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OptionsAura
·
01-30

Gold and silver fluctuate violently, how to seize the fluctuation and make money?

During the trading session in New York on January 29, the precious metal market suddenly "changed its face". Gold plunged rapidly from around US $5,530 per ounce, falling as low as US $5,105.83 at one point, with the largest intraday drop reaching 5.7%, and the single-day amplitude exceeding US $400; Silver's volatility is even more exaggerated, falling straight back from its all-time high of $121.67 to $106.80, with the largest drop of 8.5%. But dramatically, gold and silver then went out of the deep V rebound almost at the same time. In the end, gold only closed down slightly by 0.69%, and silver only closed down by 0.64%. This is more like a sudden brake dominated by sentiment and liquidity than a signal of a real trend reversal. From the perspective of market logic, the core reason for
Gold and silver fluctuate violently, how to seize the fluctuation and make money?
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Trend_Radar
·
01-30

$JMIA Bounces Hard Off Support, Eyes $14.15 Break

$Jumia Technologies AG(JMIA)$ Jumia Technologies AG (JMIA) Soared +6.90%: African E-Commerce Play Bounces Off Support, Eyes $14.15 Latest Close Data Closed at $13.78 on 2026-01-29, up +6.90% (+$0.89). The stock tested the recent high of $14.15 during the session and is just 6.4% below its 52-week high of $14.72. Core Market Drivers The surge was primarily driven by a strong technical bounce from its support level. High-volume buying indicates renewed institutional interest, potentially positioning ahead of future growth initiatives in its core African markets. Technical Analysis Volume surged to 7.77M shares (Volume Ratio: 3.91), confirming the breakout move. The MACD histogram improved significantly to -0.079 (from -0.233), signaling weakening be
$JMIA Bounces Hard Off Support, Eyes $14.15 Break
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TRIGGER TRADES
·
01-30

SPX at the Edge: 7000 Hit, Macro Top in Play

$S&P 500(.SPX)$ has entered top-watch territory. After hitting the 7000 target, price retraced 50%+ of W5 — raising the odds that W5 of Wave 5 is complete and a macro top is in. Confirmation: A break below the 2/4 trendline (~6850). If that cracks, 7002 becomes the ceiling and 6500 comes into play over the next few weeks — potentially kicking off the ~20% correction into 2026. Short-term Invalidation: 7002+ If price maintains momentum and crosses 7002, it would favor that SPX is still unfolding a sub-wave 3, with a Wave 4 pullback likely to fw back toward today’s low. If that dip is bought, it would preserve the rising wedge structure and allow for a final W5 of Wave 5 advance. Invalidation: A break below today’s low.
SPX at the Edge: 7000 Hit, Macro Top in Play
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1.86K
Selection
Daily_Discussion
·
01-30

🔍 The Low-Risk, High-Reward Hunt: Share Your Smartest Bet!

Another week, another lesson. 📖Amid all the chaos, what trade taught you the most?Drop your biggest takeaway and help the community grow! 💡Let’s break it down. These stories drove the markets.More NewsTiger Community TOP10 Tickers🎯 S&P500 Most Active Today 👉@TigerObserverWeekly 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!📊 Friday — Earnings FocusInterpret key corporate earnings reports to grasp performance-driven investment opportunities.📌【Today’s Question】Share in the comments section what your best trade of th
🔍 The Low-Risk, High-Reward Hunt: Share Your Smartest Bet!
TOPAliceSam: [惊讶]The biggest intraday declines of gold and silver exceeded 5% and 8% respectively. In addition, the cryptocurrency market also plummeted across the board. $Bitcoin (BTC.USD.HKCC) $plummeted by more than 5%
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JC888
·
01-30

Buy NVDA, GOOG, MSFT if US Shutdown again?

Last week’s batch of data / reports, points to a US economy heading into 27–28 January FOMC with solid growth, a still-tight labour market, and inflation stuck just above target rather than re-accelerating. Below are the details. Jobless Claims. Weekly Claims: For week ending 17 Jan 2026, weekly claims rose by 1,000 to 200,000 versus consensus estimated a rise to 209,000. The 4-week moving average dropped to 201,500, its lowest level since early 2024, indicating that layoffs are not yet a primary driver of economic concern. (see below) Continuing Claims: For the week ending 10 Jan 2026, continuing claims fell by -26,000 to 1.849 million, remaining below the average seen in H2 2025. (see above) The decrease suggests that while hiring has been slow, those currently unemployed are finding it
Buy NVDA, GOOG, MSFT if US Shutdown again?
TOPDonnaMay: AI stocks like GOOG are solid bets if shutdown hits; tech resilience shines.[看涨]
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1.13K
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xc__
·
01-29

UNH's 20% Plunge After Congressman Exit: Congressional Trade Signal or Sell-Off Trap? Dip Buy at $400 or More Pain Ahead?

UnitedHealth Group ( $UnitedHealth(UNH)$ ) cratered nearly 20% yesterday after guiding to its first annual revenue decline since 1989, with 2026 sales expected down ~2% and U.S. membership falling by over 3 million due to Medicare reimbursement pressure and rising medical costs. Congressman Kevin Hern disclosed a complete exit from his roughly $500,000 position ("sell to close"), triggering sharp sell-offs across healthcare stocks like Elevance Health and Humana (down 5-8%). This raises a key question: Should retail investors follow congressional trades? And with UNH now trading near $400 after the rout, is this a dip-buy opportunity or the start of deeper pain? Bull Case Congressional trade signal? Not reliable. Hern's position was small ($500K) a
UNH's 20% Plunge After Congressman Exit: Congressional Trade Signal or Sell-Off Trap? Dip Buy at $400 or More Pain Ahead?
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1.60K
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Shyon
·
01-29
This week’s SGX earnings felt like a real stress test for S-REIT investors. $OUEREIT(TS0U.SI)$ stood out as the dark horse—FY DPU up 8.3% with a strong 2H rebound shows the deleveraging strategy is working. An 18% cut in interest expenses and asset pruning is exactly what I want to see in this rate environment. On the other hand, the Mapletree duo $Mapletree Ind Tr(ME8U.SI)$ $Mapletree Log Tr(M44U.SI)$ tested my patience. DPU declines at MLT and MIT weren’t operational—occupancy is still solid—but driven by forex pressure and high rates. I’m not shaken on fund
This week’s SGX earnings felt like a real stress test for S-REIT investors. $OUEREIT(TS0U.SI)$ stood out as the dark horse—FY DPU up 8.3% with a st...
TOPsnixy: OUEREIT's strategy rocks! MLT and MIT needs time to bounce back. Fundamentals still strong[抱拳]
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Elliottwave_Forecast
·
01-29

GBPUSD Extends Impulsive Move Higher; Elliott Wave Targets 1.39 and Beyond

GBPUSD continues to demonstrate a constructive bullish sequence from the November 5, 2026 low, favoring further upside potential. The rally from that low is unfolding in the form of an impulse Elliott Wave structure, which provides clarity on the ongoing trend. From November 5, wave ((i)) concluded at 1.3568, followed by a corrective pullback in wave ((ii)) that ended at 1.334. The internal subdivision of wave ((ii)) developed as a zigzag formation, with wave (a) finishing at 1.339, wave (b) rallying to 1.3495, and wave (c) declining to 1.334. This sequence completed wave ((ii)) at a higher degree and set the stage for renewed strength. The pair has since resumed its advance in wave ((iii)), which is unfolding as another impulse of lesser degree. From the termination of wave ((ii)), wave (
GBPUSD Extends Impulsive Move Higher; Elliott Wave Targets 1.39 and Beyond
TOPcatandbull: Bullish on GBPUSD! Elliott wave looks strong[看涨]
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Lanceljx
·
01-29
Can Meta’s Rally Last? Bullish factors supporting continued strength: Meta’s fourth-quarter results exceeded expectations on both revenue and earnings, driven by robust advertising performance and stronger guidance for the first quarter of 2026. Analysts have responded with raised price targets, and the stock has reclaimed key technical levels following the earnings surge.  Option markets imply elevated volatility but still show room for upside continuation over the coming week, indicating that traders are positioning for further gains.  Capex increases, while large, are being underwritten by strong ad cash flows, differentiating Meta from peers where high investment is a bigger near-term drag.  Risks that could limit the rally: Elevated capital expenditure for 2026 (up to U
Can Meta’s Rally Last? Bullish factors supporting continued strength: Meta’s fourth-quarter results exceeded expectations on both revenue and earni...
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Lanceljx
·
01-29
$Apple(AAPL)$   1. Can strong iPhone 17 demand meaningfully offset margin pressure from higher memory costs? Yes, under current consensus views it can in the near term, but with nuances. JPMorgan and other analysts are explicitly betting that robust iPhone 17 demand will power Apple’s fiscal Q1 2026 results and help absorb cost headwinds. The bank raised its price target to USD 315 and maintained an Overweight rating on the back of stronger-than-expected iPhone 17 unit strength and anticipated lower operating expenses than previously guided. These factors, in their view, can help cushion the impact from rising memory costs on gross margins. JPMorgan expects that memory price increases will be limited in their net margin effect because Ap
$Apple(AAPL)$ 1. Can strong iPhone 17 demand meaningfully offset margin pressure from higher memory costs? Yes, under current consensus views it ca...
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Lanceljx
·
01-29
Can Gold Extend Gains Despite a Hawkish-Leaning Fed? The recent Federal Reserve decision to hold interest rates steady with a hawkish tilt has not dampened gold’s advance. Markets interpreted Powell’s emphasis on data dependence and caution about reading too much into a single asset’s move as signalling that policy is not on an imminent path to tighter monetary conditions. This has left real yields subdued and the US dollar under pressure — conditions that typically support gold’s appeal as a non-yielding safe haven.  Beyond monetary policy, multiple structural factors are powering the rally: Safe-haven demand remains robust amid geopolitical uncertainty and global economic risk aversion.  Central bank buying and retail interest are sustaining elevated demand.  Momentum rema
Can Gold Extend Gains Despite a Hawkish-Leaning Fed? The recent Federal Reserve decision to hold interest rates steady with a hawkish tilt has not ...
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247
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Pinkspider
·
01-29
$TSLA So during the earnings call, Elon basically had the gut to tell investors that we are dropping legendary products that are not doing much these days and we turn that capacity into something that supports our vision of AI-driven dynamic human decision-making via Optimus Humanoids..... Think about that for a while.... the shift in strategy is CLEAR.... the determination for another massive bet on the Robotics economy is CLEAR..... the urgency to start destroying established structures so as to rebuild from within is CLEAR.... From right here, this multi-year rounded bottom monthly chart now has a new meaning - it's not about when or where it takes off any more.... instead; it's about how HIGH we fly to honor the greatest entrepreneurial spirit of mankind, to celebrate the greatest inno
$TSLA So during the earnings call, Elon basically had the gut to tell investors that we are dropping legendary products that are not doing much the...
TOPHunterGame: Brilliant vision! Can't wait for Tesla to hit $1500.[看涨]
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810
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Pinkspider
·
01-29

TESLA NEW ROUTE

$TSLA So during the earnings call, Elon basically had the gut to tell investors that we are dropping legendary products that are not doing much these days and we turn that capacity into something that supports our vision of AI-driven dynamic human decision-making via Optimus Humanoids..... Think about that for a while.... the shift in strategy is CLEAR.... the determination for another massive bet on the Robotics economy is CLEAR..... the urgency to start destroying established structures so as to rebuild from within is CLEAR.... From right here, this multi-year rounded bottom monthly chart now has a new meaning - it's not about when or where it takes off any more.... instead; it's about how HIGH we fly to honor the greatest entrepreneurial spirit of mankind, to celebrate the greatest inno
TESLA NEW ROUTE
TOPbreezzi: Chuffed with Tesla's bold shift! $TSLA soaring to new heights![看涨]
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Mrzorro
·
01-29
Meta 4Q25 Review: Why The Stock Can Go Up With Higher Opex And Capex $Meta Platforms, Inc.(META)$   's Q4 report delivered a clean message: the top line re-accelerated on both ad volume and pricing, while management simultaneously raised the 2026 investment envelope—yet paired it with a stronger growth outlook and an explicit statement that 2026 operating income should exceed 2025, easing fears of an ROI collapse. Financial Snapshot Revenue: $59.893B (+24% YoY). Total costs & expenses: $35.148B (+40% YoY) , the cost curve is steep, reflecting AI talent + R&D + infrastructure load. Operating income: $24.745B, 41% operating margin. Net income: $22.768B, (+38% YoY)  Three Things to Watch 1. The "w
Meta 4Q25 Review: Why The Stock Can Go Up With Higher Opex And Capex $Meta Platforms, Inc.(META)$ 's Q4 report delivered a clean message: the top l...
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2.44K
Hot
Barcode
·
01-30
$SPDR Gold ETF(GLD)$ $iShares Silver Trust(SLV)$  $Gold - main 2604(GCmain)$  💥🟡📉 GOLD JUST BROKE MARKET STRUCTURE 📉🟡💥 Gold dumped ~8% in under 60 minutes. This was a forced-liquidation flush, stop cascade, and liquidity vacuum, not a slow macro shift. $GLD just rolled off a parabolic extension, signalling volatility expansion and short-term trend exhaustion. Reclaim support = V-recovery. Reject = momentum flips to distribution. This is a regime test. 📢 Don’t miss out! Like, Repost and Follow me for exclusive setups, cutting-edge trends, and insights that move markets 🚀📈 I’m obsessed with hunting down the next big movers and sharing strategi
$SPDR Gold ETF(GLD)$ $iShares Silver Trust(SLV)$ $Gold - main 2604(GCmain)$ 💥🟡📉 GOLD JUST BROKE MARKET STRUCTURE 📉🟡💥 Gold dumped ~8% in under 60 mi...
TOPCool Cat Winston: I like how your post frames this gold flush as a liquidity pocket event. Volatility expansion and positioning stress explain the speed. Watching structure, support, and flow in $SPDR Gold ETF(GLD)$ to judge whether this regime stabilises.
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Barcode
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01-30

📉🧠💻 Microsoft Shockwave Triggers SaaS Selloff, Quantum Unwind, AI Valuation Reset 💻🧠📉

$Microsoft(MSFT)$ $NVIDIA(NVDA)$  $Meta Platforms, Inc.(META)$  I’m documenting a rare multi-sector repricing where Microsoft’s worst day in five years cascaded into SaaS, long-duration growth, and quantum equities, signalling a regime shift in risk appetite, valuation tolerance, and AI capital narratives. NZT time, 30Jan26 🇳🇿 📉💻 Microsoft is down -12% on 29Jan26 ET 🇺🇸 | 30Jan26 NZT 🇳🇿 Microsoft’s fundamentals remain strong, yet price action reflects OpenAI concentration exposure, record AI CapEx intensity, Azure growth optics, and long-duration valuation compression rather than earnings impa
📉🧠💻 Microsoft Shockwave Triggers SaaS Selloff, Quantum Unwind, AI Valuation Reset 💻🧠📉
TOPQueengirlypops: 🔥 ok but your $Microsoft(MSFT)$ post actually goes hard, like volatility exploding, liquidity pockets getting tested, momentum flipping, gamma and Vanna shifting, cross asset flow spilling into SaaS and quantum, this feels like a full regime change moment not just earnings noise, the way you tied structure, resistance, macro, positioning, and sentiment together makes the whole AI narrative reset click, are we watching a valuation compression phase or the next momentum base forming, this is the kind of breakdown that makes Tiger posts addictive fr 🧃
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koolgal
·
01-30
🌟🌟🌟3 Keywords define this week's earnings: AI Capex Surge, Beat But Sold Off & Physical AI Narrative & Capex Spending Plan. Meta vs Microsoft - One fell, one rose. Why? Microsoft delivered great results but capex rose. The physical AI buildout is massive with data centers, chips. The payoff is there but long dated & the market is tired of waiting.  Investors wanted a victory lap but  they got more capex. Microsoft didn't stumble on fundamentals. It stumbled on expectations. Meta rose because it is able to link    its AI spending to efficiency & ROI.  Ads are re-accelerating. Margins are expanding. Guidance is confident without sounding reckless. Meta didn't just reported numbers.  It delivered reassurance. Investors rewarded that clarity.
🌟🌟🌟3 Keywords define this week's earnings: AI Capex Surge, Beat But Sold Off & Physical AI Narrative & Capex Spending Plan. Meta vs Microsoft - One...
TOPCareyDunlop: Meta's clarity on AI ROI is key Investors reward transparency over vague promises.[看涨]
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koolgal
·
01-30
🌟🌟🌟 $UnitedHealth(UNH)$ is the largest healthcare insurer in the US, a company with scale, data and reach that no competitor can replicate.  It dropped like a rock to the bottom of the ocean this week mainly because of news that the proposed rate of increase for Medicare Advantage by the government is only 0.09% instead of the expected 4%. I believe that this is a bargain hunting opportunity as UNH is oversold and undervalued. UNH also has Optum, the quiet powerhouse that touches the entire spectrum of healthcare : from pharmacy benefits, to clinics to data analytics.  Optum is the part that turns UNH from a defensive insurer to a diversified healthcare ecosystem. UNH is still a healthcare giant with deep cash flow, scale and an unmatche

【🎁有獎話題】UNH再次暴跌超20%,此前曾獲股神巴菲特建倉抄底,依家仲能上車咩?

@虎港通
小虎們, $聯合健康(UNH)$ 公佈了財報,其營收出現自1989年以來的首度下滑,導致投資信心明顯受挫![Cool] 此外,利空再疊加,有傳美國政府擬凍結明年私營Medicare計畫給付水準!消息一出美股醫藥保險股紛紛大跌, $聯合健康(UNH)$ 更大跌超20%![Put] 事實上,此前25年8月中旬 $聯合健康(UNH)$ 同樣暴跌,股價近乎腰斬,當時卻獲得了巴菲特首次建倉抄底,段永平抄作業![Thinking] 那麼這次UNH大跌和此前暴跌有何不同,現在是否還值得投資者上車呢?[YoYo] UNH此前一度暴跌超20% 當醫保政策利劍揮下,連行業巨頭也難逃營收首度下滑的命運。 北京時間1月27日(週二)美股早盤, $聯合健康(UNH)$ 一度暴跌近20%。隨後,保險業巨頭哈門那、西維斯健康等也紛紛大幅下跌。 直接導火索是前一日(1月26日)美國醫療保險和醫療補助服務中心(CMS)公佈的一份文件。 這份關於2027年聯邦醫保優勢計劃支付費率的初步方案顯示,支付率預計僅增長0.09%,遠低於市場預期的4%-6%。 對於聯合健康而言,這場暴跌的衝擊不僅是政策變化,公司自身發佈的業績指引也讓市場信心受挫。 公司在2026年的營收預期將超過4390億美元,但這與2025年的4476億美元相比,將下降約2%。 如果最終落地,這將是 $聯合健康(UNH)$ 自1989年
【🎁有獎話題】UNH再次暴跌超20%,此前曾獲股神巴菲特建倉抄底,依家仲能上車咩?
🌟🌟🌟 $UnitedHealth(UNH)$ is the largest healthcare insurer in the US, a company with scale, data and reach that no competitor can replicate. It drop...
TOPglowzi: Spot on! UNH's dip is a bargain buy. Fear equals opportunity here.[看涨]
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Barcode
·
01-30
$Southwest Airlines(LUV)$ $United Airlines(UAL)$  $Delta Air Lines(DAL)$  ✈️✈️🚀 Southwest $LUV erupts, earnings re-rating, liquidity rotation, breakout regime shift Southwest Airlines $LUV just launched to a fresh 3+ year high, ripping ~+15% after a Q4 earnings beat and a bullish FY2026 profit outlook that forces a valuation reset. This is not a headline spike. This is a structure break, a volatility ignition, and a momentum regime shift with flow confirmation. 📊 Adj. EPS: $0.58, beat 💰 Revenue: $7.44B, slight miss 📈 Net Income: $323M 📊 Revenue YoY: +7% ✈️ RPM: +4% YoY 🛫 ASM: +2% YoY 🎯 FY2026 EPS trajectory: $4+ Southwest’s transformation engine
$Southwest Airlines(LUV)$ $United Airlines(UAL)$ $Delta Air Lines(DAL)$ ✈️✈️🚀 Southwest $LUV erupts, earnings re-rating, liquidity rotation, breakout...
TOPCool Cat Winston: I like how your $Southwest Airlines(LUV)$ post frames the volatility and structure shift. The liquidity pocket above resistance looks real, and earnings flow feels regime changing. Reminds me of $Delta Air Lines(DAL)$ when positioning flipped and momentum sustained.
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Lanceljx
·
01-29
Gold’s long-term trend still looks constructive, driven by geopolitical risk, central-bank buying, and persistent policy uncertainty. These structural forces suggest higher price floors over time rather than a full trend reversal. Near term, however, the rally is stretched. After a parabolic move, consolidation or pullbacks from profit-taking and data surprises would be healthy. A hawkish-leaning but data-dependent Fed adds volatility, not a clear bearish signal. For strategy, horizon matters. Long-term holders can stay positioned and use pullbacks to rebalance. Short-term or leveraged traders may consider trimming into strength and re-entering on dips. Silver offers higher upside torque but also sharper swings due to its industrial exposure. Overall, I see gold moving into a high-level r
Gold’s long-term trend still looks constructive, driven by geopolitical risk, central-bank buying, and persistent policy uncertainty. These structu...
TOPMortimerDodd: Gold pullback healthy chance to add lah.[看涨]
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