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General
xc__
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01-30

🚨 Trump's Bold Fed Shake-Up: Warsh In – Markets Wobble, But Is This the Ultimate Buy Signal? 📉🔥

President Trump just dropped a bombshell by nominating Kevin Warsh as the next Federal Reserve Chair, set to replace Jerome Powell when his term wraps up in May. This 55-year-old conservative economist, who served as the youngest Fed Governor ever during the 2008 financial crisis, brings a hawkish vibe that's got Wall Street buzzing with mixed emotions. 🏦💼cnn.com Warsh isn't your typical central banker – he's slammed the Fed for dragging its feet on rate hikes back in 2022, accused them of losing credibility through over-the-top post-COVID stimulus, and warned that quantitative easing (QE) pumps up asset bubbles while widening inequality gaps. He pushes for a rules-based approach to policy, shrinking the Fed's massive balance sheet, and laser-focusing on price stability. 😎 But here's the t
🚨 Trump's Bold Fed Shake-Up: Warsh In – Markets Wobble, But Is This the Ultimate Buy Signal? 📉🔥
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Tiger_comments
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01-30

Mag 7 Earnings Scoreboard: Was Microsoft Crash Overreaction?

Four of the Mag 7 have reported earnings this week, and the divergence is getting very real. Meta surged +10% against the tape. Microsoft wiped out $357B in market cap, the 2nd-largest single-session value drop in stock market history. Tesla and Apple were underwhelming. Little price reaction. Let’s break down the scoreboard for these four mega-cap tech giants. 🏆 The Winners $Apple(AAPL)$: “Ecosystem Dominance at Scale” Revenue $143.8B, EPS $2.84 — a clean beat across the board. Why it’s on the winners list: Ultra-high user loyalty powered iPhone revenue +23%. Even more impressive, Greater China revenue flipped sharply higher to +38% YoY, crushing market concerns. A record 48.2% gross margin proves Apple’s unmatched ability to leverage its supply
Mag 7 Earnings Scoreboard: Was Microsoft Crash Overreaction?
TOPShyon: From my view, Microsoft’s $Microsoft(MSFT)$ drop looks like a valuation reset rather than a broken business. Azure is still growing at a very high level, but the market owned MSFT for acceleration, not deceleration. I’d be cautious but constructive — $400 feels like a reasonable first entry, though I’d scale in slowly rather than go all-in. Meta $Meta Platforms, Inc.(META)$ is the clearest winner for me. The +10% move is supported by real ad re-acceleration and visible AI-driven efficiency gains. I wouldn’t chase after a vertical rally, but on consolidation or pullbacks, this still looks like a stock you want to own. Apple $Apple(AAPL)$ delivered objectively strong results, yet the stock is flat because expectations were already high and no new growth narrative emerged. Tesla’s $Tesla Motors(TSLA)$ long-term AI & autonomy vision remains compelling, but with execution delays & mixed signals, it’s still more promise than proof for now. @Tiger_comments @TigerStars @TigerClub
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Kenny_Loh
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01-30

From Floor to Flight: Is Prime US REIT Ready for a Major Re-Rating?

Overview: Prime US REIT (SGX: OXMU) $Prime US ReitUSD(OXMU.SI)$ is a Singapore-listed real estate investment trust that provides investors with a "pure-play" exposure to high-quality Class A office real estate across key primary markets in the United States. Its portfolio currently features 13-14 freehold properties located in high-growth tech and business hubs such as Salt Lake City, Denver, Atlanta, and the San Francisco Bay Area. After a challenging period for the US office sector, Prime is currently positioned as a turnaround play. With a significant portion of its debt recently refinanced and a strategic shift to increase its distribution payout ratio (from 10% to 50%+), the REIT is attracting attention for its deep value—trading at a stee
From Floor to Flight: Is Prime US REIT Ready for a Major Re-Rating?
TOPNING667: Prime US REIT is undervalued and poised for a rebound. Bullish play![看涨]
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6.57K
General
nerdbull1669
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01-30

Gold Undergoing Std Tech Correction, How We Can Position With ETFs.

The recent 5% dip in gold prices has certainly caught investors' attention, especially coming off the heels of the massive rally we saw in late 2025. However, rather than signaling a "loss of appeal," most market analysts view this as a standard technical correction following an overextended run. In this article, we would like to discuss an analysis of why gold is "taking a breather" and how you can strategically position your portfolio for 2026. Why is Gold Dropping? (The Analysis) The 5% decline isn’t a collapse; it’s a "profit-taking" event. In January 2026, gold reached record highs (surpassing $5,300/oz), and when prices rise that fast, big institutional players sell a portion of their holdings to lock in gains. If you observed the profit taking range and buy sell volume in the below
Gold Undergoing Std Tech Correction, How We Can Position With ETFs.
TOPpsk: thanks for sharing. also think it is a correction. will buy the dip.
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3.48K
General
xc__
·
01-30

Peter Schiff's Dire Warning: Dollar Collapse & Gold Takeover – Crisis Worse Than 2008?

Peter Schiff's latest prediction is stark: the US dollar is on the brink of collapse, to be replaced by gold as the primary central bank reserve asset, leading to an economic crisis that will dwarf 2008. In his view, the "free ride" on global capital flows ends as deficits force painful adjustments through financial repression rather than growth. This aligns with his long-standing thesis: endless debt, currency debasement, and loss of reserve status. While Schiff has been early (and sometimes wrong) on timing, his warnings have merit given current pressures. Current Context (as of Dec 23, 2025) DXY hovers near 96.7, testing 15-year support after a sharp fall from overvalued peaks. Gold at $4,503 (50th record high this year), silver at $66 (all-time high). US debt ~$39T, with $4.2T maturing
Peter Schiff's Dire Warning: Dollar Collapse & Gold Takeover – Crisis Worse Than 2008?
TOPZhongRenChun: he's an idiot. but even a broken clock is correct twice a day.
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2.85K
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xc__
·
01-30

Stocks to Watch Today (January 30, 2026)

1. Key News & Movements S&P 500 and Nasdaq closed lower as Big Tech's soaring AI budgets triggered a flight to safety, with investors concerned about escalating capex without clear ROI. Apple ( $Apple(AAPL)$ ) bucked the trend with 16% sales surge on "staggering" iPhone demand – China sales rebounded sharply. Microsoft ( $Microsoft(MSFT)$ ) slumped 10%, losing $357 billion in market cap – its worst single-day drop since 2020 – on AI spending worries. Musk's SpaceX in merger talks with xAI ahead of planned IPO, source says – potential valuation synergies. OpenAI plans fourth-quarter IPO in race to beat Anthropic to market – AI race intensifies. Sandisk ( $SanD
Stocks to Watch Today (January 30, 2026)
TOPvibzee: I'm watching Apple and Sandisk for dips.[看涨]
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2.22K
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xc__
·
01-30

Crypto Bloodbath Alert: $770 Million Longs Liquidated in Just 30 Minutes – BTC's Breaking Point?

Crypto markets just witnessed a brutal liquidation cascade, with $770 million in long positions wiped out across major exchanges in under 30 minutes. Bitcoin plunged sharply from $86,000 to $82,681, triggering stop-losses and margin calls that amplified the drop. The TradingView chart captures the chaos: a steep red candle with high volume, breaking key support levels and flashing warning signs for leveraged traders. This wipeout stems from over-leveraged positions built during recent rebounds, combined with heightened volatility from Fed policy signals and tariff uncertainties. Longs were heavily concentrated at $85,000–$86,000 resistance, and once price cracked lower, cascading liquidations accelerated the fall. Binance and Bybit reported the bulk of the hits, with BTC perpetual futures
Crypto Bloodbath Alert: $770 Million Longs Liquidated in Just 30 Minutes – BTC's Breaking Point?
TOPwavyloo: Holding tight with stop-losses set and eyeing $80k buys.[看涨]
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xc__
·
01-30

Meta's Explosive +10% Surge: Crushing AI Monetization or Just a Flash in the Pan? 🚀💥

$Meta Platforms, Inc.(META)$ Meta Platforms just delivered a jaw-dropping +10% single-session rally, emerging as a standout performer while broader markets whipsawed and precious metals cooled off. This surge underscores Meta's impressive scale: FY2025 revenue soared to $200.97 billion, marking the first time crossing the $200 billion threshold with a robust +22% year-over-year increase. Q4 revenue accelerated +24% year-over-year, fueled by strong ad growth and AI-driven efficiencies. Despite heavy AI investments, Meta posted $60.5 billion in net income and maintained an enviable 41% operating margin — a testament to disciplined execution in a competitive landscape. 📈 When stacked against peers, Meta shines in consumer-facing AI monetization throu
Meta's Explosive +10% Surge: Crushing AI Monetization or Just a Flash in the Pan? 🚀💥
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1.63K
General
CayChan
·
01-30

Everything about SLV

$iShares Silver Trust(SLV)$  $Sprott Trust(PSLV)$  $XAG/USD(XAGUSD.FOREX)$   SLV: The Silver ETF at the Center of Volatility, Inflation, and Opportunity The iShares Silver Trust (SLV) is one of the most actively traded silver exchange-traded funds in the world. Designed to track the price of physical silver, SLV offers investors a liquid, accessible way to gain exposure to silver without handling bullion. Yet beneath its simple structure lies a complex intersection of macroeconomics, industrial demand, monetary policy, and market psychology. What Is
Everything about SLV
TOPIreneWells: SLV's wild swings are pure adrenaline for active traders![得意]
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2.53K
General
CayChan
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01-30

Gold and Silver Fluctuate Violently — How Do You Seize the Volatility and Make Money?

$iShares Silver Trust(SLV)$  $SPDR Gold ETF(GLD)$  $XAG/USD(XAGUSD.FOREX)$  $XAU/USD(XAUUSD.FOREX)$   The key question is not why gold and silver fluctuate violently—but how to position when they do. 1. Understand the Nature of the Volatility Gold and silver volatility usually comes from three sources: • Macro shocks: CPI, Fed policy shifts, rate expectations, dollar moves • Liquidity events: leverage unwinds, forced selling, margin pressure • Sentiment extremes: panic buying or panic selling Silver amplifies these forces more than gold. That’s why vehicles like SLV m
Gold and Silver Fluctuate Violently — How Do You Seize the Volatility and Make Money?
TOPdropppie: Spot on! Discipline pays off in volatile markets.[开心]
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3.30K
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Tiger_Earnings
·
01-30

Super Earnings Week: AI-to-Cash-Flow Winners Emerge (IBM, LRCX, T, CAT)

In this super earning week, around 30–35% of S&P 500 companies report results. Many stocks moved meaningfully after their reports, and some reactions were notable even when the numbers looked solid.. The stocks that held up best were the cleanest “AI-to-cash-flow” stories — companies that showed how investment, scale, or infrastructure demand is translating into real earnings and free cash flow. We saw this strongest post-earnings moves in AI and enterprise software, semiconductor equipment, telecom infrastructure, and industrials. Across these sectors, investors focused more on margins, cash generation, and outlook clarity. Against this backdrop, $IBM(IBM)$ , $Lam Research(LRCX)$ ,
Super Earnings Week: AI-to-Cash-Flow Winners Emerge (IBM, LRCX, T, CAT)
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1.10K
General
TigerPicks
·
01-30

HRC Leaders | Can $RCL $NCLH $CCL $CUK $VIK $LIND keep the cruise rally alive?

The Hotels, Resorts & Cruise Lines sector rose an average of ~4.09% at the January 29, 2026 ET market close, primarily driven by $Royal Caribbean Cruises(RCL)$ blockbuster Q4 2025 earnings beat, record Wave season bookings, and exceptionally strong 2026 guidance, sparking a broad sympathy rally across cruise operators. Stock futures fell Friday, a day after the S&P 500 $S&P 500(.SPX)$ posted a second consecutive losing session, but trimmed declines after President Donald Trump nominated Kevin Warsh to succeed Jerome Powell as Federal Reserve chair. The best-performing concepts is Hotels, Resorts & Cruise Lines. Considering the different perceptions of the stock, this time TigerPicks chose <
HRC Leaders | Can $RCL $NCLH $CCL $CUK $VIK $LIND keep the cruise rally alive?
TOPTomCap: Cruise stocks are flying high! RCL's earnings rock.[看涨]
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756
General
TigerPicks
·
01-30

Semiconductor Stars | Are $LRCX $KLAC $ASML $ATOM $MKSI leading the AI supercycle?

The semiconductor sector rose an average of ~2.33% at the January 29, 2026 ET market close, primarily driven by ongoing AI demand tailwinds, strong earnings momentum from key equipment and foundry players, and positive guidance reaffirmations amid broader market resilience. Stock futures fell Friday, a day after the S&P 500 posted a second consecutive losing session, but trimmed declines after President Donald Trump nominated Kevin Warsh to succeed Jerome Powell as Federal Reserve chair. The best-performing concepts is Semiconductors. Considering the different perceptions of the stock, this time TigerPicks chose $Atomera Inc(ATOM)$ $Ichor Holdings Ltd.(ICHR)$ $Ul
Semiconductor Stars | Are $LRCX $KLAC $ASML $ATOM $MKSI leading the AI supercycle?
TOPcheeryx: Solid semis rally! AI demand fueling this boom.[看涨]
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General
Trend_Radar
·
01-30

$JOE tests 67 resistance after a 3.5% rally

$St. Joe(JOE)$ The St. Joe Company (JOE) Surged +3.50%: Florida Land Play Tests 52-Week High, $67 Resistance in Focus Latest Close Data Closed at $66.91 (Jan 29, 2026), up +3.50% (+$2.26). The stock touched its 52-week high of $67.43 intraday and closed just 0.8% below it. Core Market Drivers Limited specific news drove the move, indicating technical and momentum-based buying. The stock's strength may be linked to broader real estate/land development sector sentiment and its solid fundamentals as a Florida-focused land development and real estate company. Technical Analysis Volume surged to 259k shares (Volume Ratio: 1.99), confirming the breakout move. The MACD histogram turned positive (+0.069), signaling a potential bullish crossover as DIF rise
$JOE tests 67 resistance after a 3.5% rally
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854
General
Trend_Radar
·
01-30

$STRS hits a 52 week high at 29.87 and sets sights on 30

$Stratus Properties(STRS)$ Stratus Properties (STRS) Soars to 52-Week High: Momentum Peaks at $29.87, Eyes $30+ Latest Close Data Closed at $29.87 on 2026-01-29, up +4.08% (+$1.17). This marks a new 52-week high, surpassing the previous resistance. Core Market Drivers Price surge coincides with significant net capital inflow ($85.6K over 5 days), primarily driven by retail buying pressure. The stock is experiencing low float and high short interest volatility, indicating a potential squeeze scenario. Technical Analysis Volume of 14.6K shares with a Volume Ratio of 1.12 confirms active participation. The MACD (1.14, 0.96, 0.35) has turned decisively bullish with a strong positive histogram. RSI(6) at 80.88 signals overbought conditions, suggesting
$STRS hits a 52 week high at 29.87 and sets sights on 30
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918
General
Trend_Radar
·
01-30

Can $MOD extend its 20.3% surge and clear 183?

$Modine Manufacturing(MOD)$ Modine Manufacturing (MOD) Soared +20.30%: Breaks Through Resistance, Eyeing New Highs at $183 Latest Close Data Closed at $176.72 on 2026-01-29, up +20.30% ($29.82). The stock is trading just -3.35% below its 52-week high of $182.85. Core Market Drivers The surge appears driven by strong institutional sentiment and positive momentum in the industrial and climate solutions sectors. High trading volume and capital inflows suggest significant buying interest. Technical Analysis Volume surged to 4.01M shares (Vol. Ratio 4.14), confirming the breakout. The MACD shows a strong bullish crossover with DIF at 4.52 and DEA at 0.30, generating a powerful histogram of 8.45. The 6-day RSI is extremely overbought at 90.90, signaling
Can $MOD extend its 20.3% surge and clear 183?
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770
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Trend_Radar
·
01-30

$RCL jumps 18.65% to 345.98 and sets up a 366 test

$Royal Caribbean Cruises(RCL)$ Royal Caribbean Cruises (RCL) Soared +18.65%: Record Highs on Strong Earnings, Eyes $366 Breakout Latest Close Data: RCL closed at $345.98 on 2026-01-29, surging +18.65% (+$54.38). It is now just $20.52 (5.6%) away from its 52-week high of $366.50. Core Market Drivers: The stock's massive rally was fueled by a blowout earnings report, significantly exceeding analyst expectations. The company reported record bookings and strong forward guidance, signaling robust post-pandemic travel demand recovery. High short interest likely contributed to the squeeze, with short volume ratio at 25.30% as of 01-28. Technical Analysis: The breakout is confirmed by strong volume (2.94x average volume ratio) and powerful technical signal
$RCL jumps 18.65% to 345.98 and sets up a 366 test
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745
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Trend_Radar
·
01-30

$TT clears key resistance with buyers eyeing the 430 zone

$Trane Technologies PLC(TT)$ Trane Technologies (TT) Soared +8.08%: HVAC Giant Breaks Key Resistance, Eyes $430+ Zone Latest Close Data Closed at $426.07 (ET 2026-01-29), surging +8.08% (+$31.87). This puts the stock just -10.5% below its 52-week high of $476.19. Core Market Drivers Strong buying was likely fueled by positive momentum in the industrial sector and the company's robust fundamentals, including an impressive 37.21% ROE. The market is rewarding quality names with high operational efficiency. Technical Analysis Volume surged to 4.43M shares (Volume Ratio: 2.13), confirming the breakout. The MACD shows a strong bullish crossover with DIF at 1.88 turning positive and a large MACD histogram of 7.21. The 6-day RSI hit 84.2, indicating overbou
$TT clears key resistance with buyers eyeing the 430 zone
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626
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Trend_Radar
·
01-30

Can $CCL clear its 52 week high and extend the rally?

$Carnival(CCL)$ Carnival Corp. (CCL) Soars +8.46%: Breaking Out on Strong Volume, Eyeing $32+ Territory Latest Close Data: Closed at $31.15 on Jan 29, surging +8.46% and now just ~5.3% below its 52-week high of $32.89. Core Market Drivers: The stock likely benefited from positive sector rotation into travel/leisure and anticipation of strong upcoming quarterly earnings, buoyed by continued robust consumer demand for cruise vacations. Recent insider buying activity also signals confidence. Technical Analysis: The breakout was supported by massive volume (2.52x average), confirming the move's strength. The RSI(6) spiked to 77.01, entering overbought territory and indicating strong short-term momentum. The MACD histogram improved significantly to -0.2
Can $CCL clear its 52 week high and extend the rally?
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598
General
Trend_Radar
·
01-30

$NCLH rockets 10 percent to challenge $27.6

$Norwegian Cruise Line(NCLH)$ Norwegian Cruise Line Holdings (NCLH) Rockets +10.25%: Breakout Volume Surge Targets $27.6, Watch $24.3 Pivot Latest Close Data: NCLH closed at $22.92 on 2026-01-29, surging +10.25% (+$2.13). The stock is now 21.7% below its 52-week high of $29.29. Core Market Drivers: Strong technical buying momentum drove the breakout, supported by a broader recovery in the travel and leisure sector. The company's forward guidance and booking trends for 2026 remain a key focus for investors. Technical Analysis: The breakout was confirmed by massive volume (32M shares, Volume Ratio 1.86), well above average. The 6-day RSI jumped to 69.75, approaching overbought territory but confirming strong short-term momentum. The MACD histogram i
$NCLH rockets 10 percent to challenge $27.6
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