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Stormytw
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02-12 22:36
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RabBird
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02-12 22:47
$NBIS 20260618 80.0 PUT$  Nebius just reminded the market of one simple truth:In a bull market, you get rewarded for spending. In a bear market, you get punished for it. NBIS: • Revenue missed expectations • CapEx surged • Stock down ~6% pre-market You don’t get to burn aggressively and miss growth targets. Look around: AMD beats earnings → drops on guidance UNH reports → collapses Semis are cracking AI infra names are wobbling This is not euphoric momentum anymore. The market is quietly shifting from: “Spend now, profits later” to “Show me the cash flow.” And when capital expenditure outruns revenue growth, the market stops dreaming and starts discounting. Is AI dead? No. But the easy money phase is over. In bull markets,
$NBIS 20260618 80.0 PUT$ Nebius just reminded the market of one simple truth:In a bull market, you get rewarded for spending. In a bear market, you...
TOPmoonzo: Spot on, mate. Cash flow's the new game, hype's over.[看跌]
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Intellect
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02-13 00:06
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AMDidass
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02-13 10:12
$NVIDIA(NVDA)$  wait some more days to get profit again from this wonderful share! $Apple(AAPL)$  same ways for this share! Just buy when it come down and wait for profit! Gogogo!
$NVIDIA(NVDA)$ wait some more days to get profit again from this wonderful share! $Apple(AAPL)$ same ways for this share! Just buy when it come dow...
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Daily_Discussion
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02-13 10:24

🎢One word to describe your trades this week?

Smart ideas deserve to be seen. Drop a trade idea and help others learn. 💬📚 Catch up fast:These events rocked the markets today. More News Weekly Five Key Areas: Macro, Singapore Stocks, Options, Futures, Earnings Covering five major market segments this week to help you stay ahead of market trends and plan your trades effectively! 📊 Friday — Earnings Focus Interpret key corporate earnings reports to grasp performance-driven investment opportunities. 📌【Today’s Question】 Amazon, with its highest capital expenditures, has fallen into a bear market. Are you optimistic about its future? Yesterday's winners: Last night, $Coinbase Global, Inc.(COIN)$ down 7.9%. There were 15 Tigers that
🎢One word to describe your trades this week?
TOPMojoStellar: I’ve come to realize that my investing journey has been just as much about personal growth as it has been about returns. Over time, I’ve learned that markets test more than strategy — they test patience, discipline, and emotional control. There were moments of excitement, moments of doubt, and plenty of lessons in between. Each experience shaped how I approach risk, long-term thinking, and staying grounded during volatility. That’s why I really appreciate the way you framed your investing journey through @koolgal . It’s such a powerful reminder that investing isn’t just about numbers — it’s about mindset. The thoughts we cultivate — patience, discipline, and a long-term perspective — truly determine what grows in our financial lives. Thank you for sharing both your experience and that inspiring image. It’s a meaningful perspective that resonates far beyond investing, and I’m genuinely glad to read and learn from your sharing. [Cool] [Salute] [Heart]
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nerdbull1669
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02-13 08:01

Real Estate Selloff Depends On Its AI Focus, Fee and Labor-Intensive

The "AI scare trade" we have noticed is hitting the real estate services sector particularly hard because these companies operate on high-fee, labor-intensive business models. When AI tools (like those recently released by Anthropic) demonstrate an ability to automate complex tasks like financial research and legal document review, investors begin to fear "margin compression" — a fancy way of saying they think AI will force these firms to lower their fees or lose work to automation. In this article we would like to look at the breakdown of the situation as of mid-February 2026. Will the Panic Selling Continue? The consensus among market analysts is mixed but leans toward a "wait-and-see" stabilization. The Bear Case (Continued Selling): If subsequent economic data shows a significant drop
Real Estate Selloff Depends On Its AI Focus, Fee and Labor-Intensive
TOPglitzy: Yes, if they skip AI, real estate's toast. Risky move.[看跌]
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koolgal
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02-13 07:28

Strong Jobs, Delayed Cuts & Why I Am Still Buying STI ETF & SPYM S&P500 ETF

🌟🌟🌟The market is in mayhem today, pushed in 3 directions at the same time and none of them are gentle.   First, January's non farm payrolls smashed expectations: 130,000 vs 55,000 jobs expected.  Unemployment fell to  to 4.3% instead of 4.4% expected.  A labour market this strong gives the Fed zero urgency to cut.  Traders have now pushed the first rate cut from June to July with March rate cut odds collapsing and the probability of no change to above 94%. Second, delayed rate cuts mean the market's upside may stay capped in the near term.  Hot jobs mean sticky inflation.  Sticky inflation means delayed easing.  And delayed easing means the market's upside may stay capped in the near term. Third, geopolitical tensions are simmering, especia
Strong Jobs, Delayed Cuts & Why I Am Still Buying STI ETF & SPYM S&P500 ETF
TOPCornellRudolph: Spot on! Marathon investing beats sprinting any day.[看涨]
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OptionsDelta
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02-13 01:20

NVIDIA May Range-Bound Until Mid-Year

$NVDA$ Barring any surprises, NVIDIA looks set to continue grinding between 170 and 200 through the first half of the year—a sweet spot for option sellers. I came across 10k contracts opened on the $NVDA 20260618 220.0 CALL$ . Nothing flagged as a block trade, but digging into the fills shows the orders were chopped up into tiny pieces. The screenshot says it all. Most of the flow? Sell-side. Not a coincidence—Broadcom showed the exact same footprint. $AVGO 20260618 400.0 CALL$  also saw around 10k contracts, finely sliced, same direction: sells. Why the cloak-and-dagger? Likely to avoid getting front-run. Both are ~0.35 delta. If the stock runs the wr
NVIDIA May Range-Bound Until Mid-Year
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jfsrevg
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02-12 19:39

WSC Five Year Rounding Top Fundamentals Meet Technicals

$WillScot Corporation(WSC)$ - The 5-Year Rounding Top, A Lesson In Fundamental Gravity, Why These Filter Matter in Your Screen Setting This is a textbook example of why fundamental momentum and technical structure are two sides of the same coin. A 5-year rounding top on a name like $WSC is essentially a "slow-motion" map of institutional distribution as the growth story cools. Price doesn't just fall, it exhausts.
WSC Five Year Rounding Top Fundamentals Meet Technicals
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SmartReversals
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02-12 19:45

SPX is overbought while SPY shows caution and NDX remains weak

$S&P 500(.SPX)$ : Once again, we've reached a moment of truth. The oscillator is overbought, and the 4-hour chart reflects indecision with pullback potential if the pattern repeats. Sooner or later, one of these reversal signals will give way. Bullish breakout? the $Cboe Volatility Index(VIX)$ continues above 17. $SPDR S&P 500 ETF Trust(SPY)$ : The price continues above the 20DMA but today's bearish engulfing candle suggests extreme caution. The VIX is still high and $NASDAQ 100(NDX)$ below the 20DMA. If the supports are breached, the lower Bollinger band could be tested again during the usually weak second half of
SPX is overbought while SPY shows caution and NDX remains weak
TOP1PC: Nice Sharing 😊 Yup, OB area [Sweats] @JC888 @Barcode @DiAngel @Aqa @Shyon @koolgal @Shernice軒嬣 2000
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jfsrevg
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02-12 19:41

MRP Breakout Above Resistance Shows Relative Strength vs XLF

$Millrose Properties, Inc.(MRP)$ - Breaks 6-Month Downtrend Line, Signaling a Structural Shift - 5 breakout attempts above $31.50 over the past 4 months - clean display of volatility adjusted relative strength (VARS) throughout the period - relative strength vs $Financial Select Sector SPDR Fund(XLF)$ sector, likely supported by lending exposure concentrated in $iShares U.S. Home Construction ETF(ITB)$ $Schwab U.S. REIT ETF(SCHH)$ $Real Estate Select Sector SPDR Fund(XLRE)$ (leading groups) - trading above all major MA for the 5th session (4th for the leading major indices) - to
MRP Breakout Above Resistance Shows Relative Strength vs XLF
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Lanceljx
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02-11
Alphabet’s aggressive capital programme signals one clear message: scale will decide the AI hierarchy. 1. Why borrow when cash is abundant? Alphabet holds substantial liquidity, yet tapping global debt markets achieves several objectives: Locks in long-duration funding before rates potentially reprice higher Preserves cash flexibility for acquisitions and strategic pivots Optimises capital structure while debt remains comparatively cheap The 100-year GBP issuance is particularly strategic. It reflects confidence in long-term cash flow durability from Search, Cloud, and AI infrastructure. 2. What is the $185B funding? Primarily: Data centres and hyperscale expansion Custom silicon such as TPUs AI infrastructure to defend Search and accelerate Cloud Model training and inference capacity This
Alphabet’s aggressive capital programme signals one clear message: scale will decide the AI hierarchy. 1. Why borrow when cash is abundant? Alphabe...
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Lanceljx
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02-11
1. What matters most this quarter? With revenue expected at $1.77B and transaction revenue softening, focus shifts to quality rather than headline growth. Key areas: Subscription and services stability at ~$723M USDC yield contribution Derivatives traction Operating expense discipline If recurring revenue mix rises further, valuation becomes less tied to spot volatility. 2. Does Bitcoin’s pullback help or hurt? At ~$69K, Bitcoin is consolidating after a sharp unwind. If leverage has indeed flushed out and large holders are accumulating, volatility may compress before the next directional move. For Coinbase, two scenarios: Bull case Stabilising BTC plus ETF flows revive retail and institutional activity into Q2. Bear case Muted volatility suppresses trading volumes despite price stability.
1. What matters most this quarter? With revenue expected at $1.77B and transaction revenue softening, focus shifts to quality rather than headline ...
TOPEdwardHughes: Spot on about recurring revenue reduction volatility risks. If subs hold up, Coinbase's multiple could expand nicely.[看涨]
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Ah_Meng
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02-11
I have shared this company before but there were not much interest (see attached article below). After recent correction, $ASCLETIS-B(01672)$ has started moving again.  In fact, the climb accelerated after the company's latest funds raising exercise. This is obvious not normal, however at the same time, not entirely unusual. Most of time it depends on the secondary offering pricing and investor's group.  This raising has attracted Singapore GIC! It was a pleasant surprise, at least to me... GIC is a Singapore sovereign fund, with a big reputation to uphold. It is well known as a long term stable investor. I have own Ascletis for quite a number of years, maybe close to a decade. Once again, I have been early in the game. I entered when A

ASCLETIS-B (01672) Rises Over 6% Again as ASC30 Accelerates Global Phase III Trials; Analysts See High BD Potential

ASCLETIS-B (01672) climbed more than 6% in Hong Kong trading, extending recent gains. At the time of writing, the stock was up 5.52% to HK$17.2, with a turnover of HK$69.458 million. The rally...
ASCLETIS-B (01672) Rises Over 6% Again as ASC30 Accelerates Global Phase III Trials; Analysts See High BD Potential
I have shared this company before but there were not much interest (see attached article below). After recent correction, $ASCLETIS-B(01672)$ has s...
TOPCliff: Solid move! GIC backing is a game-changer. Holding tight with you![开心]
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Elliottwave_Forecast
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02-11

Gold (XAUUSD) Elliott Wave Outlook: Eyeing 5610 Retest

Gold (XAUUSD) reached an all-time high of $5610.8 on 29 January 2026, marking the completion of wave I. Since then, the metal has been correcting a larger cycle that began from the September 2022 low, unfolding within wave II. The correction is developing as a double three Elliott Wave structure, reflecting a complex adjustment in price action. From the wave I peak, wave (W) ended at $4941.61, followed by wave (X) at $5145.73. The decline continued with wave (Y), which terminated at $4402.06. This sequence completed wave ((W)) of the higher degree. The market has since entered a rally in wave ((X)), which is also subdividing as another double three. Within this advance, wave (W) ended at $5091.4. A pullback in wave (X) followed, reaching $4654.35. The current move higher is unfolding as wa
Gold (XAUUSD) Elliott Wave Outlook: Eyeing 5610 Retest
TOPEmilyMark: Solid wave analysis, mate. Watching for that 5610 retest closely.[看涨]
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nerdbull1669
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02-11

Rivian Automotive (RIVN) Delay In R2 Timeline Might Trigger Selling

$Rivian Automotive, Inc.(RIVN)$ is scheduled to release its Q4 and Full Year 2025 financial results on Thursday, February 12, 2026, after market close. After a volatile 2025 characterized by an 18% decline in annual deliveries and a strategic shift toward AI and mass-market production, this report is the "final bridge" before the highly anticipated R2 launch. Key Metrics to Watch Investors will be looking past the raw delivery numbers (which were already released in January) to focus on margins and the 2026 outlook. Rivian's fiscal Q3 2025 (reported November 4, 2024) was a landmark "bridge" quarter. It featured the company's first-ever positive gross profit, yet it was shadowed by a cautious narrowing of its annual guidance that highlighted the "d
Rivian Automotive (RIVN) Delay In R2 Timeline Might Trigger Selling
TOPBellaFaraday: I suspect negative margins first, R2 timeline could disappoint.[吃瓜]
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Mrzorro
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02-11
Optical vs. Copper? Why the Answer Is "Both" — And Why Both Are Booming Recent U.S. stock earnings season data shows that companies in the data center interconnection sector generally have higher profit growth rates than traditional mainstream AI sectors, such as cloud services and chip sectors. The reason is that as data center complexity increases and connection demands grow, the difficulty of cabling and signal integrity rises exponentially, leading to exceptional growth in the connector component sector. Recent financial reports from cloud giants show continued high growth in capital expenditures, which will create more opportunities for their interconnect suppliers. Future data centers are expected to feature hybrid optical + copper architectures. There are three paths for data center
Optical vs. Copper? Why the Answer Is "Both" — And Why Both Are Booming Recent U.S. stock earnings season data shows that companies in the data cen...
TOPMariaEvelina: Solid insights! Hybrid architecture is key for data centres. Both optical and copper has massive growth potential. Watching CRDO closely.[强]
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Shyon
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02-11
From my perspective, AI assistants like Clawdbot won’t make apps disappear, but they will reshape how we use software. Many SaaS products may lose their UI importance and become backend infrastructure, while AI agents sit on top and execute tasks directly. The real value will shift from interfaces to how deeply software is embedded into workflows and how well it integrates with AI. As for $Unity Software Inc.(U)$ 30% drop, I don’t see it as an automatic bargain. These sharp sell-offs often reflect structural uncertainty, not just short-term earnings misses. Without a clear AI monetization story, valuation compression can persist, making “cheap” stocks risky to catch too early. What I’m focused on is the AI efficiency uplift. The winners will be co
From my perspective, AI assistants like Clawdbot won’t make apps disappear, but they will reshape how we use software. Many SaaS products may lose ...
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979
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koolgal
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02-12
🌟🌟🌟Shopify $Shopify(SHOP)$ is one of the rare SaaS winners because it sits at the intersection of discipline , infrastructure and real economic activity. Shopify is one of the largest commerce platforms in the world.  It powers millions of businesses across 175 countries and is the default choice for entrepreneurs, Direct to Consumers brands and fast growing online stores. While Amazon is the biggest market place, Shopify is the biggest merchant owned commerce platform. Shopify is an SaaS winner because it is disciplined by cutting costs, streamlined its operations, has a laser focus on core commerce and  rebuilt their margin profile. The result : Profit beats , expanding operating leverage and a business that scales well. Shopify isn'
🌟🌟🌟Shopify $Shopify(SHOP)$ is one of the rare SaaS winners because it sits at the intersection of discipline , infrastructure and real economic act...
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koolgal
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02-12
🌟🌟🌟A good options strategy if you want to own $Taiwan Semiconductor Manufacturing(TSM)$ shares but feel the current price is a bit too high is a cash secured put. How it works : You sell a put option at a price you would be happy to buy the stock at say $350. Why It is good for TSM now:  You get paid a premium today . If TSM stays high , you keep the cash as pure profit. If TSM drops, you are forced to buy the shares but at a discounted price compared to today which is currently trading at USD 374.09. The risk is you must have the cash ready to buy 100 shares of TSM.  If the stock drops, you maybe buying a falling knife. @Tiger_comments
🌟🌟🌟A good options strategy if you want to own $Taiwan Semiconductor Manufacturing(TSM)$ shares but feel the current price is a bit too high is a ca...
TOPELI_59: Thanks for sharing your expertise 😘😍🥰
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