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1.05K
General
RocketBull
·
01-20
🚨🚨🚨Today, January 20, 2026, the global financial markets are experiencing significant volatility. The primary driver is a "risk-off" sentiment triggered by escalating trade tensions between the United States and Europe, specifically regarding President Trump’s recent tariff threats linked to Greenland. Crypto Market Update The cryptocurrency market has followed the broader trend of risk-aversion, with prices pulling back from last week's highs.  * Bitcoin (BTC): Currently trading around $91,000, down roughly 1.5% in the last 24 hours. It had previously neared $98,000 on January 14. Support is now being watched closely at the $90,000 level.  * Ethereum (ETH): Trading near $3,117, down approximately 2.5%.  * Market Sentiment: Over $875 million in leveraged long positions have
🚨🚨🚨Today, January 20, 2026, the global financial markets are experiencing significant volatility. The primary driver is a "risk-off" sentiment trig...
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2.15K
General
Shyon
·
01-21
From my perspective, today’s sell-off shows how deceptive headline gains can be. The S&P 500 $S&P 500(.SPX)$ may be up since Trump returned, but the path has been volatile, with tariffs and policy uncertainty once again pressuring mega-cap tech and risk sentiment. In a Trump midterm election year, I’m not rushing to add risk. I’m staying selective with quality exposure while leaning more on hedges like gold $SPDR Gold Shares(GLD)$ —not because I’m bearish, but because inflation risks are being delayed and policy swings are intens
From my perspective, today’s sell-off shows how deceptive headline gains can be. The S&P 500 $S&P 500(.SPX)$ may be up since Trump returned, but th...
TOP1PC: Nice Sharing 😁 🌮😁 @JC888 @Barcode @DiAngel @Shernice軒嬣 2000 @Aqa @koolgal
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1.18K
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BTS
·
01-21
$Keppel DC Reit(AJBU.SI)$  $MAPLETREE INDUSTRIAL TRUST(ME8U.SI)$  $Frasers Cpt Tr(J69U.SI)$   Entering 2026, the Singapore real estate market has shifted toward strategic investment, with peaking home sales, falling interest rates, robust project launches, and pent-up demand expected to sustain momentum REITs are a smart trade, with focus on data centres benefiting from AI and cloud growth; logistics & industrials with stable occupancy; office & commercial at discounts with rental growth; and retail thriving on rent reversions and traffic Data centre REITs like Keppel DC REIT (AJBU) and Mapletree Ind Tr (ME8U) could

Singapore Home Sales Hit a Four-Year High: REITs Are Smart Trade?

@Tiger_SG
In 2025, total new private home sales (excluding ECs) reached 10,821 units, up 67.3% year-on-year from 6,469 units in 2024 — the highest level since 2021.At the same time, residential prices continued to edge higher. For the full year, prices rose by approximately 3.4% — not an aggressive surge, but clearly maintaining an upward trend.New home transactions surged, but the more tradable opportunity could be in REITs.For investors: the opportunity is trading REITs?Strong home sales do not mean investors need to buy physical property.For stock market participants, S-REITs offer a more liquid and flexible way to express a view on property fundamentals while trading interest-rate expectations and cash-flow re-rating.The key takeaway from the housing rebound is not price momentum, but: demand re
Singapore Home Sales Hit a Four-Year High: REITs Are Smart Trade?
$Keppel DC Reit(AJBU.SI)$ $MAPLETREE INDUSTRIAL TRUST(ME8U.SI)$ $Frasers Cpt Tr(J69U.SI)$ Entering 2026, the Singapore real estate market has shift...
TOPMaudNelly: Spot on! S-REITs are a savvy play with AI boom. Keppel and Mapletree solid picks.[看涨]
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Barcode
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01-21

🚀🔬📡 POET $POET: Shenzhen Validation, Call-Flow Pressure, and the 2026 Productisation Reckoning 📈⚡🏆

$POET Technologies Inc(POET)$   $Marvell Technology(MRVL)$  $NVIDIA(NVDA)$  🗓️ 20Jan26 ET 🇺🇸 | 21Jan26 NZT 🇳🇿 ⚡ I’m watching $POET move like a stock transitioning from story to supply chain. $POET is ripping to $8.97, up +8.01%, on heavy volume after its Teralight product won a Product Innovation Award at China’s Infostone ICCSZ Awards in Shenzhen. Dr. Mo Jinyu, SVP of Global Product Development, was also honoured with a Technology Innovation Award. I’m not treating this as marketing noise. Shenzhen is the heartland of global transceiver manufacturing, the
🚀🔬📡 POET $POET: Shenzhen Validation, Call-Flow Pressure, and the 2026 Productisation Reckoning 📈⚡🏆
TOPTui Jude: I read your post as a clean structure story rather than hype. The options flow confirms positioning intent, and the award removes a macro execution question. Cross-asset style setups like this often hinge on support holding while momentum builds. Similar dynamics showed up in $Broadcom(AVGO)$ during prior node shifts.
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1.46K
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nerdbull1669
·
01-21

Watch Abbott Earnings Amidst Selloff -> Diversification Cuts Both Ways Lesson

We saw how “Sell America” went into full swing in Tuesday (20 Jan) trading session, major indices like DJIA lost 870 points, S&P 500 drops 2% for worst day since October on Trump tariff threat over Greenland. With the Q4 earnings season coming for most major names, I think we can look at some of the sector which seems to be affected the least, one of them is Healthcare. One of names we can look at is $Abbott Laboratories(ABT)$ upcoming Fiscal Q4 2025 earnings which is estimated to be on Thursday, January 22, 2026 (Before Market Open). Earnings Release Details Consensus EPS Estimate: $1.50 (implying ~11.9% year-over-year growth) Consensus Revenue Estimate: $11.79 Billion (implying ~7.5% year-over-year growth) Based on the Fiscal Q3 2025 report r
Watch Abbott Earnings Amidst Selloff -> Diversification Cuts Both Ways Lesson
TOPNeexio: I doubt ABT will bounce back if earnings are flat. Hold off and buy around $118 instead.[看跌]
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1.86K
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WeChats
·
01-21
NETFLIX JUST DROPPED A MASSIVE BOMB! 💣🍿 ​Netflix stock is tumbling (down over 4%) after hours, but the numbers aren’t even the real story. The company just announced a game-changing move that has Wall Street freaking out. 😱 ​Here is the ELI5 breakdown of what is happening: ​The Good News: They actually made more money than expected last quarter. People are still subscribing like crazy (over 325 million users!). ✅ ​The "Meh" News: Their forecast for the next few months was a little weak. Wall Street hates uncertainty. 📉 ​The HUGE News: Netflix said, "We are stopping stock buybacks." Usually, companies buy their own stock to keep the price up. Why did they stop? ​The Reason: They are hoarding cash to buy Warner Bros. Discovery (WBD) in an ALL-CASH deal. 🤯 ​Think of it like this: Netflix is l
NETFLIX JUST DROPPED A MASSIVE BOMB! 💣🍿 Netflix stock is tumbling (down over 4%) after hours, but the numbers aren’t even the real story. The compa...
TOP1PC: Nice Sharing 😊 .... As long as I can my DC movies 🎥, they can fight it out [Chuckle] @JC888 @Barcode @Aqa @DiAngel @koolgal @Shyon @Shernice軒嬣 2000
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860
General
nerdbull1669
·
01-21

Watch GE Aerospace (GE) LEAP Engine Deliveries and Free Cash Flow (FCF) Conversion

$GE Aerospace(GE)$ is scheduled to report its fiscal fourth-quarter 2025 earnings on Thursday, January 22, 2026, before the market opens. Since the 2024 spin-offs of GE Vernova and GE HealthCare, the company is now a "pure-play" aviation powerhouse. This Q4 report is particularly significant as it will finalize their first full fiscal year as a standalone aerospace entity and set the tone for 2026. Earnings Estimates & Consensus Consensus EPS: ~$1.40 – $1.42 (vs. $1.32 in Q4 2024). Revenue Estimate: ~$11.2 billion – $11.3 billion (representing ~13% YoY growth). FY 2025 Guidance: Management previously tightened guidance to an EPS range of $6.00 – $6.20. GE Aerospace's fiscal Q3 2025 earnings, reported on October 21, 2025, were widely characterize
Watch GE Aerospace (GE) LEAP Engine Deliveries and Free Cash Flow (FCF) Conversion
TOPnizzmo: Yes, GE can handle deliveries and drive buying pressure higher.[看涨]
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749
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orsiri
·
01-21

From Hot Trade to Hard Wiring

When Bitcoin Stops Behaving Like a Trade and Starts Acting Like Infrastructure This Is Not a Price Call, It’s a Plumbing Inspection Asking where Bitcoin trades next quarter is the wrong question—possibly even a boring one. The more relevant question is how it is now being used. BlackRock’s Bitcoin ETF has quietly crossed a threshold from speculative access point to something closer to financial infrastructure. An asset once explained with memes is now explained with risk committees, which may be the clearest sign of maturation yet. Bitcoin’s wiring is now being installed into mainstream portfolios IBIT is no longer behaving like a vehicle for excitement. It is behaving like a component. Components are not bought for thrills; they are installed, monitored, and only discussed when they fail.
From Hot Trade to Hard Wiring
TOPGloria112: Spot on! IBIT's infrastructure role is game-changing. Bullish long-term.[看涨]
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2.63K
General
xc__
·
01-21

🚨 Netflix's Epic Slump: Time to Scoop Up Shares or Run for the Hills? 📉💥

$Netflix(NFLX)$ Netflix just dropped a bombshell with their latest earnings, sending shares tumbling over 4% in after-hours trading. But hold up—while the guidance for early 2026 looks a tad shaky, this could be the dip savvy investors dream about. Let's dive deep into the drama, crunch the numbers, and figure out if you should buy in or bail out. 🔥 First off, the wins are massive. Netflix smashed records with a whopping 325 million paid subscribers worldwide— that's growth on steroids! 😎 Their ad revenue exploded, hitting over $1.5 billion in 2025 and set to double to around $3 billion this year. Revenue for the last quarter? A solid $12.05 billion, beating expectations and jumping 17.6% year-over-year. Earnings per share clocked in at $0.56, edg
🚨 Netflix's Epic Slump: Time to Scoop Up Shares or Run for the Hills? 📉💥
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132
General
Trend_Radar
·
01-21

$RAY +34.5% Surge Above $5 Faces Pullback Risk

$Raytech Holding Limited(RAY)$ RAY Soared +34.51%: High Volume Breakout Tests $5, Momentum OverboughtLatest Close DataClosed at $4.95 (USD) on 2026-01-20, surging +34.51% from the previous close of $3.68. The stock is currently trading significantly below its 52-week high of $58.88.Core Market DriversSpecific news catalysts for the day's surge were not provided in the data. The move appears driven by strong technical buying pressure, as evidenced by high volume and positive capital flow. The company's fundamentals show a low P/E and P/B ratio, which may have attracted value-oriented interest.Technical AnalysisThe rally was confirmed by massive volume (389.7K shares, Volume Ratio: 3.63) and overwhelmingly positive 1-day capital flow (Net Inflow: $34
$RAY +34.5% Surge Above $5 Faces Pullback Risk
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300
General
Trend_Radar
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01-21

$TRUE +4.7% Bounce Break $2.41 Could Target $2.65

$TrueCar(TRUE)$ TRUE Jumps +4.74%: Bouncing from Support, Eyes $2.41 ResistanceLatest Close Data: Closed at $2.21 (ET), up +4.74% from yesterday. The stock is trading ~42% below its 52-week high of $3.83.Core Market Drivers: The automotive marketplace platform saw positive net capital inflow today, suggesting some buying interest. However, the broader environment for online auto sales remains competitive, and the company continues to report negative earnings.Technical Analysis: Volume of 1.2M shares (Volume Ratio 1.53) supported the move. The RSI (6) jumped to 56.16, indicating short-term momentum is strengthening and moving out of oversold territory. The MACD histogram remains negative at -0.027, but the DIF line is attempting to turn up, hinting
$TRUE +4.7% Bounce Break $2.41 Could Target $2.65
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1.72K
Selection
Option_Movers
·
01-21

Option Movers | Intel Shows Highest Bullish Sentiment; VIX's Volume Surges 204%

Market OverviewAll ​three major Wall Street indexes ended Tuesday (Jan. 20) with their biggest one-day drops in three months, in a broad selloff triggered by concerns ‌that fresh tariff threats from President Donald Trump against Europe could signal renewed market volatility.Regarding the options market, a total volume of 58,281,598 contracts was traded, down 17% from the previous trading day.Top 10 Option VolumesTop 10: $VIX(VIX)$, $NVDA(NVDA)$, $TSLA(TSLA)$, $AAPL(AAPL)$, $NFLX(NFLX)$, $INTC(INTC)$,
Option Movers | Intel Shows Highest Bullish Sentiment; VIX's Volume Surges 204%
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479
General
WeChats
·
01-21
The Japan Butterfly Effect: Why a Snap Election is Crushing Tech Stocks & What to Do Until Feb 6 ​The market didn’t just wake up on the wrong side of the bed today—it woke up to a shockwave coming straight from Tokyo. ​If you’re wondering why your tech portfolio is bleeding red, don’t look at Nvidia’s earnings or US macro data first. Look at Japan. The sudden dissolution of the Japanese parliament and the announcement of a snap election on February 6th has triggered a chain reaction in the bond market. ​Here is the breakdown of why a political move in Asia is forcing a sell-off on Wall Street, and why the next few weeks might be a "no-fly zone" for aggressive bulls. ​1️⃣ The "Vote-Buying" Narrative Spikes Yields ​Politics 101: Before an election, governments like to promise money. The
The Japan Butterfly Effect: Why a Snap Election is Crushing Tech Stocks & What to Do Until Feb 6 The market didn’t just wake up on the wrong side o...
TOPTracccy: Spot on about yields! Market's a minefield now.[看跌]
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1.08K
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nerdbull1669
·
01-21

Can Intel (INTC) Earnings Show Success Moving From "Survival" to "Execution"

$Intel(INTC)$ is scheduled to report its fiscal Q4 2025 earnings on Thursday, January 22, 2026, after the market close. Following a volatile but transformative 2025, Intel is at a pivot point. The stock has seen a massive "turnaround" rally over the last 12 months, fueled by federal funding and strategic shifts under new leadership. However, the Q4 report will be the "proof of concept" for its ambitious foundry roadmap. Financial Estimates Intel’s fiscal Q3 2025 earnings, reported in October 2025, were widely viewed as a "watershed moment" for the company. After years of struggling with market share losses and manufacturing delays, the results signaled that the "Turnaround" was finally taking hold. Q3 2025 Financial Summary Intel delivered a massi
Can Intel (INTC) Earnings Show Success Moving From "Survival" to "Execution"
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775
General
WeChats
·
01-21
The "Ice Cold" War: Why the US Wants Greenland and Which Stocks Win 🇺🇸🇬🇱 You might have seen the headlines about the US wanting to "buy" Greenland. It sounds like a meme, or a real estate joke, but let me tell you: smart money is taking this dead seriously. This isn't about acquiring new territory for vacation homes. This is about the single most critical geopolitical chessboard of the next decade. We are talking about the shortest missile path from Russia, the future of global shipping, and the only viable alternative to China’s rare earth dominance. For investors, the battle for Greenland isn’t just politics—it’s a roadmap for sector rotation. Here is why this frozen island is heating up the market. 1️⃣ The Ultimate Shield: North America’s "Front Line" First, look at a polar projection m
The "Ice Cold" War: Why the US Wants Greenland and Which Stocks Win 🇺🇸🇬🇱 You might have seen the headlines about the US wanting to "buy" Greenland. I...
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707
General
Pinkspider
·
01-21
$TSLA continues to sell off with sequentially increasing volume, first daily close below 2025 Uptrend Support, negative CVD, and near term lower low printed. Our caution on Q1 2026 has played out as anticipated. Price and volume dynamics continue to suggest TSLA has been in Wyckoff Distribution since October 2025, as every higher high saw diminishing volume and bearish divergence in CVD. This is why we closed out 100% of our TSLA calls in December, mostly from $450+ Breaking 2025 uptrend support can accelerate downside risk toward $400, $390, and the mid $300s. Q4 2025 Earnings will be the catalyst that determines direction. We are slowly accumulating shares on the way down, and being very patient with new calls. Selling off into earnings can set up for a potential bounce as the “bad news”
$TSLA continues to sell off with sequentially increasing volume, first daily close below 2025 Uptrend Support, negative CVD, and near term lower lo...
TOPquixzi: Accumulating shares too, mate. Patience pays off post-earnings![看涨]
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637
General
Pinkspider
·
01-21

TESLA DOWNWARD PRINT

$TSLA continues to sell off with sequentially increasing volume, first daily close below 2025 Uptrend Support, negative CVD, and near term lower low printed. Our caution on Q1 2026 has played out as anticipated. Price and volume dynamics continue to suggest TSLA has been in Wyckoff Distribution since October 2025, as every higher high saw diminishing volume and bearish divergence in CVD. This is why we closed out 100% of our TSLA calls in December, mostly from $450+ Breaking 2025 uptrend support can accelerate downside risk toward $400, $390, and the mid $300s. Q4 2025 Earnings will be the catalyst that determines direction. We are slowly accumulating shares on the way down, and being very patient with new calls. Selling off into earnings can set up for a potential bounce as the “bad news”
TESLA DOWNWARD PRINT
TOPsnoozi: Patience pays, mate. Buying dips too![看跌]
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3.94K
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Barcode
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01-21

📉⚡ $VIX explodes +26% while $SPX sits near all-time highs, this divergence matters ⚡📉

$Cboe Volatility Index(VIX)$ $S&P 500(.SPX)$  $Pan American Silver(PAAS)$  🗓️ 20Jan26 ET 🇺🇸 | 21Jan26 NZT 🇳🇿 This is one of those moments where volatility shocks have historically rewarded patience rather than panic. Volatility surged violently while price structure remained largely intact. $VIX jumped +26% in a single session as the $SPX held within roughly -3% of its all-time high. That combination is statistically rare and structurally important. In each of the last ten comparable episodes, the $SPX was higher two weeks later. Volatility expansion at the highs is not noise. It is information. 🧭 A rare volatility
📉⚡ $VIX explodes +26% while $SPX sits near all-time highs, this divergence matters ⚡📉
TOPCool Cat Winston: I like how you framed the volatility shock as positioning, not panic. $Cboe Volatility Index(VIX)$ expanding near highs while $Wal-Mart(WMT)$ prints strength fits a late-cycle regime. Liquidity pockets are selective, structure still matters more than headlines here.
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795
General
Shyon
·
01-21
$United Airlines(UAL)$ is my stock in focus today. This earnings report reinforces my view that U.S. network carriers with strong premium and corporate exposure are better positioned in the current cycle. United beat Q4 expectations and guided Q1 profits above consensus, showing higher-end travel demand remains resilient. What stands out is revenue quality. Premium revenue rose 9% and loyalty revenue increased 10%, confirming profits are increasingly driven by brand-loyal and corporate travelers. This highlights the widening gap between full-service carriers and low-cost airlines struggling with price-sensitive demand. Despite a $250 million earnings hit, United
$United Airlines(UAL)$ is my stock in focus today. This earnings report reinforces my view that U.S. network carriers with strong premium and corpo...
TOPNancyZhang: Spot on! United's premium focus is a winner.[开心]
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