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01-20

🚨🥇📊 $GLD Signals The Regime. $SPY Defines The Break. $SLV Prices The Volatility 📊🥈🚨

$SPDR Gold ETF(GLD)$  $iShares Silver Trust(SLV)$  $SPDR S&P 500 ETF Trust(SPY)$   🧠 Repricing, Not Risk-Off As of mid-January 2026, this market is not behaving like panic or forced liquidation. It is behaving like a repricing. Policy credibility is being reassessed, currency safety is fragmenting, and capital is rotating selectively rather than fleeing risk. That distinction explains why $GLD and $SLV are printing record levels while $SPY remains mechanically supported. This is not a crash setup. It is a credibility regime. 🌍 Trump’s Tariff Posture as a Structural Policy Shock Renewed tariff threats are no
🚨🥇📊 $GLD Signals The Regime. $SPY Defines The Break. $SLV Prices The Volatility 📊🥈🚨
TOPQueengirlypops: ok wait this post actually goes hard, the whole regime thing makes sense when you see volatility chilling while flows quietly rotate, like everyone staring at price but missing structure, $SPDR Gold ETF(GLD)$ just vibing as the signal while $iShares Silver Trust(SLV)$ goes full momentum mode, cross asset energy everywhere, gamma holding things together until it doesn’t, ngl this is the kinda post that changes how you read the tape 🧃
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koolgal
·
01-19

Intel Earnings: Buy the Rumour or Sell The News?

🌟🌟🌟Intel $Intel(INTC)$  path for this week, ahead of its earnings report, is a high stakes gamble.  The momentum points towardds a jump on further earnings surprise. This is driven by massive AI catalysts but the stock's already frenzied run makes it vulnerable to a sell the news correction if expectations are not perfectly met. Intel has surged almost 30% in January.  This is driven by a powerful narrative of an imminent comeback.  This momentum is intoxicating but also sets a high bar. The Bull Case for Intel - A Jump on Surprise Earnings  Options data is largely skewed to the upside, implying a potential move north of USD 50 immediately after the report.  Analysts like KeyBanc's John
Intel Earnings: Buy the Rumour or Sell The News?
TOPicycrystal: thanks for sharing
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Travis Hoium
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01-20

Why Garmin Should Buy Peloton

Why Garmin Should Buy PelotonExpanding Garmin $Garmin(GRMN)$ 's ecosystem of hardware with fitness content $Peloton Interactive, Inc.(PTON)$ makes a lot of sense.Garmin + PelotonOne of the key reasons I think Garmin has asymmetric potential long-term is that it’s a key piece of hardware in tracking health and fitness, with the potential to add incremental recurring revenue streams from connectivity and health & fitness analysis and content.It’s a classic marriage of hardware and software.I think it’s time the company expands more aggressively into the fitness content side by buying a subscription-based business with 2.7 million paying premium members.Peloton Needs ScaleLongtime subscribers will rememb
Why Garmin Should Buy Peloton
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1.19K
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koolgal
·
01-20
🌟🌟🌟Gold is doing what Gold does best -rising when the world forgets how to stay calm.  Spot Gold just surged through another all time high at USD 4,690/Oz, a 2% surge in just 1 session.  Markets are not reacting to numbers anymore.  Markets are reacting to narratives - tariffs on European nations, territorial disputes, political investigations and a global mood that feels increasingly brittle. When trust erodes, Gold becomes the last language that everyone still understands. That is why I position myself with 2 tactical weapons: IAU: My Pure Efficient No Drama Gold Exposure $Gold Trust Ishares(IAU)$  is my preferred way to hold physical Gold.  Why?  Because it gives me direct Gold bullion expo
🌟🌟🌟Gold is doing what Gold does best -rising when the world forgets how to stay calm. Spot Gold just surged through another all time high at USD 4,...
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1.63K
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Daily_Discussion
·
01-19

🚨Major catalysts this week — Share your game plan!

Hey Tigers! 🐅Markets are heating up — and we want to know what you think.💡 Got a hot take? A risky bet? A winning play?Share your ideas below and climb the leaderboard!Let’s break it down. These stories drove the markets.More NewsTiger Community TOP10 Tickers🎯 S&P500 Most Active Today 👉@TigerObserverWeekly Five Key Areas: Earnings, Macro, Singapore Stocks, Options, FuturesCovering five major market segments this week to help you stay ahead of market trends and plan your trades effectively!U.S. stocks closed mixed as earnings season began. Small-cap and value stocks extended their year-to-date lead, with the Russell 2000 and S&P MidCap 400 hitting record highs. Bi
🚨Major catalysts this week — Share your game plan!
TOPShyon: My stock in focus today is $Albemarle(ALB)$ following news of a bipartisan U.S. bill to create a $2.5B Strategic Resilience Reserve for critical minerals. This signals a stronger policy push to secure lithium and reduce reliance on China, reinforcing the strategic importance of domestic producers like ALB. What stands out to me is the potential to establish a Western price structure for minerals. China-driven oversupply previously crushed lithium prices and forced Albemarle to pause U.S. expansion plans in 2024. A government-backed buyer could help stabilize pricing and support long-term investment confidence. From my perspective, this is not a short-term catalyst but a meaningful long-term positive for ALB. Policy-backed demand and national security alignment strengthen the investment thesis and could gradually shift Albemarle from a price taker to a strategic supplier in the global lithium market. @TigerStars @Tiger_comments @TigerClub
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TRIGGER TRADES
·
01-20

SPX Pullback Converges on 6800–6750 as Wave 4 Comes Into Focus

With the gap down, directional confluence locks in a move into $S&P 500(.SPX)$ 6800–6750.This area holds Weekly FVG support and could allow a final W4/W5 advance before the major reversal.Though failure below 6700 would invalidate the W4/W5 set up, while a weekly close < 6770 favoring the top.Both scenarios converge on 6800–6750 this week. SPX Count 1 | Diagonal ExtensionThe advance from November likely resolved as a clean 5-wave structure—not the ABC required for a terminal diagonal (3-3-3-3-3).This raises odds the diagonal from April continues.I am looking for a pullback to 6800–6750 to complete Wave 4.From there, the setup targets a final grind toward 7000–7050 for Wave 5.Invalidations: Below 7050 (probable)Below 7000 (hard) SPX Count 2
SPX Pullback Converges on 6800–6750 as Wave 4 Comes Into Focus
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6.15K
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過路人
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01-16
$MEITUAN-W(03690)$ 今次以平價100蚊接左1500股,正所謂:是福不是禍,是禍躲不過。其實唔揸正股又真係好難賺大錢既[胜利]  
03690
01-16 19:14
HKMEITUAN-W
SidePrice | FilledRealized P&L
Buy
Open
100.00
1,500
-19.25%
Holding
MEITUAN-W
$MEITUAN-W(03690)$ 今次以平價100蚊接左1500股,正所謂:是福不是禍,是禍躲不過。其實唔揸正股又真係好難賺大錢既[胜利]
TOP消防源: Sell again call haha
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7.64K
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Wealth Wizard
·
01-17
$GLXY 20260116 35.0 CALL$ Huge trading volume and expanding assets under management, highlighting institutional crypto demand. Its Helios AI/data-center buildout has doubled approved power capacity, tapping booming AI infrastructure markets. A recent $460M strategic investment strengthens its balance sheet for expansion.  
GLXY CALL
01-17 00:28
US20260116 35.0
SidePrice | FilledRealized P&L
Sell
Close
0.16
2Lot(s)
-97.64%
Closed
Galaxy Digital Holdings Ltd.
$GLXY 20260116 35.0 CALL$ Huge trading volume and expanding assets under management, highlighting institutional crypto demand. Its Helios AI/data-c...
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31.69K
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Shyon
·
01-18
$Direxion Daily Semiconductors Bull 3x Shares(SOXL)$ I continue to accumulate SOXL using a dollar-cost averaging (DCA) approach because it aligns with how I view long-term semiconductor growth rather than short-term price movements. SOXL is inherently volatile due to its leveraged structure, and trying to time perfect entry points is, in my experience, more luck than skill. By spreading my entries over time, I stay invested in the structural upside of the semiconductor cycle without letting short-term noise dictate my decisions. Another key reason is my conviction in the long-term demand drivers behind semiconductors. AI, data centers, high-performance computing, and advanced manufacturing are not temporary trends—they are becoming core infra
SOXL
01-17 02:34
USDirexion Daily Semiconductors Bull 3x Shares
SidePriceRealized P&L
Buy
Open
60.61+10.30%
Holding
Direxion Daily Semiconductors Bull 3x Shares
$Direxion Daily Semiconductors Bull 3x Shares(SOXL)$ I continue to accumulate SOXL using a dollar-cost averaging (DCA) approach because it aligns w...
TOPDonnaMay: Solid DCA strategy on SOXL! Long-term semis growth is unstoppable. Keep stacking![强]
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10.83K
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JordenTan
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01-19
$STI ETF(ES3.SI)$ Stacking dividends and consolidating portfolio! We in for a rough 2026!
ES3.SI
01-19 15:32
SISTI ETF
SidePrice | FilledRealized P&L
Buy
Open
4.91
386
+2.15%
Holding
STI ETF
$STI ETF(ES3.SI)$ Stacking dividends and consolidating portfolio! We in for a rough 2026!
TOPAgathaHume: Dividend stacking smart for rough times![财迷]
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1.72K
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Trend_Radar
·
01-19

AXP Climbs 2% on Institutional Buying, Eyes $370

$American Express(AXP)$ AXP Climbs +2.08%: Bouncing from Support, Eyes $370 Amid Strong Institutional FlowLatest Close Data: AXP closed at $364.79 on 2026-01-18, up +2.08% (+$7.42). The stock is now about 5.86% below its 52-week high of $387.49.Core Market Drivers: The positive move appears driven by strong net capital inflows ($30M net positive on the day), suggesting institutional accumulation. The broader financial sector remains sensitive to interest rate expectations and consumer spending trends.Technical Analysis: Volume was slightly below average (Volume Ratio: 0.89), indicating the rally lacked explosive retail participation. However, the RSI(6) jumped from 25.0 to 44.8, signaling a strong rebound from oversold conditions. MACD remains nega
AXP Climbs 2% on Institutional Buying, Eyes $370
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4.05K
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Tiger_Earnings
·
01-19

[Stock Prediction] How will NFLX close on Wed, Jan 21, following their earnings?

$Netflix(NFLX)$ will post its Q4 FY2025 results after market close on Tue, Jan 20, 2026. Wall Street is watching one thing: can Netflix keep the Q3 momentum going—especially as the story shifts from “subscriber adds” to monetization (pricing + ads) and engagement?Earnings Highlights1) Ads take center stage:Consensus expects ad revenue around $1.08B this quarter. What matters most is management commentary on ad-tier adoption + monetization (ad load, demand, pricing power) — because ads are now a key pillar of the “next chapter” Netflix narrative.2) Margins & free cash flow = “quality of earnings”:Street expectations point to stronger profitability: revenue $11.97B (+16.8% YoY), net income $2.39B (+27.7% YoY), EPS $0.55 (+29.4% YoY). If operatin
[Stock Prediction] How will NFLX close on Wed, Jan 21, following their earnings?
TOPicycrystal: I predict the closing price around $91.20 [Thinking] [Thinking] [Thinking] I am cautiously bullish on Netflix for the long term, but anticipate potential short-term volatility. The company's strategic shift towards profitability, margin expansion, and a diverse revenue model (ad-supported tiers, password sharing crackdown) positions it strongly against competitors. The massive global scale and consistent investment in original content provide a competitive moat.
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