CommunityConnect with experts, uncover more opportunities
1.03K
Selection
nerdbull1669
·
12-11

Adobe App Integration With ChatGPT -> Better Opportunities or Risks Ahead!

$Adobe(ADBE)$ Q4 earnings and FY2026 guidance beat expectations, they also announced the integration of Photoshop, Adobe Express and Acrobat apps into ChatGPT, this integration looks like Adobe is going for a broader push of its tools into conversational AI platforms, so that this could help their users to reduce the need to switch between different applications. But we are seeing that investors are still concerned of the AI disruption that could bring to Adobe. The recent developments at Adobe (photoshop, Acrobat, Express integration into ChatGPT, FY2026 guidance, investor reactions) reveal both opportunities and risks. In this article I would like to share how we can look at each issue from current available public evidence. What Adobe’s ChatGPT
Adobe App Integration With ChatGPT -> Better Opportunities or Risks Ahead!
TOPCharlesBaker: Interesting analysis AI integration could boost user growth, but competition risks remain. Thoughts[吃瓜]
5
Report
2.25K
General
MilkTeaBro
·
12-11
$FE HORIZON(03360)$ Added position, it's good value for me, it let me earn 5% in two days. I don't understand why it can fluctuate so much.
03360
12-11 09:55
HKFE HORIZON
SidePrice | FilledRealized P&L
Buy
Open
8.01
1,000
--
Closed
FE HORIZON
$FE HORIZON(03360)$ Added position, it's good value for me, it let me earn 5% in two days. I don't understand why it can fluctuate so much.
1
Report
2.85K
General
AyKing
·
12-11
$NKE 20260102 73.0 CALL$ This is the rolled position of the diagonal spread. The long call strike is $65. this trade can collect some premium while waiting for price to go up. In the daily chart, the notable resistance are $67 and $69. I think $73 should have sufficient margin of safety across earnings.
NKE CALL
12-11 04:30
US20260102 73.0
SidePrice | FilledRealized P&L
Sell
Open
1.14
1Lot(s)
--
Closed
Nike
$NKE 20260102 73.0 CALL$ This is the rolled position of the diagonal spread. The long call strike is $65. this trade can collect some premium while...
TOPJustinCooper: Solid analysis mate[看涨]Keen on the 73 level breakout!
3
Report
3.40K
General
AyKing
·
12-11
$QQQ 20251226 644.0 CALL$ This is the rolled position of the diagonal spread. Decided to open this trade when price was at $628. I may close the trade if 50% of the premium has been achieved.
QQQ CALL
12-11 04:24
US20251226 644.0
SidePrice | FilledRealized P&L
Sell
Open
2.28
1Lot(s)
--
Closed
Invesco QQQ
$QQQ 20251226 644.0 CALL$ This is the rolled position of the diagonal spread. Decided to open this trade when price was at $628. I may close the tr...
TOPpixelo: [龇牙]Nice roll! Solid trade plan with 50% exit target[强]
3
Report
17.32K
Selection
Options Trading Singapore
·
12-10

2026 Stock Market Outlook: Cautious Bull & Strategy Framework

Thank you for $Tiger Brokers(TIGR)$ @Tiger_CashBoostAccount ‘s invitation. Below are my insights and picks for 2026. Hope it Helps for you.2026 is shaping up as “cautiously bullish” rather than euphoric: there’s still fuel for a rally – especially from AI and dividends – but a lot depends on earnings, interest rates, and how investors rotate across sectors.Below is a distilled view from all the articles you shared.1. Big Picture: Cautious Bull, Not a New ManiaAcross different research pieces and strategist notes, the base case for 2026 looks like this:Year-end 2025: A Santa Claus rally is possible but not guaranteed. Seasonality, rate-cut hopes and strong tech earnings could help… but valuati
2026 Stock Market Outlook: Cautious Bull & Strategy Framework
TOPTiger_CashBoostAccount: Welcome to read What the experts say| 2026 Stock Market Outlook: Cautious Bull & Strategy Framework 📅2026 is "cautiously bullish," not euphoric🐂⚠️. Read Master of Options @Ken KU's playbook and mindset: "A $600B AI capex fuels growth💰🤖, but a 10% P/E compression limits upside📉 . The edge? 🎯Focus on quality AI ( $NVIDIA(NVDA)$ , $Alphabet(GOOG)$ ), China stock-specific plays ( $XPeng Inc.(XPEV)$'s mobility, $NetEase(NTES)$ ), and Singapore $Straits Times Index(STI.SI)$ 's 4-8% yield basket. Remember, valuation discipline beats blind optimism."⚖️ #2026Outlook #AIInvesting #OptionsTrading #StockMarket #Dividends #RiskManagement #ChinaStocks #SingaporeInvesting
3
Report
673
Selection
Option_Movers
·
12-11

Option Movers|Palantir's $190 Call Options Soar 200%; Oracle's Volume Surges 190%; Netflix Shows Strongest Bearish Sentiment

Wall Street ended higher on Wednesday(Dec 10), after the Federal Reserve cut interest rates by a quarter percentage point as expected and investors bet on further easing down the road even as the central bank signaled that it will put further cuts on pause for now.Regarding the options market, a total volume of 46,676,753 contracts was traded on Wednesday.Top 10 Option VolumesSource: Tiger Trade App$Palantir(PLTR)$ gained 3.3% after the software company won a contract with the U.S. Navy to manage the supply chain of a nuclear submarine fleet in the hope of reducing maintenance downtime. The deal, valued at $448 million, is being paid for with money from President Donald Trump's signature spending bill.A total number of 799.84K options related to <
Option Movers|Palantir's $190 Call Options Soar 200%; Oracle's Volume Surges 190%; Netflix Shows Strongest Bearish Sentiment
Comment
Report
12.57K
Selection
Tiger_SG
·
12-10

STI New Highs! US Bull Market Ending? Would You Shift to Asian Equities?

Over the past week, Singapore’s stock market quietly delivered another surprise: $Straits Times Index(STI.SI)$ total return for 2025 has reached 25% (including dividends) — one of the strongest performances in the past 15 years.Not only the large caps, but mid- and small-cap stocks are also up 16% this year, with trading activity clearly heating up.Interestingly, institutional investors were net sellers last week, especially in utilities and S-REITs.But despite the short-term dip, S-REITs still show a nearly 15% total return for 2025, on track for their best year since 2019.✔ The Fed has already cut rates twice this year✔ Markets expect another cut this week✔ Lower rates → lower funding costs → more stable distributions & more acquisition ac
STI New Highs! US Bull Market Ending? Would You Shift to Asian Equities?
TOPkoolgal: 🌟🌟🌟This is a dilemma - to bet it all on the proven US market or seek value in the dynamic , yet volatile Asia. My answer is "Why not both?" This isn't about choosing between these 2 markets . It combines fundamentally 2 different markets to forge a more robust , resilient and globally diversified portfolio. Investing in both the US and Asian markets allows me to capture the best of both worlds and effectively manage risk through diversification. It is about balancing growth and value . I get exposure to high growth , innovation driven engine of the US markets while at the same time , I am tapping into the attractive valuations and steady high dividend strategies offered by markets in Singapore, Southeast Asia and Hong Kong. This is also about not putting all my eggs into 1 basket . It mitigates single market risk. Why not both is a balanced approach that recognises the inherent strength of each market. @Tiger_SG @TigerStars @Tiger_comments @TigerClub @CaptainTiger
23
Report
8.14K
Selection
Daily_Discussion
·
12-11

💸 Compounding Engine: Reveal Your Growth Rocket Plays!

Hey Eagles! 🦅The trading skies are wide open — what’s your next move?🎯 Sharp insight? Killer strategy? Market-beating pick?Share your ideas and soar to the top!Catch up fast:These events rocked the markets today.More NewsWeekly Five Key Areas: Macro, Singapore Stocks, Options, Futures, EarningsCovering five major market segments this week to help you stay ahead of market trends and plan your trades effectively!⚙️ Thursday — Futures Market Monitor price fluctuations in energy, precious metals, and agricultural futures.Spot gold added 0.46 % to US$4,227.37 per ounce, while COMEX gold futures advanced 0.50 % to US$4,257.20 per ounce.Spot silver surged 1.83 % to US$61.7854 per ounce; spot silver jumped 1.83 % to US$61.7854 per o
💸 Compounding Engine: Reveal Your Growth Rocket Plays!
TOPMrzorro: Cryptos Slide Sharply, $Bitcoin (BTC.CC)$ Drops Below $90,000, Down 3% in the Past 24 Hours; $Ethereum (ETH.CC)$ Drops Below $3,180, Down 4% in the Past 24 Hours; $Solana (SOL.CC)$ Down to $130; $Ripple (XRP.CC)$ Drops to $2.
12
Report
1.51K
Selection
Kenny_Loh
·
12-10

🚀 Invaluable Catch-Up with CapitaLand's REIT Leaders!

Had a fantastic day deep-diving into the strategic initiatives of three major CapitaLand REITs! It was great to connect with Serene Teo (CLAS), Gerry Chan (CLCT), and Gauri Shankar Nagabhushanam (CLINT). Huge thanks to Denise and XinYi for the seamless coordination. $CapLand Ascott T(HMN.SI)$ $CapitaLandInvest(9CI.SI)$ $CapLand India T(CY6U.SI)$ $CapLand China T(AU8U.SI)$ My thoughts on the session: CLAS: It’s great to see the continued stability in execution. Serene’s update reinforces my confidence in their ability to maintain steady distributions. CLCT & CLINT: Leadership transitions can be a pivotal tim
🚀 Invaluable Catch-Up with CapitaLand's REIT Leaders!
TOPnizzmo: Leadership transitions done right! CLCT & CLINT looking solid 💪[强][看涨]
1
Report
661
General
Mkoh
·
12-10

Four Underestimated Investment Themes Poised for Strong Performance in 2025

With 2025 drawing to a close, several structural trends appear significantly underpriced relative to their long-term fundamentals. Below are four areas that, in my view, remain attractive despite recent market rotation. Uranium and the Next Phase of Nuclear Deployment Major hyperscalers (Amazon, Microsoft, Google) have signed power purchase agreements for new nuclear generation, while governments in the U.S., Canada, UK, and Europe have reaffirmed nuclear as a core component of net-zero strategies. Small modular reactor (SMR) projects are moving from demonstration to firm orders. Spot uranium remains around $80/lb, yet the incentive price for new primary supply is widely estimated at $90–$110/lb. Leading producers with low-cost, permitted assets include Cameco (CCJ), Uranium Energy Corp (U
Four Underestimated Investment Themes Poised for Strong Performance in 2025
TOPNoraPoe: Uranium & copper fundamentals look solid[吃瓜]Any ETF exposure you'd recommend?
2
Report
62.90K
General
Elliottwave_Forecast
·
12-10

Russell 2000 ETF $IWM Soars 11% from Blue Box Area, With $258 Target Still Ahead

Hello everyone! In today’s article, we’ll examine the recent performance of Russell 2000 ETF ($IWM) through the lens of Elliott Wave Theory. We’ll review how the powerful rally from the November 2025 low unfolded as a textbook 5-wave impulse and discuss our evolving forecast for the next move. Let’s dive into the structure and expectations for this tech giant. 5 Wave Impulse + 7 Swing WXY correction   $NVDA $IWM 4H Elliott Wave Chart 11.18.2025: In the 4-hour Elliott Wave count from Nov 18, 2025, we saw that $IWM completed a 5-wave impulsive cycle at black ((3)). 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 $229.87 and $219.62. $IWM 4H Elliott Wa
Russell 2000 ETF $IWM Soars 11% from Blue Box Area, With $258 Target Still Ahead
TOPqixoo: Textbook EW pattern! IWM's rally from blue box is spot on $258 target in sight 🚀[强]
1
Report
557
General
Shyon
·
12-10
From my perspective, tonight’s move will hinge less on the 25 bps cut and more on Powell’s tone. A slightly dovish message could spark a quick gap-up in equities and precious metals, though I still expect an early fade as markets digest the details. Positioning is elevated, so any pop may be short-lived. If Powell sounds hawkish, the reaction may actually be muted since the bond market already expects it. Any dip in stocks or metals would likely be modest, and I’d view that kind of pullback as a potential buying window, especially with easing still on the table for 2025. For the 2026 dots, I’d see them as guidance on the Fed’s long-run comfort zone, not a strict plan. Fewer cuts into 2026 would simply signal caution during a soft-landing phase, meaning more near-term volatility but still
From my perspective, tonight’s move will hinge less on the 25 bps cut and more on Powell’s tone. A slightly dovish message could spark a quick gap-...
Comment
Report
1.25K
General
xc__
·
12-10

Palantir's $448M Navy AI Blitz Ignites Defense Revolution: Submarine Surge Lights Up 5% After-Hours Rocket! 🚀🤖💥

$Palantir Technologies Inc.(PLTR)$ 🎯 Executive Summary Palantir just scored a game-changing $448 million contract with the U.S. Navy to deploy its AI platforms for speeding up submarine development and manufacturing, a massive win that's already sparking a 5% after-hours jump to $79.50 from $75.72 on December 10, 2025. Dubbed "Ship OS," this deal taps Palantir's Foundry and Artificial Intelligence Platform to modernize shipyards, slash timelines, and ramp up efficiency across the industrial base amid Pentagon's push for faster naval builds. With YTD gains at 150% and Q3 revenue crushing $726 million (up 30% YoY), this Navy nod could turbocharge long-term revenue by $1B+ annually if it expands to full fleet ops. For defense AI stocks like Lockheed
Palantir's $448M Navy AI Blitz Ignites Defense Revolution: Submarine Surge Lights Up 5% After-Hours Rocket! 🚀🤖💥
TOPVenus Reade: Data software stocks will be in demand for a while. Artificial intelligence is the future. Both will revolutionize the way we live. Therefore, Buy! Hold! And prosper!
2
Report
1.14K
General
xc__
·
12-10

Robotaxi Apocalypse 2026: Tesla's Cost Killer Crushes or Waymo's Safety Shield Steals the Crown? 🚀🤖⚔️

$Tesla Motors(TSLA)$ Buckle up, riders – Morgan Stanley's bombshell 2026 outlook dubs it the "singularity moment" for robotaxis, with 33 U.S. cities unleashing commercial fleets in a dual-oligopoly duel where Tesla's cost-cutting chaos battles Waymo's safety supremacy. This isn't sci-fi fluff; it's a $1 trillion market makeover by 2032, with robotaxi rides slashing to $0.35/mile from $1.50, vaporizing Uber/Lyft's $200B valuations and flipping the ride-hailing realm upside down. Tesla's Cybercab concept (unveiled October) promises $0.20/mile efficiency with no steering wheel, while Waymo's 450K weekly paid rides (up from 100K in September) already dominate driverless domains. But has the market baked in Tesla's robotaxi rapture, or is Waymo's 7x sa
Robotaxi Apocalypse 2026: Tesla's Cost Killer Crushes or Waymo's Safety Shield Steals the Crown? 🚀🤖⚔️
TOPMortimer Arthur: With FSD 14's amazing performance and all the free trials demonstrating it's ability around the world; robotaxi imminent, I can't believe how sluggish this stock is behaving!
2
Report
472
General
xc__
·
12-10

FOMC Cut Chaos Unleashed: Powell's Powwow Sparks Vertical Risk Rally or Hawkish Heartbreaker? 🚨📉🔥

$Powell Max Limited(PMAX)$ Markets are teetering on a knife's edge as the FOMC unleashes its December decision at 2 p.m. ET, with an 88% priced-in shot at a 25 bps trim to 3.50%-3.75% – a move that could juice risk assets if Powell's 2:30 p.m. presser drops dovish gems like QE hints or 2026 easing openness. Polymarket's 97% bet on a 2025 rate reduction screams crowded positioning, but this packed house risks a brutal unwind if hawkish signals sneak in, like a tighter dot plot or inflation vigilance vibes. With QT's $1T liquidity lava flowing and S&P clinging to 6,859 highs, this FOMC fireworks could catapult equities up 4% on dovish delight, flatline on as-expected hawkishness, or crater 2% if Powell plays hardball. As VIX cools to 22.80 amid
FOMC Cut Chaos Unleashed: Powell's Powwow Sparks Vertical Risk Rally or Hawkish Heartbreaker? 🚨📉🔥
TOPChristKitto: Powell's presser could flip the script-buckle up for the volatility ride![看涨][666]
2
Report
1.32K
General
Shyon
·
12-10
From my point of view, the STI’s $Straits Times Index(STI.SI)$ 25% total return and broad-based strength across mid- and small-caps show how much rate cuts have revived sentiment in Singapore. Even with institutions taking profits, S-REITs still look resilient, and lower funding costs should keep their outlook solid into 2026. Goldman’s $Goldman Sachs(GS)$ warning about weaker U.S. equity returns over the next decade feels reasonable after such an exceptional 10-year run. It doesn’t signal the end of the U.S. bull market, but it does suggest that future gains may be slower and more selective. If I could only pick one region for the next decade, I’d lean toward Asia — especially Singapore — for its val
From my point of view, the STI’s $Straits Times Index(STI.SI)$ 25% total return and broad-based strength across mid- and small-caps show how much r...
TOPcheeryk: SG banks'dividends do look tempting for long haul. Keeping US tech exposure makes sense[强]
2
Report
9.90K
Hot
Barcode
·
12-11

🚀🔥📡 Oracle Earnings Tonight. Volatility Locked and Loaded 📡🔥🚀

$Oracle(ORCL)$ $NVIDIA(NVDA)$ $Synopsys(SNPS)$  🎯 Executive Summary I’m convinced Oracle is entering tonight’s earnings with the most asymmetric risk reward in global tech. The share price has fallen roughly 33 % from the highs near $330 to $220.75 on your chart, completely retracing the 20 % September earnings surge that briefly added $200B in market cap. Now traders are positioned for a violent event. The ATM IV term structure shows near expiry implied volatility above 140 % with a projected swing close to 10 %. This is where a half trillion dollars in AI cloud backlog commitments must be proven real and monetisable, not just headline potential. 🐂 Bull Cas
🚀🔥📡 Oracle Earnings Tonight. Volatility Locked and Loaded 📡🔥🚀
TOPKiwi Tigress: yeah reading your post had me lowkey double checking my own notes because the way volatility is loading up here feels wild ngl. the whole setup kinda gives the same energy I saw on $Apple(AAPL)$ before it ripped then faded. tbh the way you framed the liquidity zones makes it way clearer where the pressure builds. I’m watching that $235 line now, feels like everyone’s holding their breath 😅
35
Report
938
Hot
Barcode
·
12-11

⚡️🔌🚀 GE Vernova Ignites The Grid: Dividend Double, $10B Buyback And A Street High $1,000 Target 🚀🔌⚡️

$GE Vernova Inc.(GEV)$ $Vistra Energy Corp.(VST)$ $Quanta(PWR)$  I’m convinced GE Vernova $GEV has just graduated from volatile spin off to indispensable AI infrastructure powerhouse. The stock has surged more than 16% to fresh all time highs above $720 this week, a blistering rally from sub $580 levels only weeks ago, after management doubled the quarterly dividend to $0.50, expanded the buyback authorisation to $10B from $6B, and laid out a 2028 outlook that crushes Street expectations on revenue, margins and free cash flow. This is not incremental tweaking. It is a full throated affirmation that the Power and Electrification segments sit at the heart of the
⚡️🔌🚀 GE Vernova Ignites The Grid: Dividend Double, $10B Buyback And A Street High $1,000 Target 🚀🔌⚡️
TOPKiwi Tigress: Yeah this GEV write up actually made the grid story click for me. I kinda always parked it in the boring utilities bucket, but the way you linked AI data centres, transformer shortages and that 1k PT, it suddenly feels like a proper momentum name. Tbh the bit about the 700 calls going from 1 to 37 and then those 2026 850s lighting up is what grabbed me. Feels like the flow is telling us the regime has shifted, not just some random pop. I like how you still flagged the 650 support zone though, keeps it grounded in structure and not just vibes
18
Report
761
General
BTS
·
12-11
Paramount Skydance Corp (PSKY) made a hostile all-cash bid for Warner Bros Discovery (WBD) at $30 per share, surpassing the $27.75 cash-and-stock offer from Netflix (NFLX), creating an arbitrage opportunity due to the superior bid NFLX aims to acquire WBD to secure studio and streaming assets, strengthening its market leadership, though the deal carries high debt and regulatory risks WBD presents potential gain from the price gap between the bids from NFLX and PSKY, with the risk of regulatory or financial failure; trade WBD for acquisition volatility, or consider buying the dip in NFLX as a high-risk long-term bet on WBD assets, with an anticipated bounce if NFLX loses the bid and avoids more debt The WBD hostile takeover by PSKY at $30 all-cash bid creates a volatility-driven spread play

WBD Deal Got Bigger! Why Netflix Bets on It? Which Stock Would You Trade?

@Tiger_comments
$Paramount Skydance Corp(PSKY)$ launched an all-cash tender offer for $Warner Bros. Discovery(WBD)$ on Monday, proposing to buy all outstanding shares of WBD at USD 30 per share — disrupting the acquisition deal $Netflix(NFLX)$ announced last week.Last Friday, Netflix and WBD announced a binding agreement under which Netflix would acquire WBD’s studio business and HBO Max for USD 72 billion (enterprise value USD 82.7 billion).1. USD 30 vs. USD 27.75 — what’s the difference?Paramount’s proposal is to acquire the entire WBD, including all TV networks such as CNN, TBS, TNT, and others.Its all-cash offer gives WBD an enterprise value of USD 108.4 billion (including
WBD Deal Got Bigger! Why Netflix Bets on It? Which Stock Would You Trade?
Paramount Skydance Corp (PSKY) made a hostile all-cash bid for Warner Bros Discovery (WBD) at $30 per share, surpassing the $27.75 cash-and-stock o...
TOPDouglasMalan: PSKY's $30 bid creates a juicy spread vs NFLX's $27.75. WBD volatility play looks tempting![龇牙]
2
Report
603
General
Mrzorro
·
12-11
Coreweave Faces Heavy Call Selling After $2B Bond Offering $CoreWeave, Inc.(CRWV)$   has shown an unusual — almost counter-intuitive — pattern in its options market over the past two days. On December 8, amid a sharp intraday drop of more than 9%, a massive $67 million block of Jan 2028 150C was sold in a single print. Today, another $9.45 million block of Jan 2028 130C was hit. In total, more than $76 million worth of long-dated, deep-out-of-the-money Calls were sold by institutions in just 48 hours, triggering heated debate: Is this bearish on CoreWeave — or a different kind of bullish? Structurally, these trades are not short-term bets. They are three-year LEAPS Calls, far above spot, rich in premium and vega, and extremely lucrative
Coreweave Faces Heavy Call Selling After $2B Bond Offering $CoreWeave, Inc.(CRWV)$ has shown an unusual — almost counter-intuitive — pattern in its...
TOPMerle Ted: This is a great time for Coreweave folks to switch to Nebius before it's too late. Great growth, ow ns part of Clickhouse, ow ns Toloka & AVRide. 20 per cent EBIDTA in Data Center OPs - going to 30 per cent.
3
Report
 
 
 
 

Most Discussed

 
 
 
 
 

7x24