dip in share prices, this move signals long-term growth potential in a booming sector. - Oiltek reassures investors about its stability amid political unrest in Indonesia, b
Singapore Daily Market Update (04 Sep 2025) | 🦖 #TheInvestingIguana EP1067
TOPCynthiaVogt: What an insightful update! Love it! [Heart]
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3.24K
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ToNi
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2025-09-04
$Figma(FIG)$ Figma (FIG): A Design Revolution Poised for a Triumphant Rebound On September 3, 2025, Figma Inc. (NYSE: FIG) has taken a 15% hit, dipping below $60 following the announcement of an extended lock-up expiration for 35% of investors’ shares. Yet, beneath this market turbulence lies a golden opportunity for savvy investors. Figma’s recent Q2 2025 earnings, which surpassed revenue expectations with $249.6 million (against $248.8 million forecasted) and achieved breakeven earnings per share—up from a $827.9 million loss in Q2 2024—paint a picture of a company on the brink of greatness. With a net income of $846,000 and bullish guidance for Q3 and the full year, Figma is not just surviving; it’s thriving. Here’s why this dip is a buy signal
$Figma(FIG)$ Figma (FIG): A Design Revolution Poised for a Triumphant Rebound On September 3, 2025, Figma Inc. (NYSE: FIG) has taken a 15% hit, dip...
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Mrzorro
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2025-09-04
Options Market Statistics: Weak Jobs Data Boosts Rate Cut Expectations, Tech Giants Drive Nasdaq Rebound $Alphabet(GOOGL)$   saw robust options activity with 1.72M contracts traded and a low put-call ratio of 0.49, indicating strong bullish sentiment at elevated IV Rank of 19.79%; shares soared 9.14% to close at $230.66—an all-time high—outpacing the broader market (S&P 500 +0.51%, Nasdaq +1.02%), following a federal judge's ruling on limited remedies in the U.S. government's antitrust case against Google, avoiding a breakup and allowing continued default search deals. There was a noteworthy activity in $Alphabet(GOOGL)$ &n
Options Market Statistics: Weak Jobs Data Boosts Rate Cut Expectations, Tech Giants Drive Nasdaq Rebound $Alphabet(GOOGL)$ saw robust options activ...
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1.59K
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Mickey082024
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2025-09-04

From Panic to Pivot: Is the Fed About to Ignite a New Bull Run?

$S&P 500(.SPX)$ After weeks of unease and sharp market swings, U.S. equities have started to show signs of stabilizing. Tech stocks, in particular, have once again pulled the major indices higher, with the Nasdaq and S&P 500 leading the rebound. Beneath the surface, however, a more consequential shift may be underway — a pivot in monetary policy that could redefine the trajectory of markets for the remainder of 2025. Federal Reserve Governor Christopher Waller’s recent comments confirmed what many investors had speculated but few had expected so soon: the Fed is ready to cut rates. Not only that, but Waller suggested the process should begin in September, with multiple cuts possible over the following three to six months. That signal alone
From Panic to Pivot: Is the Fed About to Ignite a New Bull Run?
TOPAthena Spenser: Volatility is high, covered calls seem attractive, but need to be careful with capping upside.
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Binni Ong
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2025-09-04

Apple Readies “Awe Dropping” Event on Sept 9—Channel Breakout in Focus

$Apple(AAPL)$ is holding its much-anticipated “Awe Dropping” event on September 9, 2025, where it is expected to unveil the iPhone 17 series, Apple Watch updates, AirPods Pro 3, and expanded Apple Intelligence features. Chart-Based Technical Breakdown: Channel Breakout: Apple has broken out above a downward-sloping channel, signaling strong bullish momentum. Resistance Ahead: The next key resistance resides around US$250, which will be critical for the next leg higher. Momentum Strength: The RSI is holding in bullish territory, confirming upward strength while highlighting potential near-term consolidation. Bullish Scenario (Event-Driven Upside): If momentum from the event sustains the breakout and pushes price toward $250, long DLCs (
Apple Readies “Awe Dropping” Event on Sept 9—Channel Breakout in Focus
TOPValerie Archibald: Aapl hit record sales of $9 Billion in India. Billion with a B!
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Shyon
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2025-09-04
As someone who remains long-term bullish on gold and silver, I see the recent breakout above the $3,430 resistance level as a strong signal. With gold reaching a new high of $3,600 and silver surging past $40—its highest since 2011—I'm encouraged by this momentum. The barrier triangle pattern breakout suggests that the upward trend could continue, and I'm optimistic about the potential for $3,800 as the next stop. To me, this is a healthy development in the market, even with the possibility of a pullback. Regarding the question of a pullback, I view it as a normal and natural part of the market cycle. A dip after such a strong breakout wouldn't shake my confidence. Instead, I see it as an opportunity to strengthen my position in gold and silver over the long term. I'm not planning to move
As someone who remains long-term bullish on gold and silver, I see the recent breakout above the $3,430 resistance level as a strong signal. With g...
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Mrzorro
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2025-09-04
Based on a Decade of Data, Which Sector Has Been Most Resilient in September? From historical data on U.S. stock sectors obtained from Bloomberg, it can be seen that in the past ten years, the S&P energy sector has risen six times in September. Particularly, during the market crashes of September 2021 and 2023, the energy sector demonstrated a completely opposite trend compared to other sectors. However, the energy sector also experienced significant declines in September, such as in 2015 and 2022 when the U.S. entered a rate-hiking cycle, which suppressed oil prices in the latter half of the year. In September 2020, oil prices remained low due to the COVID-19 pandemic. The healthcare sector, often considered a defensive stock, did not serve as a safe haven in September, instead showin
Based on a Decade of Data, Which Sector Has Been Most Resilient in September? From historical data on U.S. stock sectors obtained from Bloomberg, i...
TOPNorton Rebecca: Tech/real estate tank in Sept! Skip ‘em, favor energy cautiously!
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Mrzorro
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2025-09-04
Good Jeans, Great Results: AEO Shares Spike 23% After Earnings $American Eagle Outfitters(AEO)$   American Eagle Outfitters (AEO) saw its stock jump 23% following its second-quarter earnings release, driven by stronger-than-expected results and a breakout marketing campaign. Total revenue came in at $1.28 billion, down 1% year-over-year but ahead of analysts’ expectations of $1.24 billion. Comparable sales declined 1%, beating the anticipated 2.4% drop. Adjusted earnings per share were $0.45, more than double the expected $0.21. CEO Jay Schottenstein credited the upbeat start to the fall season to improved product offerings and high-impact marketing collaborations with Sydney Sweeney and Travis Kelce. Sweeney's “Good Jeans” campaign, whic
Good Jeans, Great Results: AEO Shares Spike 23% After Earnings $American Eagle Outfitters(AEO)$ American Eagle Outfitters (AEO) saw its stock jump ...
TOPMerle Ted: Bears couldn't take it down. To their credit they got it turning sideways and there's a buy the dip mentality. Only one dip to buy and then sideways.
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xc__
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2025-09-04

Palantir’s 4-Week Plunge: $150 Buy or Sell Signal?

Palantir ( $Palantir Technologies Inc.(PLTR)$ ) has been the S&P 500’s top performer in 2025, soaring 151% to a $190 peak on August 12, but a four-week slide has erased gains, dropping 18% to $155 as of September 4, 2025. The decline, fueled by short-seller pressure from Citron Research and profit-taking after a $1 billion revenue quarter, has sparked debate: is $150 a bottom to fish or a sell-off trap? With new partnerships like Lumen and an expanded Lear Corp. pact, plus calls to “sell GOOG and buy PLTR,” the stock’s AI-driven growth faces scrutiny. As the S&P 500 sits at 6,520, Nasdaq at 21,918.45, and Bitcoin at $123,456, the VIX at 14.12 hints at calm amid tariffs (30-35% on Canada/EU/Mexico) and $74.50 oil. Is it time to buy the dip
Palantir’s 4-Week Plunge: $150 Buy or Sell Signal?
TOPValerie Archibald: The CEO of T1 Energy tweeted that it is partnering up with Palantir. T1 is starting to move and it is a perfect time to buy while it is still cheap and the warrants are dirt cheap.
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Shyon
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2025-09-04
For me, my “stock teacher” isn’t just one person, but a mix of voices and experiences. I’ve learned a lot from users in the Tiger Community — their analysis and perspectives often spark new ways of thinking, and I truly value that. It feels like a place where we grow together, regardless of experience level. I also see my own trading journey as a teacher. The best lessons come from actual experience — making trades, learning from mistakes, and reflecting on both wins and losses. Each outcome has shaped how I manage risk and spot opportunities. Over time, these lessons have built the foundation of my confidence in the market. Lastly, I’m grateful for my group of trading colleagues. We exchange ideas, challenge views, and share insights regularly. Their support keeps me grounded during vola
For me, my “stock teacher” isn’t just one person, but a mix of voices and experiences. I’ve learned a lot from users in the Tiger Community — their...
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