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General
BTS
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2025-11-05
The forecast of Singapore home prices doubling in 15 years is eye-catching but feels bold given the broader economic landscape。。。 Rising property prices could boost S-REITs' rental income and asset values, but higher prices may raise acquisition costs, and rising interest rates could squeeze margins Homeownership may become less affordable, increasing reliance on rentals and widening the wealth gap between owners and non-owners Investing in REITs provides exposure to the property market with lower capital requirements, but be mindful of interest rate hikes and macroeconomic shifts that could cause volatility The property market has been a reliable investment due to strong demand and limited land supply, but while a 100% price increase in 15 years is bold, cooling measures could help modera

DBS Forecast SG Home Prices May Double! Time to Buy Property or REITs?

@Tiger_SG
A recent research report from DBS Bank has stirred heated debate: In 15 years, the average psf price of private homes could exceed S$4,000 — roughly double today’s level!For context, according to URA data, the median psf for non-landed private homes in the first three quarters of this year was just S$2,139.That means — a 1,000 sq ft condo that costs S$2.14 million today could reach S$3.5–4.05 million in 15 years!😱Many people’s first reaction is:“If I don’t buy now, I’ll never be able to afford it later!”Others are skeptical:“Is this forecast realistic? Can prices really rise that long?”🔍 Why is DBS confident about a “price doubling” scenario?The report is built on three main pillars:1️⃣ Stable population growth and steady inflow of foreign talent Singapore’s population has surpassed 6.11 m
DBS Forecast SG Home Prices May Double! Time to Buy Property or REITs?
The forecast of Singapore home prices doubling in 15 years is eye-catching but feels bold given the broader economic landscape。。。 Rising property p...
TOPOgdenHerbert: Your insights are spot on. Balancing risks and returns is crucial, especially in volatile times.
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xc__
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2025-11-05

Shutdown Chaos: Could This Record-Breaking Fiasco Torch the AI Boom? 💥🚨

Buckle up, folks—the U.S. government shutdown just shattered the 35-day record, clocking in at 36 days and counting since October 1! 😱 This epic standoff between Republicans and Democrats has frozen federal operations, leaving millions in limbo and markets jittery. With no funding deal in sight, essential services are grinding to a halt, and economic data like jobs reports and inflation numbers are MIA. That's right, no fresh CPI or payroll insights, forcing traders to fly blind on old intel: a cooling labor market and tame inflation. 🛑📉 But here's the twist—could this mess actually supercharge a market rebound once it ends? Let's dive deep into the drama, from Michael Burry's bold shorts to the potential liquidity lifeline. 🔥 First off, the shutdown's ripple effects are massive. Around 40
Shutdown Chaos: Could This Record-Breaking Fiasco Torch the AI Boom? 💥🚨
TOPEnid Bertha: The Fed Chief going to print at least $10 trillion in the coming yrs .. don't even think about shorting.
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Shyon
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2025-11-05
DBS’s forecast of private home prices hitting S$4,000 psf in 15 years sounds bold but not unrealistic. With limited land, strong governance, and steady foreign inflows, Singapore property has natural long-term support. Even if growth isn’t smooth, the city’s transformation and infrastructure push should keep values trending upward. Still, I doubt the rise will be linear. Factors like interest rates, global uncertainty, and population shifts could slow the pace. Doubling in 15 years assumes strong income growth and sustained demand — conditions that may not always align. Personally, I prefer balance. Property is a good hedge, but I’d rather diversify through REITs and equities to capture growth with lower capital and debt risk. Prices may keep climbing, but I’m not betting everything on re
DBS’s forecast of private home prices hitting S$4,000 psf in 15 years sounds bold but not unrealistic. With limited land, strong governance, and st...
TOPneo26000: If got oni one property, S$10k oso no use because all property prices will rise. But if got more than one, then useful.
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xc__
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2025-11-05

Singapore's Banking Titans Gear Up for Earnings Showdown: Will DBS Shatter Records? 💥

$UOB(U11.SI)$ $DBS(D05.SI)$ $OCBC Bank(O39.SI)$ As we hit November 5, 2025, the spotlight shines bright on Singapore's powerhouse banks—DBS, UOB, and OCBC—with their Q3 earnings dropping this week. DBS is teasing the edge of glory, trading at S$53.93, just a whisker from its all-time peak of S$54.80 set last month. Meanwhile, UOB sits at S$34.94, down from its February high of S$39.20, and OCBC clocks in at S$16.95, shy of its S$17.93 record. But with US giants like JPMorgan and Goldman Sachs crushing Q3 expectations through booming investment banking fees and solid revenue growth, could these local heroes ride the wave and spark fresh highs? Let's dive dee
Singapore's Banking Titans Gear Up for Earnings Showdown: Will DBS Shatter Records? 💥
TOPJo Betsy: UOB’s ASEAN wholesale play? Could outshine DBS post-earnings!
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Elliottwave_Forecast
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2025-11-05

S&P 500 ETF $SPY Blue Box Area Offers A Buying Opportunity

Hello everyone! In today’s article, we’ll examine the recent performance of S&P 500 ETF ($SPY) through the lens of Elliott Wave Theory. We’ll review how the rally from the October 2025 low unfolded as a 5-wave impulse followed by a 7-swing correction (WXY) and discuss our forecast for the next move. Let’s dive into the structure and expectations for this ETF. 5 Wave Impulse + 7 Swing WXY correction   $NVDA $SPY 1H Elliott Wave Chart 11.03.2025: $SPY In the 1-hour Elliott Wave count from Nov 03, 2025, we saw that $SPY completed a 5-wave impulsive cycle at blue (iii). As expected, this initial wave prompted a pullback. We anticipated this pullback to unfold in 7 swings, likely finding buyers in the blue box equal legs area between $676.59 and
S&P 500 ETF $SPY Blue Box Area Offers A Buying Opportunity
TOPYNWIM: Great insight! The blue box area really does look like a solid opportunity to capitalize on.
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MHh
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2025-11-05
I think this pullback is just a short pause. Investors are just taking profit considering that the bull has been for some time now but overall valuations are fairly close to the average. I think retail investors have been trained to buy the dip which explains the rapid reversal for the last 3 months and I expect this pattern to repeat itself again. Burry has been shorting for a while already, even through this bull. He is a doomsday man so I generally ignore him except to look for opportunities to buy when he rocks the market. I think US stocks will keep rising into mid 2026. Thus far, warnings of most companies have been good despite the fears of a recession. Inflation also looks like it is under control. Trump will likely continue to press the Fed to cut rates and this will help with
I think this pullback is just a short pause. Investors are just taking profit considering that the bull has been for some time now but overall valu...
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Mrzorro
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2025-11-05
AMD Earnings Review: AI Worries Spoil Strong Q3 Beat Global semiconductor giant $Advanced Micro Devices(AMD)$   reported its third-quarter earnings after the bell, with the stock seeing volatile after-hours trading, initially rising before falling. Following the announcement of a bold "equity-for-orders" partnership with OpenAI, AMD's stock had rallied significantly, setting high market expectations. However, management's guidance—vague in the short-term while optimistic for the long-term regarding AI revenue—failed to sway the market. Q3 Key Financial Highlights ~Revenue: $9.25 billion, up 36% year-over-year (YoY) and 20% quarter-over-quarter (QoQ), beating the consensus estimate of $8.74 billion. ~GAAP Gro
AMD Earnings Review: AI Worries Spoil Strong Q3 Beat Global semiconductor giant $Advanced Micro Devices(AMD)$ reported its third-quarter earnings a...
TOPNorton Rebecca: Beat earnings but vague AI guidance—AMD’s rally hits a wall!
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934
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Isleigh
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2025-11-05

🔥 5 Nov — Fear, Flush, and the Setup for a Reversal

The market's got everyone spooked, but let's be honest. Corrections are where the next leg of wealth begins. Today's blood on the screen might just be the reload window before November's rally spark. 💎 What's Moving the Tape: $NVDA: down but never out. Burry's puts rattled retail, but AI demand from Amazon + OpenAI keeps the $300 dream alive. $PLTR: earnings jitters aside, government + AI contracts could catapult sentiment if margins surprise. $TSLA: stealth recovery underway on delivery optimism; may front-run the next risk-on rotation. ⚙️ Under-the-Radar Rebound Setups: $CRCL: tight coil forming, ready to pop on AI-crypto momentum. $RZLV: watch investor conference week (Nov 18–19) for catalyst sparks. $BYND: oversold; $5.50 breakout could trigger fast squeeze. $ORBS: building base quietl
🔥 5 Nov — Fear, Flush, and the Setup for a Reversal
TOPCecilFranklin: Ignition is near
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506
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Mrzorro
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2025-11-05
Qualcomm Earnings Preview: Dashing Into AI, But Can It Outrun the iPhone Clock? Global handset chip giant $Qualcomm(QCOM)$   is set to report its F25Q4 earnings after the bell on Wednesday, November 5. The market is focused on Qualcomm's progress in its AI data center and core handset businesses, as well as its diversification efforts in Auto, IoT, and PC. Option Market Signals With Qualcomm set to report earnings on Wednesday, November 5th, the options market is telling a story of a dramatic, late-stage sentiment capitulation. The most striking signal is the complete collapse of the Put/Call Ratio. Just weeks ago, traders were heavily skewed toward put options (above 1.10). In sync with the stock's sharp b
Qualcomm Earnings Preview: Dashing Into AI, But Can It Outrun the iPhone Clock? Global handset chip giant $Qualcomm(QCOM)$ is set to report its F25...
TOPValerie Archibald: Why is this so cheap and undervalued as compared to AMD? It has a pe of only 17, higher revenues than AMD, but less than half the market cap of AMD.
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2.30K
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xc__
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2025-11-05

Bitcoin Crashes Below $100K: Panic Sell-Off or Epic Buying Spree Ahead? 🚨📉💰

$Coinbase Global, Inc.(COIN)$ $Strategy(MSTR)$ Whoa, crypto warriors, Bitcoin just took a nosedive straight through the $100,000 floor for the first time since June, clocking in at a brutal low of $99,008 today! That's a gut-wrenching 6.7% drop to $99,936, sparking total chaos with over $1.3 billion in liquidations wiping out bullish bets left and right. 😱 Long traders got hammered the hardest, losing nearly 90% of that massive $1.14 billion purge as whales dumped $45 billion worth of holdings. The entire market cap shed $300 billion in a flash, dragging Ethereum down 10% to $3,100 and turning the scene into a full-blown bloodbath.🔥 But hold up—Polymarket bettors are all over this, jacking up the odds to
Bitcoin Crashes Below $100K: Panic Sell-Off or Epic Buying Spree Ahead? 🚨📉💰
TOPVenus Reade: mstr will be $700 by the end of January 2026.
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2.26K
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BillyR
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2025-11-05

Pltr will be the reason I can change my whole family's life! LFG!

Overview of Palantir (PLTR) Stock's Recent DeclinePalantir Technologies (NYSE: PLTR) has experienced significant volatility in 2025, with its stock surging over 150% year-to-date through early November before a sharp drop of approximately 8-9% on November 4, 2025, following its Q3 earnings report. This "free fall" extends a pattern of corrections throughout the year, including an 18% decline in August-September and a 30% pullback in March, amid broader AI sector turbulence. Despite record Q3 results—$1.18 billion in revenue (up 63% YoY, beating estimates of $1.09 billion), EPS of $0.21 (vs. $0.17 expected), and raised full-year guidance to $4.4 billion in revenue (53% growth)—the stock fell due to a confluence of market dynamics rather than fundamental weaknesses.Below is a comprehensive l
Pltr will be the reason I can change my whole family's life! LFG!
TOPMaurice Bertie: PLTR’s dip is just valuation noise! Fundamentals are fire—holding tight for that $500 target!
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Shyon
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2025-11-05
I woke up to the news that Tesla's China numbers had shrunk again, and for the first time in years I felt the old familiar chill run down my trading spine. October is supposed to be the month when the Shanghai factory roars, yet the charts show a double-digit stumble. From my desk in Asia, I can almost hear the delivery trucks idling outside Giga Shanghai, waiting for orders that never came. When the world's growth engine coughs, every portfolio on the planet feels the smoke. Tomorrow, November 6, a few thousand shareholders will raise their hands in Austin and decide whether Elon gets to keep nearly a trillion dollars in options. I won't be in the room, but my proxy vote is already locked. I clicked "FOR" the same way I click seatbelts on a rollercoaster: eyes wide, stomach tight, trustin
I woke up to the news that Tesla's China numbers had shrunk again, and for the first time in years I felt the old familiar chill run down my tradin...
TOP来财1996: nice story, did u use gpt?
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608
General
Barcode
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2025-11-06
🟢 Mixed start for the 🇺🇸 markets this session. $IWM leading the pack with a solid +0.49% while $SPX and $NDX hover slightly red, and $DJI manages a mild green uptick. Small caps showing relative strength early, hinting that risk appetite might be rotating back into the broader market. If $IWM holds above 242 through the morning, that could confirm accumulation from yesterday’s demand zone setup. Momentum looks cautious but constructive; exactly the kind of divergence that often sparks rotation plays later in the week. 🟢🟢🔴🔴
@Barcode
$iShares Russell 2000 ETF(IWM)$ $SPDR S&P 500 ETF Trust(SPY)$ $Vanguard Russell 2000 ETF(VTWO)$ 🔥 SMART MONEY ALERT: DEMAND ZONE RADAR ON $IWM 🔥 🚨 WEEKLY $IWM LOADING ZONE JUST ACTIVATED 🚨 Big buy blocks are lighting up across both the weekly and daily charts, right where price is sitting now. The Russell 2000 is testing a major institutional demand zone ($241 to $233), a level that last sparked one of the strongest rallies of 2025. 💎 This is the same footprint smart money leaves before a trend leg resumes. I’m watching for confirmation candles, rising volume, and a shift in momentum before the next move launches. If buyers hold this green zone, a rotation into
$iShares Russell 2000 ETF(IWM)$ $SPDR S&P 500 ETF Trust(SPY)$ $Vanguard Russell 2000 ETF(VTWO)$ 🔥 SMART MONEY ALERT: DEMAND ZONE RADAR ON $IWM 🔥 🚨 WEEKLY $IWM LOADING ZONE JUST ACTIVATED 🚨 Big buy blocks are lighting up across both the weekly and daily charts, right where price is sitting now. The Russell 2000 is testing a major institutional demand zone ($241 to $233), a level that last sparked one of the strongest rallies of 2025. 💎 This is the same footprint smart money leaves before a trend leg resumes. I’m watching for confirmation candles, rising volume, and a shift in momentum before the next move launches. If buyers hold this green zone, a rotation into
🟢 Mixed start for the 🇺🇸 markets this session. $IWM leading the pack with a solid +0.49% while $SPX and $NDX hover slightly red, and $DJI manages a ...
TOPCool Cat Winston: 🦅📊 Interesting open today. $IWM outperforming while $SPX and $NDX drift tells me capital might be rotating toward smaller caps again. Watching if this strength holds into the close could confirm that yesterday’s demand zone wasn’t just noise.
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Barcode
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2025-11-06
$Tesla Motors(TSLA)$ $NVIDIA(NVDA)$ $Palantir Technologies Inc.(PLTR)$ 🚨📉🚀 Extreme Fear at 21! Are Institutions Setting Tesla Up for a Gamma Snapback? 🚘📈🚀 $TSLA Do you smell fear, or opportunity? 🧸 Bear raid complete. Counter-attack mode: activated ⚡ $50M Calls sold on $TSLA, just 30 min into the open. Filtered for short-dated single-leg transactions, heavy call selling like this often signals institutions harvesting premium, expecting TSLA to stay range-bound or dip below strikes rather than moonshot. The accompanying put buying amplifies caution, possibly hedging longs amid post-election volatility or macro pressures. Yet, flow data can mislead without volume c
$Tesla Motors(TSLA)$ $NVIDIA(NVDA)$ $Palantir Technologies Inc.(PLTR)$ 🚨📉🚀 Extreme Fear at 21! Are Institutions Setting Tesla Up for a Gamma Snapba...
TOPCool Cat Winston: I’m looking at that VIX setup you mentioned and it really aligns with what we’ve seen before when the fear index hits low 20s. Volatility compression like this usually precedes a strong directional move. Watching how $TSLA behaves around 440 will tell us if sentiment turns 💨 😻
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Barcode
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2025-11-06
$Archer-Daniels Midland(ADM)$ $The Kraft Heinz Company(KHC)$ $Newmont Mining(NEM)$ 🔥🔥🔥3️⃣3️⃣🚨🚨🚨 The November Minefield: 10-Year Data Exposes $SPX’s Serial Underperformers 🚨 I’m diving deep into 10 years of S&P 500 seasonality data and the numbers speak loud. Some names just don’t play nice in November; historically, these stocks have lagged even in strong market tapes. Oil & Gas leads the red zone. $EQT and $CTRA have averaged -5.97% and -2.40% returns respectively, with only 30–40% positive Novembers. Even $ADM and $KHC, usually safe harbours in defensive staples, have failed to deliver. Electricity names like $D and $SO show weakness too, reflecting cyclic
$Archer-Daniels Midland(ADM)$ $The Kraft Heinz Company(KHC)$ $Newmont Mining(NEM)$ 🔥🔥🔥3️⃣3️⃣🚨🚨🚨 The November Minefield: 10-Year Data Exposes $SPX’s Ser...
TOPCool Cat Winston: 📉 I’ve always been wary of seasonality traps, and this table reinforces it. Seeing $EQT and $CTRA rank so low with barely 30 percent positive Novembers is a strong signal that energy rotation risk might be back. I’d map that against $XLE to see if fund flows confirm it.
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HawS
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2025-11-06

The Shutdown Is a Smokescreen: A $1 Trillion "Hidden QE" Is Coming

The market is in a full-blown panic. As Congress fails to pass a funding bill, headlines are screaming "Government Shutdown!" Consequently, we're seeing a classic risk-off cascade: the $SPDR S&P 500 ETF Trust(SPY)$   is dropping, high-growth $Invesco QQQ(QQQ)$  are leading the losses, and the $Cboe Volatility Index(VIX)$  has spiked, signaling a turn to "defensive mode." This sell-off is real, but most investors are panicking for the wrong reason. The problem isn't the shutdown itself; it's the temporary liquidity crisis the shutdown is engineered to create. The good news? This crisis is not only temporary, but it is also setti
The Shutdown Is a Smokescreen: A $1 Trillion "Hidden QE" Is Coming
TOPLiShing86: I agree, it would be stupid to panic sell now
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1.05K
General
Barcode
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2025-11-06

🔥📊 Decoding the 2025 Options Eruption: How Gamma Flows Rewired Wall Street’s Risk Engine 📊🔥

$SPDR S&P 500 ETF Trust(SPY)$ $S&P 500(.SPX)$ $NVIDIA(NVDA)$ I’ve spent years studying how gamma and vanna reshape volatility, and October 2025 marked the moment that options flow stopped being a signal and became the system itself. October’s records weren’t a fluke; they’re the symptom of a market where gamma, vanna, and delta exposures have fused into a self-reinforcing machine that amplifies upside while muting chaos. As traders adapt, the line between hedging and speculation has blurred, creating an ecosystem where flows dictate price action more than fundamentals. 🌋 Record-Breaking October 2025 October 2025 has shattered every historical record for op
🔥📊 Decoding the 2025 Options Eruption: How Gamma Flows Rewired Wall Street’s Risk Engine 📊🔥
TOPCool Cat Winston: I’ve been mapping those gamma shifts too and you’re right, BC, the SPX regime flipped decisively once dealers turned long gamma. It’s fascinating how the 6700 to 7000 zone has become a liquidity cushion. Reminds me of late 2024 when the VIX couldn’t rise above 17 even as yields ticked up. I’m watching NVDA here since its options flow seems to echo this dynamic, especially near the $700 strike where call walls are building.
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525
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Pinkspider
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2025-11-06

Robinhood earning days

IT’S $HOOD EARNINGS DAY WHAT ARE WE THINKING FOLKS 🥶 Robinhood is the best performing stock in the S&P 500 — they’ve obviously had an incredible year and executed beyond imagination. Given the stock is only $10 off ATHs, I’m not sure how strong the earnings have to be in order to see a big move, but as someone who genuinely is long, I just want to see continued execution at scale. I think we are going to hear commentary across a variety of new verticals that have launched/are launching soon, including banking and prediction markets. Analysts are expecting 90% revenue growth which I believe they will get to at around $1.2B, if they can beat that number then it’ll be a really strong quarter but they are building a very diversified business attempting to be the core future of financial se
Robinhood earning days
TOPEnid Bertha: MMs and shorties, sell sell sell all. True Longs, buy buy buy all. Another great buying opportunity for True believers.
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Bullaroo
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2025-11-06

Figma's Q3 2025 Earnings: AI Fuels Growth Amid Post-IPO Volatility

Figma Inc. $Figma(FIG)$ , the collaborative design software powerhouse, delivered its Q3 2025 earnings report on November 5, 2025, showcasing resilient growth in a competitive market. The results, which highlighted the impact of AI integrations on customer acquisition and retention, come on the heels of a challenging Q2 where the stock faced significant pressure following its July 2025 IPO. As of after-hours trading on November 5, shares climbed 6.7% to $47, signalling investor approval of the beat-and-raise quarter. In this analysis, we'll break down the key metrics, compare them to Q2, examine the stock's trajectory, and provide an independent assessment of Figma's trajectory. Q3 2025 Highlights: Beating Expectations with AI Momentum Figma report
Figma's Q3 2025 Earnings: AI Fuels Growth Amid Post-IPO Volatility
TOPRon Anne: AI boosts Figma's growth. NDR increase is solid proof.
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Bullaroo
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2025-11-06

Supplemental Analysis: Figma (FIG) Stock Short-Term Volatility Outlook

This article serves as a supplemental analysis to the previous piece, "Figma's Q3 2025 Earnings: AI Fuels Growth Amid Post-IPO Volatility," focusing specifically on the potential short-term fluctuations in FIG's stock price due to upcoming lock-up expirations and market dynamics. While Figma's Q3 earnings report was positive, the impending lock-up period expirations could indeed trigger significant stock price volatility over the next few weeks to a month, particularly in the current market environment, where insider and early investor selling pressure should not be underestimated. Below, I'll combine the latest data and analysis to share my independent judgment. Lock-Up Period Details and Potential Impact Based on reliable sources, Figma's IPO lock-up period is primarily 180 days, startin
Supplemental Analysis: Figma (FIG) Stock Short-Term Volatility Outlook
TOPRon Anne: FIG’s Nov 7 partial lock-up? Sell-the-news risk is real, watch $40!
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