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566
General
Trend_Radar
·
05-01

$Comfort Systems USA, Inc. (FIX) Soars +6.73%: Q1 Blowout Drives Momentum, Breaks Into $1850 Zone 🚀

Latest Close (April 30, 2026) Closed at $1840.25, up a strong +6.73% on the day. The stock is now just $15.17 from its 52-week high of $1855.42.Core Market Drivers The surge is fueled by the company's stellar Q1 2026 earnings report, where revenue of $2.87B and EPS of $10.51 significantly exceeded expectations. A massive backlog increase to $11.94B signals robust future revenue visibility. The stock is shaking off recent sector weakness and reclaiming its uptrend.Technical Analysis Volume of 573K shares (VR 1.07) supports the breakout move. The MACD (DIF: 93.06, DEA: 84.65, MACD: 16.83) shows a bullish crossover and histogram expansion. The RSI(6) at 72.51 is in strong bullish territory but not yet overbought, indicating room for further upside.Key Price LevelsImmediate Pivot: $1840.25 (To
$Comfort Systems USA, Inc. (FIX) Soars +6.73%: Q1 Blowout Drives Momentum, Breaks Into $1850 Zone 🚀
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641
General
Trend_Radar
·
05-01

$AutoZone, Inc.(AZO) Soared +5.12%: Bullish Momentum Breaks Resistance, Eyes $3,800+

📈 Latest Close Data As of 2026-04-30, $AutoZone(AZO)$ closed at $3,704.03, surging +5.12% (+$180.47). The stock traded within a range of $3,590.00 - $3,714.14. It remains ~15.6% below its 52-week high of $4,388.11.🚀 Core Market DriversStrong intraday performance in the auto retail sector lifted sentiment.Positive capital inflow on 2026-04-28 (+$3.89M) provided a short-term boost.Market rotation into defensive/value stocks may be benefiting established retailers.📊 Technical AnalysisVolume: Trading volume was 349.1K, with a Volume Ratio of 1.30, indicating active buying interest.MACD (12,26,9): The latest MACD value is 28.88, with DIF (29.83) significantly above DEA (15.39), confirming a strong bullish momentum and a fresh bullish crossover signal.RS
$AutoZone, Inc.(AZO) Soared +5.12%: Bullish Momentum Breaks Resistance, Eyes $3,800+
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1.29K
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VNW Capital
·
04-27
$SLV 20260529 60.0 PUT$ Cash secured put for silver for income and potential accumulation if get assigned. $60 has a strong horizontal support in the daily and weekly charts. Shorter DTE for faster theta decay and daily profit.
SLV PUT
04-27 23:45
US20260529 60.0
SidePrice | FilledRealized P&L
Sell
Open
1.03
2Lot(s)
--
Closed
iShares Silver Trust
$SLV 20260529 60.0 PUT$ Cash secured put for silver for income and potential accumulation if get assigned. $60 has a strong horizontal support in t...
1
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845
General
CutieYolkYolk
·
04-30
$PLTR 20260515 120.0 PUT$ Sold this PUT when PLTR was dipping on Wed.  Adjusted strike lower to $120 for buffer, and will expire on 15th May.
PLTR PUT
04-30 00:32
US20260515 120.0
SidePrice | FilledRealized P&L
Sell
Open
2.25
1Lot(s)
--
Closed
Palantir Technologies Inc.
$PLTR 20260515 120.0 PUT$ Sold this PUT when PLTR was dipping on Wed. Adjusted strike lower to $120 for buffer, and will expire on 15th May.
1
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6.98K
General
Fenger1188
·
04-30
$Nokia Oyj(NOK)$ $Nokia Oyj(NOK)$ $Nokia Oyj(NOK)$ 大多数分析师持正面态度,在多位分析师中,绝大多数建议买入,少部分建议持有或卖出。有可能是下一个intel吗?买一些来收😁
NOK
04-30 05:49
USNokia Oyj
SidePrice | FilledRealized P&L
Buy
Open
12.83
26
--
Closed
Nokia Oyj
$Nokia Oyj(NOK)$ $Nokia Oyj(NOK)$ $Nokia Oyj(NOK)$ 大多数分析师持正面态度,在多位分析师中,绝大多数建议买入,少部分建议持有或卖出。有可能是下一个intel吗?买一些来收😁
2
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5.10K
General
Terra_Incognita
·
04-30
$SOFI 20260501 15.0 PUT$ SoFI: huge drop after earnings and hovering at $15+.  Premium is still attractive so decided to add some short put positions at $15 strike to expiry this Fri. 
SOFI PUT
04-30 00:11
US20260501 15.0
SidePrice | FilledRealized P&L
Sell
Open
0.10
6Lot(s)
--
Closed
SoFi Technologies Inc.
$SOFI 20260501 15.0 PUT$ SoFI: huge drop after earnings and hovering at $15+. Premium is still attractive so decided to add some short put position...
1
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5.73K
General
CutieYolkYolk
·
04-30
$MSFT 20260501 385.0 PUT$ Take profit. This short put at $385 will expire this Fri. MSFT after earnings are selling down today downed almost 5% as of posting and trade closer to $400.  Not wanting to take unnecessary risk of assignment on an expensive stock, decided to take profit as the more safe options. 
MSFT PUT
04-30 23:23
US20260501 385.0
SidePrice | FilledRealized P&L
Buy
Close
0.25
1Lot(s)
+98.81%
Closed
Microsoft
$MSFT 20260501 385.0 PUT$ Take profit. This short put at $385 will expire this Fri. MSFT after earnings are selling down today downed almost 5% as ...
TOPfuddie: Smart move locking in profit before expiration.
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4.59K
General
Justin bala
·
05-01
$MasterCard(MA)$ Accumulating. MA despite of good results it is getting sell off. Profit taking? 
MA
05-01 07:31
USMasterCard
SidePrice | FilledRealized P&L
Buy
Open
505.24
2
--
Closed
MasterCard
$MasterCard(MA)$ Accumulating. MA despite of good results it is getting sell off. Profit taking?
TOPTODAMOON: Same. Good earnings shouldn't tank like this.
2
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10.75K
Selection
Tiger_comments
·
05-01

Mag 4 Capex & Cloud Recap: $725B CapEx, Who’s Going to Secure the Bag?

Markets rally prompted by good earnings. Big Tech took turns proving the bull case, recovering March's tariff-driven selloff. How's everything going so far? $Alphabet(GOOG)$ surged +10% in a single session after Cloud revenue grew +63.4%, killing the "Google is losing the AI race" narrative. $Apple(AAPL)$ +2.56% post-earnings on a record March quarter. $Amazon.com(AMZN)$ posted $23.9B in operating income, a 14% beat. $Meta Platforms, Inc.(META)$ delivered +28.7% ad revenue growth but lost 9% due to capex concerns. $Microsoft(MSFT)$ is worse, still the worst performer among mag 7
Mag 4 Capex & Cloud Recap: $725B CapEx, Who’s Going to Secure the Bag?
TOPShyon: From my perspective, this rally is more than just earnings — it confirms AI demand is still strong and supply-constrained. $Alphabet(GOOGL)$ Cloud surge and solid results from $Amazon.com(AMZN)$ and $Apple(AAPL)$ show hyperscalers aren’t slowing, just reallocating capital more efficiently. On capex, I don’t see a bubble — I see barriers forming. Despite concerns around $Meta Platforms, Inc.(META)$ and $Microsoft(MSFT)$ , the key takeaway is unchanged: demand exceeds supply, and constraints are real, not cyclical excess. To me, this looks like early-stage infrastructure buildout rather than late-cycle overinvestment. For the $725B spend, I still favor the infrastructure layer like NVIDIA. Efficiency gains won’t kill demand — they expand it. This looks like a narrative-driven pullback, not a structural shift. @TigerStars @Tiger_comments @TigerClub
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28.64K
Selection
Tiger_SG
·
05-01

DBS Q1 Beats & Raises Dividend 8%! Will UOB and OCBC Follow?

$DBS(D05.SI)$ reported Q1 2026 results with net profit of S$2.93B (+1% YoY), beating the Bloomberg consensus of S$2.88B. Shares closed +3.4% at S$58.50. Non-interest income and wealth management fees both hit all-time highs. Dividend raised to S$0.81/share from S$0.75 a year earlier. In a lower-rate world, DBS proved the model works — just not the way the market expected. Up next: $UOB(U11.SI)$ (May 7) and $OCBC Bank(O39.SI)$ (May 8). Highlights for DBS earnings 1. Deposit growth blew past expectations. Customer deposits rose 9% YoY to S$629.9B, with more than two-thirds in CASA. CEO Tan Su Shan upgraded full-year deposit growth guidance to "high to higher
DBS Q1 Beats & Raises Dividend 8%! Will UOB and OCBC Follow?
TOPShyon: $DBS(D05.SI)$ results reinforced my view that SG banks are shifting toward a fee-driven growth model rather than relying on interest rates. With DBS delivering record wealth management fees & strong deposit inflows, the franchise remains resilient even in a lower-rate environment. CASA strength and inverted rate sensitivity suggest earnings are increasingly driven by client flows, not just margins. The focus now shifts to whether UOB & OCBC can replicate this momentum. With NIM pressure largely priced in, wealth & fee income will be the key differentiator. If both banks show solid private banking and investment product growth, the sector still has upside. My base case is a partial match on wealth strength, supported by continued safe-haven inflows into Singapore. I expect $ocbc bank(O39.SI)$ at SGD 22.50 & $UOB(U11.SI)$ at SGD 37. If this holds, the narrative continues shifting from rate sensitivity to fee-driven compounders. @Tiger_SG @TigerClub @Tiger_comments @TigerStars
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11.97K
Selection
Tiger_comments
·
05-01

S&P 500 Concludes Best Month Since 2020! Chase New High or Take Profits?

April's final session: $S&P 500(.SPX)$ closed at all-time highs (+1%), $NASDAQ(.IXIC)$ +0.89%. Full month: S&P 500 +10.4%, Nasdaq +14.8% — the strongest single-month return since the post-COVID rebound in 2020. Based on historical data, if multiple new highs are reached in April, the subsequent market performance is usually relatively strong. But Goldman and BofA Are Both Flashing Yellow Goldman Sachs Macro (April 30): S&P rallied 14% from the late-March low to record highs, but the median S&P 500 constituent is still 13% below its 52-week high — market breadth is at its narrowest in decades outside the Dot-Com Bubble. The Momentum factor is up +25% YTD, with hedge fund Momentum net expos
S&P 500 Concludes Best Month Since 2020! Chase New High or Take Profits?
TOPkoolgal: 🌟🌟🌟 To chase or not to chase? The FOMO vs the Dip Dilemma. April was simply unreal. The S&P500 didn't just break records. It simply sprinted up Everest without stopping for oxygen. The reality for me? I am choosing Sanity. While my heart wants to chase the thrill and my head wants to wait for the 5% discount that might never come, I have decided to stick to my "Boring Brilliance" strategy. I am staying the course with the heavy hitters : $SPDR Portfolio S&P 500 ETF(SPYM)$ which tracks 500 of the best & strongest US companies and $STI ETF(ES3.SI)$ - Singapore's creme de la creme blue chips companies. These 2 ETFs are not flashy. They don't post to the moon memes but they show up to work every single day. My plan for May is to let the Pros stress over the daily candles. I am just letting my Dollar Cost Averaging or DCA do the heavy lifting. If the market hits new highs - Great. If not, my next DCA just got a May discount. @Tiger_comments @TigerStars @Tiger_SG
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2.24K
General
MasterWU
·
05-01

.SPX: The Rebound of Bearish Sentiment

Hello everyone! Today i want to share some trading ideas with you! 1 $Alphabet(GOOG)$ lifted SPX over 7200--for the first time. Quite a milestone. Even with huge drags from $Microsoft(MSFT)$ & $NVIDIA(NVDA)$ --their dark red color would normally sink the market; however, $Alphabet(GOOG)$ went "ALL-IN". The disparity would matter later, not now. 2 The rebound of Bearish sentiment is quite puzzling and should be a warning sign to BEARS. With ATH over 7200 today, this stubborness of bear camp WILL ONLY PROLONG the process of market climbing higher, until pu
.SPX: The Rebound of Bearish Sentiment
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3.03K
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Michael Esther
·
05-01

GOOG’s $200B Bet: Owning the Future of AI, Space, and Data

$Alphabet(GOOG)$ invested in to make $200B so far: 1. SPACEX → ~$1.25T–$2T Satellite internet + launch dominance, controls global infrastructure 2. Anthropic → ~$350B–$1T+ Frontline AI models powering enterprise + next-gen intelligence stack 3. Databricks → ~$134B AI + data backbone enabling enterprises to train and deploy models 4. Stripe → ~$150B+ Global payments infrastructure powering internet commerce and financial rails 5. Epic Games → ~$30B+ (est.) Owns Unreal Engine, building metaverse + real-time 3D ecosystems 6. $AST SpaceMobile, Inc.(ASTS)$ → ~$5B–$10B (est.) Space-based cellular network connecting phones directly via satellites 7. Planet Labs → ~$2B–$4B (est.) Earth data + geospatial intellige
GOOG’s $200B Bet: Owning the Future of AI, Space, and Data
2
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2.90K
General
AfraSimon
·
05-01

Rare Earth Stocks Surge: $MP, $UUUU, $UAMY Lead Strategic Re-Rating

The market is waking up to how strategic rare earths really are $United States Antimony(UAMY)$ United States Antimony +20.34% $USA Rare Earth Inc.(USAR)$ USA Rare Earth +17.88% $IPERIONX LTD SPON ADS EACH REP 10 ORD SHS(IPX)$ IperionX +15.25% $American Resources Corporation(AREC)$ American Resources +12.08% $CRITICAL METALS CORPORATION(CRML)$ Critical Metals +11.86% $Energy Fuels(UUUU)$ Energy Fuels +10.41% $Texas Mineral Resources Corp.(TMRC)$ Texas Mineral Resources +9.68%
Rare Earth Stocks Surge: $MP, $UUUU, $UAMY Lead Strategic Re-Rating
Comment
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1.15K
General
Long_Equity
·
05-01

Portfolio Update: +10.6% YTD as $FIX, $LRCX Drive Outperformance

LONG EQUITY - APRIL UPDATE A strong start to 2026 with double-digit returns, driven by high-quality compounders and semiconductor exposure. Solid cash returns and robust free cash flow growth continue to underpin portfolio performance and reinforce a disciplined long-equity strategy. Performance YTD: +10.6% Top performers: $Comfort Systems USA(FIX)$ & $Lam Research(LRCX)$ Top detractors: $Fair Isaac(FICO)$ Cash ROC =39% FCF CAGR = 26% 😍 Been eyeing Tiger merch but short on Tiger Coins? Now's your chance. 🎁 We’ve selected 4 high-demand items across practial, lifestyle, and learning, now with a lower redemption threshold!
Portfolio Update: +10.6% YTD as $FIX, $LRCX Drive Outperformance
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1.22K
General
The Investing Iguana
·
05-01

Is DBS’s 6.25% Yield Hiding a 210bp CET1 Hole | DBS Group Q1 2026 Results

Is DBS’s 6.25% Yield Hiding a 210bp CET1 Hole | DBS Group Q1 2026 ResultsThe market sees a record S$2.93 billion profit. The forensic audit sees a S$400 million permanent tax hit and a 23-basis point margin collapse that turned organic growth into a treadmill just to keep dividends flat. DBS delivered only S$62 more annual income on a S$50,000 CPF stake this year. That's one month of utilities for a Marine Parade retiree, paid for by holding a bank trading at 2.41x Price-to-Book in the 90th historical percentile.The 6.25% yield clears the 3.2% Forensic Floor and sits 465 basis points above the current 1.60% six-month T-bill rate. But you're paying peak valuation for a lending engine losing S$16 million in net interest income for every basis point SORA drops, with a fully phased-in CET1 buf
Is DBS’s 6.25% Yield Hiding a 210bp CET1 Hole | DBS Group Q1 2026 Results
TOPhowisit: So buy or sell ?
3
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1.67K
General
Deonc
·
05-01

MARA Holdings Soars 5.08%

Stock Track | MARA Holdings Soars 5.08% Intraday on $1.5 Billion Acquisition to Fuel AI Power Strategy Stock Track $Marathon Digital Holdings Inc(MARA)$   04-30 21:52 MARA Holdings' stock soared 5.08% intraday on Thursday, driven by the company's announcement of a major strategic acquisition aimed at pivoting beyond Bitcoin mining into the high-growth AI infrastructure sector. The surge follows MARA's definitive agreement to acquire Long Ridge Energy & Power from FTAI Infrastructure for approximately $1.5 billion. The deal is a cornerstone of MARA's shift towards digital infrastructure and energy generation to power artificial intelligence applications. The acquisition includes a 505-megawatt combined-cycle gas power plant in Ohio an
MARA Holdings Soars 5.08%
TOPJoBloor: interesting pivot from Bitcoin to AI infrastructure, nice move!
1
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1.28K
General
Selling For Premium
·
05-01

Option Strategies: AAPL& GOOGL

Hello everyone! Today i want to share some trading ideas with you! 1 There's some decent premium on $Apple(AAPL)$ at put strikes in the 240-245 range for May 8 expiration. Will probs write a bunch of put contracts to play earnings today. 2 Still amazes me how this post didn't get more engagement. And now ... look ... $Alphabet(GOOGL)$ almost at $400. So much for listening to "furus" who just cover the hot stock at the moment in order to increase their followers or increase their X payout ... or pump their position so that they can exit and leave retail bagholding. Guaranteed not many folks were talking about $Alphabet
Option Strategies: AAPL& GOOGL
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1.44K
General
TrendSpider
·
05-01

AAPL, MSFT, SPY, HOOD& EWY Face the Divergence Now

Hello everyone! Today i want to share some technical analysis with you! 1 South Korea's ETF closed at record highs, now up 186% over the past year. $iShares MSCI South Korea ETF(EWY)$ 2 By a sliver $Robinhood(HOOD)$ eked out a green monthly candle, ending a five month slide. 3 The S&P500 closes the month up 64.81 points (+9.91%) 🟢 Best monthly % gain since April 2020 First monthly gain of over 50 points ever One of the most unforgettable months in market history. $SPDR S&P 500 ETF Trust(SPY)$ 4 $Microsoft(MSFT)$ dropped a double beat and still found th
AAPL, MSFT, SPY, HOOD& EWY Face the Divergence Now
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24.11K
Hot
Muhammad Iqbal bin
·
05-01

$OMEX finally woke up and broke the wedge... legit reversal or just another low-volume trap?

Hey guys im trying to learn chart patterns and came across $Odyssey Marine Exploration(OMEX)$ . it looks like it broke out of that big yellow trend and now it crossed back over $1.00. the macd at the top has some blue bars which i think is good? i want to buy some but im worried since it went from 1.40 to 0.70 so fast. is it safe to buy now that it's going up again, or should i wait? chart by @Owen Moshey
$OMEX finally woke up and broke the wedge... legit reversal or just another low-volume trap?
TOPZion Everhart: Bro do not buy a microcap just because it crossed a dollar. That's exactly where the shorts are waiting to hammer it back down. A $1.00 break is a magnet for traps.
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