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General
Trend_Radar
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2025-11-10

GS | Quiet Digestion, Breakout Trigger Above $790

$Goldman Sachs(GS)$ $786.34 (−0.16%): Quiet consolidation at highs; breakout watch above $790, support $770–780Market Recap: Goldman Sachs slipped slightly to $786.34 (−0.16%), holding near the upper band of its multi-month range. The stock is up ≈37% YTD, trading only ~5% below its $825.25 52-week high. Volume (~1.83 M shares) remained light, suggesting consolidation rather than distribution.Trend Structure: GS remains in a strong uptrend—price sits above both EMA-20 ($781.8) and EMA-50 ($770.0), with the two lines still positively aligned. The slope of the short EMA has flattened, showing digestion after October’s rally rather than breakdown.Momentum Indicators:MACD (12,26,9): MACD = 4.26 | Signal = 2.88 | Histogram = +1.38 → mild bullish bias, cr
GS | Quiet Digestion, Breakout Trigger Above $790
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1.31K
General
Trend_Radar
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2025-11-10

Circle Rebounds from $100 Support but Faces Heavy Resistance

$Circle Internet Corp.(CRCL)$ $103.14 (+3.13%): First bounce at round-number $100; downtrend intact—watch $109/$118 for validationMarket RecapCircle Internet Group closed $103.14, up 3.13%, after trading $96.10–103.33 on ~9.9M shares (vs ~11.3M avg). Shares are still ~65% below the summer peak (~$299) but +49% YTD. Drivers today: (1) round-number support at $100 drew dip buyers; (2) crypto beta stabilized intraday, easing pressure on stablecoin-ecosystem equities; (3) pre-earnings positioning into Nov 12 encouraged short covering. Fundamentally, TTM EPS ~–1.74 implies no meaningful P/E (loss-making), so sentiment and crypto-market tone dominate near-term flows.Indicators & 1-week outlookTechnicals remain fragile: price sits well below the 2h E
Circle Rebounds from $100 Support but Faces Heavy Resistance
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420
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Trend_Radar
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2025-11-10

IBM Tests $300 Support, Momentum Cool but Uptrend Intact

$IBM(IBM)$ $306.38 (−1.93%): Pullback near highs; watch 300–312 as pivot (≈4% below 52-wk high)Market Recap: IBM closed at $306.38, down 1.93% on lighter-than-average volume (~4.15M vs ~5.40M). It sits ~4.1% below its 52-week high ($319.35) after a strong October/early-November run. Price remains above both trend EMAs—EMA20 ≈ $298.6 and EMA50 ≈ $285.0—so the uptrend is intact but momentum cooled into the close. Indicators & 1-week outlook:MACD (12,26,9): line ≈ 8.50 vs signal ≈ 8.55, histogram slightly negative (~−0.05) → momentum flattening after a strong leg up rather than true downside acceleration.RSI(14): ~60 → bullish-neutral, room before overbought.Volume: below average → dip looks more like profit-taking than heavy distribution.Set-ups
IBM Tests $300 Support, Momentum Cool but Uptrend Intact
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Tiger_Earnings
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2025-11-10

🎁Capturing Top 10 Ex_dividend: WINA, ALX, GWW, NXST, URI...

1. Which High Ex-dividend Stock (on 10 November ~ 14 November) do You Like the Most?Be Sure To Check Out the Last Chance to Buy the Top 10 High dividend stocks going to Ex-dividends This Week: many companies like $WINA$ and $ALX$ showing below are about to give decent dividends into "your pocket".Editor's notes:A dividend-paying stock ex-dividend date, or ex-date, is very important to investors. In a nutshell, if you buy a dividend stock before the ex-dividend date, then you will receive the next upcoming dividend payment.If you purchase the stock on or after the ex-dividend date, you will not receive the dividend. Some investors utilize strategies whereby they will purchase stocks just prior to an ex-dividend date and sell shortly thereafter.2. YTD25 of the Above 10 Stocks are as Below:Ac
🎁Capturing Top 10 Ex_dividend: WINA, ALX, GWW, NXST, URI...
TOPMHh: I like target the most as it appeals to the masses with its price range and with the wide range of products. Analyst price target about $99. @DiAngel @HelenJanet @Fenger1188 @Wayneqq @LuckyPiggie @SR050321 @Kaixiang @SPOT_ON @Universe宇宙 @Success88 come join
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347
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Trend_Radar
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2025-11-10

DoorDash Seeks Recovery, Tactical Target $220–$240

$DoorDash, Inc.(DASH)$ $204.31 (+4.00%): Post-earnings gap stabilizes; oversold bounce—watch $200/$210 and gap-fill to $230–$240Market RecapDoorDash closed at $204.31, rebounding after the earnings-gap slide yet still ~28% below its ~$285.5 52-wk high. Today’s move looked like short-covering and dip-buying after the sharp selloff; overnight quotes edged higher again. Fundamentals snapshot from your screenshots: P/E (TTM) ~103x, beta ~1.70, Street 1-yr target ~$279. The tape remains damaged but attempting to base above psychological $200.Technicals & next-week setup: Price is well below EMA-20 ~$246 and EMA-50 ~$253—trend still down. MACD(12,26,9) is deeply negative (MACD −6.5, Signal −12.0, Hist −5.5) but curling—early momentum repair. RSI(14)
DoorDash Seeks Recovery, Tactical Target $220–$240
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The Investing Iguana
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2025-11-09

UOB's S$615M Warning (Weekly Market Movers): What SG Investors Must Know 🦖 #1257

🟩 🔔 UOB’s $615M Warning: What It Means for Investors 🏦 – This week, the Singapore stock market witnessed a shocking headline: UOB’s net profit plunged by a staggering 72%, driven by a massive $615M preemptive general allowance. But don’t jump to conclusions just yet! Join Iggy, your trusted Singapore-based market analyst, as he sheds light on what this means for your CPF, SRS, and SGX portfolios. 📊 Packed with insights, this video explores the critical banking divide in Singapore, highlighting UOB’s warning bell for economic deterioration and OCBC’s record-breaking performance fueled by its wealth management division. Whether you're looking to optimize your investment decisions or simply understand these crucial financial trends, Iggy breaks down the winners and losers of the week, from Si
UOB's S$615M Warning (Weekly Market Movers): What SG Investors Must Know 🦖 #1257
TOPReg Ford: UOB’s 72% profit drop terrifies me,should I sell my bank stocks now?
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WeChats
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2025-11-09
Excellent — here’s a premium rewrite of your Nvidia B30A export curbs topic, made more attractive, analytical, and cinematic in tone. This version is styled to grab attention on Tiger Picks — with layered geopolitical insight, forward-looking analysis, and strong emotional cadence to keep both retail readers and seasoned investors engaged. --- ⚔️ Nvidia’s B30A Ban: Tech Cold War or the Next Great Buying Opportunity? 🌍💥 The world’s most valuable chipmaker just ran into its biggest wall yet. The White House has officially barred Nvidia ($NVDA) from exporting its latest AI chip — the B30A — to China. This isn’t just a supply-chain hiccup. It’s a move that redefines the balance of power in global AI — where innovation and national security are now inseparable. --- 🧠 What’s Really Happening Beh
Excellent — here’s a premium rewrite of your Nvidia B30A export curbs topic, made more attractive, analytical, and cinematic in tone. This version ...
TOPMortimer Arthur: Jensen said Blackwell demand high. Hint, hint, hint... That translates to higher revenue. Read between the lines. Jensen trying to give investors a heads up.
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Shyon
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2025-11-09
November kicked off with a wave of volatility, and it really took a bite out of my portfolio. Tech stocks, especially those that had been leading all year, suddenly faced heavy profit-taking. The Fed's mixed signals about the pace of rate cuts and renewed worries about U.S. fiscal deficits added even more uncertainty. It's been a reminder that even in a bull market, corrections can happen fast — and they test our patience as investors. That said, I'm not too discouraged. Volatility in November isn't unusual; in fact, it often serves as a healthy reset before a year-end rebound. Historically, when markets experience sharp swings in early Q4, December tends to deliver a relief rally once investors reposition and window-dressing begins. With liquidity conditions improving and inflation trendi
November kicked off with a wave of volatility, and it really took a bite out of my portfolio. Tech stocks, especially those that had been leading a...
TOPValerie Archibald: Nvidia asks TSMC to up wafer production 50% due to huge demand for Blackwell. Start planning for Nvidia at $400+
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WeChats
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2025-11-09
⚡Tesla’s Silent Warning: What Shareholders Really Told Elon Musk Everyone’s eyes were on Elon Musk’s $56 billion pay package vote. But beneath the headlines, there was another motion — smaller in spotlight, bigger in meaning: 🧩 Should Tesla be allowed to invest in Musk’s own AI startup, xAI? The result: Approved. But with a twist — Tesla’s General Counsel quietly admitted there were “an unusually large number of abstentions.” And that single line may say more about investor sentiment than the entire vote count. --- 🤖 The Grand Narrative: Building the Musk AI Empire Strategically, the logic sounds flawless. Musk insists, “Tesla is an AI company.” Integrating xAI’s Grok supermodel into Tesla’s vehicles and Optimus robots could create the ultimate synergy: Grok’s natural-language AI → makes F
⚡Tesla’s Silent Warning: What Shareholders Really Told Elon Musk Everyone’s eyes were on Elon Musk’s $56 billion pay package vote. But beneath the ...
TOPValerie Archibald: Tsla only sold 26k vehicles in china in october, down from 75k
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Shernice軒嬣 2000
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2025-11-09

Views on OpenAI and Its Impact on U.S. Stocks

OpenAI is undoubtedly the frontrunner of this AI revolution. From the moment ChatGPT burst onto the scene in 2022, it completely transformed the tech industry. Now, OpenAI’s role is evolving again—from a tech pioneer to the conductor of U.S. stock market movements.A single contract with Oracle sent its stock soaring 40% overnight. A partnership with AMD drove its shares up 60% in just two weeks. Even giants like NVIDIA, Microsoft, Amazon, and Google have seen wave after wave of gains thanks to their ties with OpenAI. Even non-tech players like Walmart, Shopify, Expedia—have seen their stocks take off after integrating ChatGPT.But don’t think OpenAI only lifts stocks—it can tank them too. The launch of Sora 2 triggered a 5% drop in $Meta Platforms
Views on OpenAI and Its Impact on U.S. Stocks
TOP1PC: Great Insight & Sharing 😁 @JC888 @Barcode @koolgal @Shyon @Aqa @DiAngel
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KienBoon
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2025-11-09
Net interest income would be down naturally with interest rate moving downhill.  Ocbc has shown resilient indeed with the increase of non interest income. Bank's businesses are really diversified. Hence they are able to pay good dividend to shareholders. How many companies in SG can earn like OCBC every FY. That is in terms of at least 7 bil + net income.  Trust in the bank businesses indeed. Buy for the long term. Don't stop accumulating bank shares on a routine basis. Cheers. [Smile]  [Smile]  

Stock Track | OCBC Bank Soars 3.55% as Q3 Profit Beats Expectations Despite Margin Pressures

OCBC Bank's stock surged 3.55% in pre-market trading on Friday following the release of its third-quarter 2025 financial results, which exceeded market expectations. The Singapore-based lender...
Stock Track | OCBC Bank Soars 3.55% as Q3 Profit Beats Expectations Despite Margin Pressures
Net interest income would be down naturally with interest rate moving downhill. Ocbc has shown resilient indeed with the increase of non interest i...
TOPAthena Spenser: Diversification saves the day! OCBC’s non-interest income shines bright.
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Shernice軒嬣 2000
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2025-11-09

🚨 Intel’s 18A Disaster: PC Chips Delayed, Prices Soar!

Intel’s 18A Delays Turn Intel 7 into Supply Bottleneck $Intel(INTC)$   Intel’s rollout of its 18A process technology is lagging behind expectations, forcing the company to continue relying on Intel 7—a node originally intended as a temporary solution. With 18A not yet in mass production, Intel depends on Intel 7 to support multiple product lines, creating unexpected pressure on the supply chain. Server CPUs Prioritized, Consumer Markets Feel the Pinch To maintain profitability, Intel is prioritizing high-margin server CPUs, leaving desktop and laptop markets facing tighter supplies and even price increases. Popular processors, including the 13th and 14th Gen Core series, as well as Xeon 6 and 5th Gen Xeon Scalab
🚨 Intel’s 18A Disaster: PC Chips Delayed, Prices Soar!
TOPEnid Bertha: If the general market neutral from now to yr end, INTC should cross 50 due to too many good news to be released … a comeback INTC should be worth a lot more than it is now.
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347
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Trend_Radar
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2025-11-10

Uptrend Preserved — BAC Eyes $54–$55 Zone

$Bank of America(BAC)$ $53.20 (−0.17%): Near 52-wk high retest—uptrend intact above 20/50-EMA; watch $54 breakout ($52–55 range)Market RecapBank of America closed at $53.20, slipping 0.17%, but sits just ~1.5% below its $54.00 52-week high after a persistent multi-month climb. Drivers today: (1) positioning ahead of the Jan 14, 2026 earnings date; (2) steadier rates at the long end easing NIM fears; (3) money-center banks benefiting from credit quality holding up. Price action remains constructive with shallow pullbacks.Technicals & 1-week view: BAC holds above EMA-20 $52.37 and EMA-50 $51.16, preserving its rising channel. MACD(12,26,9): 0.69 vs 0.64 with a +0.05 histogram—momentum positive but modest; RSI(14) ~58 sits bullish-neutral. Base c
Uptrend Preserved — BAC Eyes $54–$55 Zone
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178
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Trend_Radar
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2025-11-10

CSCO: Consolidating Below $72.5 Before Earnings

$Cisco(CSCO)$ $71.07 (+0.04%): Post-high pullback; hold 20-EMA to keep uptrend intact—watch $72.5 for a re-attack on $74–75Market RecapCisco Systems closed $71.07, about 5.0% below its 52-week high ($74.84), trading $70.54–71.58 on ~16.9M shares (vs ~19.2M avg). Drivers today: (1) pre-earnings positioning into Nov 12 with investors gauging backlog conversion and AI/secure networking demand; (2) rotation within megacap tech after recent highs; (3) defensives bid supporting large-cap infrastructure names while Treasury yields eased.Indicators & 1-week outlookTechnicals: price sits above the 50-EMA $69.79 and just below the 20-EMA $71.15, reflecting a gentle pullback after a breakout. MACD (12,26,9) shows MACD 0.865 < signal 0.974 with a small
CSCO: Consolidating Below $72.5 Before Earnings
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401
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Trend_Radar
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2025-11-10

Pre-Earnings Pause: SONY Trades Below EMA Zone

$Sony(SONY)$ $27.71 (−2.05%): Pre-earnings drift under EMA zone — neutral bias with $27–29 consolidation corridorMarket RecapSony Group Corporation (SONY) closed at $27.71, down 2.05%, on light volume of ~2.97M shares versus the ~3.9M average. The ADR remains 8.5% below its 52-week high ($30.29) but still up 30.6% YTD. The mild selloff reflects global risk-off sentiment and position trimming ahead of the Nov 11 earnings call, as investors assess PlayStation sales, image-sensor demand, and FX headwinds from a strong USD/JPY. Despite a healthy balance sheet, consumer-electronics margins have narrowed slightly, dampening short-term enthusiasm.Indicators & 1-week outlookTechnically, SONY sits in a flat consolidation range between the 20-day EMA ($
Pre-Earnings Pause: SONY Trades Below EMA Zone
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698
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Trend_Radar
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2025-11-10

CoreWeave Slides Below Key Averages Ahead of Earnings

$CoreWeave, Inc.(CRWV)$ $104.01 (-2.73%): 20/50-EMA breakdown pre-earnings; bearish tone—watch $100–115Market RecapCoreWeave closed $104.01, ~44% below its 52-wk high ($187.00), trading $100.02–105.35 on ~25M shares (below ~29M avg). Drivers: (1) Pre-earnings positioning (Nov 10 on your shot); (2) rotation out of AI-infrastructure momentum after a multi-month run; (3) weak risk appetite into macro/sector headlines. Price is well under EMA20 $124.36 / EMA50 $124.07, confirming a short-term trend break.Indicators & 1-week outlookMACD lines remain below zero with a tentative uptick (-3.72 vs -4.14); RSI(14) 33.9 nears oversold; SAR sits above price, keeping downside pressure. 1-week view: bias sideways-to-down unless $112 is reclaimed quickly; ho
CoreWeave Slides Below Key Averages Ahead of Earnings
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446
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Trend_Radar
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2025-11-10

NVIDIA Pauses Below $192 Ahead of Earnings

$NVIDIA(NVDA)$ $188.15 (+0.04%) — Post-rally digestion under 20-EMA; bulls need $192 reclaim to confirm rebound (support $185 / $175)Market RecapNVIDIA settled at $188.15 (+0.04%), trading between $178.91–$188.32 on moderate volume (~265 M shares). The stock remains ≈ 11% below its 52-week high of $212.19. Key drivers: (1) sector-wide cooling in AI-hardware names after October’s parabolic run; (2) position trimming ahead of the Nov 19 earnings release; (3) rotation from megacap tech to defensives following a sharp Treasury rebound.Indicators & 1-week outlookMACD (12,26,9) flat-to-bearish (histo ≈ –0.76) with lines at 3.38 / 4.14 → momentum loss after September’s rally. RSI (14) ≈ 47.9 sits neutral, tilted down; volume shows profit-taking but n
NVIDIA Pauses Below $192 Ahead of Earnings
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990
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koolgal
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2025-11-06

Gridlock & Grit: Investing Through America's Longest Shutdown

🌟🌟🌟As America endures its longest government shutdown in history, investors face a test of grit, clarity and emotional discipline.  The data has gone dark.  Federal contracts are frozen.  SNAP benefits have vanished. SNAP is the acronym for Supplemental Nutrition Assistance Program which is the US government's primary food aid, helping over 42 million Americans afford groceries each month. Yet the market whispers - adapt, do not flinch. This isn't just a fiscal standoff.  It is a stress test for conviction.  In the absence of official data, we turn to fundamentals and to companies that thrive despite the chaos.  Sector Breakdown : Which Sectors Are Affected? Defense and Government Contractors :  The impact of the shutdown is contract delays, payment freez
Gridlock & Grit: Investing Through America's Longest Shutdown
TOPAgathaHume: Your perspective is refreshing and reminds us all to focus on fundamentals, even in chaos.
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KYHBKO
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2025-11-09

(Part 3 of 5) - Market Outlook of S&P500 (10Nov25)

Market Outlook of S&P500 (10Nov25) Momentum and Trend Indicators MACD (Moving Average Convergence Divergence): The MACD is on a downtrend, which signals a bearish outlook. EMA (Exponential Moving Averages) Convergence: The EMA lines are converging. This suggests that the current uptrend may be losing steam and indicates a potential change in the existing trend. Moving Averages (MA) and Support Overall Trend (MA 50 & 200): Both the 50-day and 200-day Moving Average lines remain on an uptrend. This sustains a bullish outlook across both the short and long term. Key Short-Term Support: The $\text{MA 50}$ line is identified as a key short-term support level. Monitoring Focus: It is necessary to monitor the candlestic
(Part 3 of 5) - Market Outlook of S&P500 (10Nov25)
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KYHBKO
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2025-11-09

(Part 5 of 5) - my investing muse (10Nov25)

My Investing Muse (10Nov25) Layoffs, Bankruptcy & Closure news CNBC: “Announced corporate job cuts surging past 1 million so far this year, with 153,000 new layoffs just in October, according to Challenger. That is the worst October since 2003.” The FAA officially began cutting 700 flights PER DAY across 40 airports. Airports are now facing a shortage of 3,500 air traffic controllers, with 4+ MILLION passengers impacted. - X user The Kobeissi Letter Co-pilot is part of the transition. Transition to more automation (replacing humans) is one of the goals. What’s going to be the story now, CEOs? From mid-2022 to now, the Bay Area has shed 80,000 tech jobs while supposedly being at the centre of the AI revolution. San Francisco alone dropped 39,600 positions in two years, an 11% collapse.
(Part 5 of 5) - my investing muse (10Nov25)
TOPvibzee: Wow, what an insightful analysis! [Wow]
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