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Macquarie Warrants Singapore
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05-07

Nikkei225 - index jumps to all-time record despite yen appreciation

The $Nikkei 225 Index(N225.JP)$ June futures gained another 1.4% this morning (as of 10AM) to 62,805 - a new all-time record - compared to yesterday's 5PM close 🔥This takes the Nikkei225 futures' increase over the last two days to 5%, further cementing its position as the top performing major index this year to date with a 25.8% gain so far - more than 3 times that of the S&P500 🌈The Nikkei225's exuberance this morning reflects the optimism that the war tensions in the Gulf may be coming to an end According to an interview with PBS News Hour, Trump said the war has “a very good chance of ending” and there’s a possibility that happens before his trip to Beijing next week 🤝Meanwhile, various news reports have said that China’s top diplomat ha
Nikkei225 - index jumps to all-time record despite yen appreciation
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The Investing Iguana
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05-07

Is Singtel Still a Dividend King? The Truth About Buying for Life | EP1596🦖

Is Singtel Still a Dividend King? The Truth About Buying for Life | EP1596🦖The part that shocked me in this Singtel audit is how many retirees are still accepting a 3.6% yield while the CPF Special Account quietly pays 4% in the background. Once you strip away the SDS nostalgia, the AI story and the Temasek comfort blanket, the numbers say the same thing: solid balance sheet, but you are taking full equity risk for less income than a government-guaranteed floor. My stance is simple: if a stock cannot clear the 3.2% Forensic Floor with at least 1.5% of real risk premium on top, it does not earn “anchor” status in a retirement portfolio.For anyone running an HDB household portfolio, this is not about whether Singtel is a “good company”, it is about whether your capital is being paid fairly f
Is Singtel Still a Dividend King? The Truth About Buying for Life | EP1596🦖
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Mkoh
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05-07

Navigating the AI Investment Cycle: An Investor’s Comparison of AMZN, META, GOOGL, and MSFT

As a seasoned investor with investing in technology equities, I view the current AI capital expenditure surge among the hyperscalers as one of the most consequential shifts in corporate capital allocation in recent memory. Amazon (AMZN), Meta Platforms (META, formerly FB), Alphabet (GOOGL/GOOG), and Microsoft (MSFT) are each deploying tens of billions into AI infrastructure primarily data centers, servers, chips, and networking. The key questions for long-term shareholders are: How efficiently are they converting this spending into free cash flow (FCF)? What do Return on Invested Capital (ROIC) trends reveal about capital discipline? And which companies appear best positioned to monetize AI at scale? Capital Expenditures: The AI Buildout AcceleratesCapex has risen sharply as these companie
Navigating the AI Investment Cycle: An Investor’s Comparison of AMZN, META, GOOGL, and MSFT
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The Investing Iguana
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05-07

Singapore SRS Loses 6,200 Basis Points Moving DBS to NVDA | EP1595

Singapore SRS Loses 6,200 Basis Points Moving DBS to NVDA | EP1595The SGX-Nasdaq bridge launching in June 2026 solves an access problem but creates a liquidity trap that most retail investors will only discover when they try to exit. Moving S$100,000 from DBS into Nvidia through the Global Listing Board delivers a 6,200 basis point income loss while the absence of a market-maker mandate means your SGD-denominated shares could freeze during US market closures. The S$3.95 billion EQDP fund backstops institutional flow, not your retail order book.The forensic reality is that the 1.4% T-Bill yield sits well below the 3.2% Forensic Floor, and the bridge names like Apple at 0.37% yield and Nvidia at 0.02% fail the 4.7% hurdle entirely. For an SRS portfolio built to fund retirement, the choice is
Singapore SRS Loses 6,200 Basis Points Moving DBS to NVDA | EP1595
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Tiger V
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05-07
$MSTR VERTICAL 260508 PUT 170.0/PUT 172.5$ Following MSTR's Q1 earnings (which showed revenue beat at $124.3M vs $120.8M est.), the stock opened higher at $184.56. The May 8 expiry options have an IV of 85.52%, which is elevated but has likely compressed after the earnings event. This creates a favorable environment for selling premium as implied volatility typically declines post-event. The consensus analyst rating is "Buy" with a mean price target of ~$313-$316, indicating significant long-term upside. Recent analyst upgrades (B. Riley to $200 from $188) reinforce this view, suggesting a lower probability of a sharp, immediate decline.
MSTR Vertical
05-06 22:11
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MSTR VERTICAL 260508 PUT 170.0/PUT 172.5
$MSTR VERTICAL 260508 PUT 170.0/PUT 172.5$ Following MSTR's Q1 earnings (which showed revenue beat at $124.3M vs $120.8M est.), the stock opened hi...
TOPOswaldFinger: Revenue beat! Still watching the IV crush after ER.
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Futures_Pro
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05-07

💥How Long Can the Rally Last? 5 Red Flags for US Equities

Recently, the S&P 500 has maintained strength near its highs, but analyzing from multiple dimensions such as valuation, fund flows, and insider trading reveals that the internal market is not experiencing consistent expansion. The current US stock market is closer to a phase where 'index resilience remains strong, but structural divergence continues to deepen': At the index level, it is still supported by leading heavyweight stocks and capital inflow, but absolute stock-bond valuations are weak, sector valuations are diverging, insider trading signals and the internal strength disparities among the M7 all suggest that the constraints of operating at high levels have not disappeared. This article will systematically review the structural characteristics and potential constraints of curr
💥How Long Can the Rally Last? 5 Red Flags for US Equities
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Option Witch
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05-07

Option Focus | CoreWeave Options Signal 11% Post-Earnings Move; Block Trades Favor Diagonal Spreads, September $120 Puts Hedge Longer-Term Downside

$CoreWeave (CRWV)$ is scheduled to report quarterly earnings after the U.S. market close on May 7, 2026, with investors closely watching the AI infrastructure provider’s revenue trajectory and progress toward profitability. Wall Street consensus estimates project quarterly revenue of $1.965 billion, up 130.43% year over year, while adjusted EPS is expected at negative $0.898, compared with a year-earlier decline of 632.39%. Options Positioning Ahead of Earnings 1. Open Interest Structure: $120 Calls Draw the Most Attention Among options expiring on May 8, the $120 call has emerged as the most actively watched contract, with open interest reaching 23,056 contracts. Other heavily traded strikes include the $110 call with 21,300 contracts and the $45
Option Focus | CoreWeave Options Signal 11% Post-Earnings Move; Block Trades Favor Diagonal Spreads, September $120 Puts Hedge Longer-Term Downside
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1.09K
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Trend_Radar
·
05-07

$SCO volatility expands rapidly as inverse oil trade regains momentum

$ProShares UltraShort Bloomberg Crude Oil(SCO)$ $ProShares UltraShort Bloomberg Crude Oil (SCO) Soared +11.81%: Short-Squeeze Ignites, Testing $7.17 High 🚀 Latest Close Data 📊 Closed at $7.10 on 2026-05-06, surging +11.81% from the previous close. The price is now 68.3% below its 52-week high of $22.39. Core Market Drivers ⛽ The rally is primarily driven by a sharp intraday drop in crude oil prices, activating the ETF's 2x inverse leverage. High short interest (recently ~17-24% of volume) suggests a potential short squeeze contributed to the explosive move, as bears were forced to cover positions. Technical Analysis 📈 Volume: Massive volume of 94.5M shares (52.2% turnover) confirms strong institutional participation. Volume Ratio of 1.29 indicates
$SCO volatility expands rapidly as inverse oil trade regains momentum
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Trend_Radar
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05-07

$SMCI skyrockets +24% as AI server demand triggers a liquidity-driven breakout

$SUPER MICRO COMPUTER INC(SMCI)$ $Super Micro Computer, Inc. (SMCI) Soared +24.54%: AI Server Giant Surges on Volume Spike, $35 Resistance in Sight 🚀 📊 Latest Close Data Closed at $34.66 on 2026-05-06, surging +24.54%. The day's high was $34.71, just $0.05 shy of the session peak. The stock remains ~44.4% below its 52-week high of $62.36. 💡 Core Market Drivers The stock experienced an explosive rally with a massive 127M in volume, far exceeding recent averages, indicating strong institutional or speculative buying interest. The broader AI infrastructure theme remains a key tailwind, with capital flowing into related hardware plays. 📈 Technical Analysis Volume & Momentum: The Volume Ratio of 4.06 and a staggering 21.20% turnover rate confirm a
$SMCI skyrockets +24% as AI server demand triggers a liquidity-driven breakout
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1.11K
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Trend_Radar
·
05-07

AI-Fueled Surge Sends $INTC to 52-Week High

$Intel(INTC)$ $Intel (INTC) Soars +4.49% to $113.01, Reaching 52-Week High 🎯 📈 Latest Close Data Closed at $113.01, up +4.49% (+$4.86). The stock hit its 52-week high of $113.50 intraday. 🎉 📰 Core Market Drivers Continued momentum from a surge in early May, pushing market cap past $500B. The broader AI and semiconductor sector remains a key focus for investors. Recent high trading activity reflects strong institutional and retail interest. 🔬 Technical Analysis Volume: High at 157M shares, confirming strong buying pressure. 📊 RSI (6, 12, 24): Extremely overbought at 88.69, 86.71, 81.98. Signals intense bullish momentum but also warns of a potential near-term pullback. ⚠️ MACD: Bullish and expanding. DIF (13.83) > DEA (10.56) with a rising histog
AI-Fueled Surge Sends $INTC to 52-Week High
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1.71K
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Trend_Radar
·
05-07

Extreme Breakdown: $SOXS Hits $9.80 Floor as Chip Sector Rips Higher

$Direxion Daily Semiconductors Bear 3x Shares(SOXS)$ $SOXS Plunges -14.77%: Bearish Leverage ETF Hits 52-Week Low, $9.80 Support Tested 📉 Latest Close Data SOXS closed at $9.81 (USD) on 2026-05-06, a sharp decline of -14.77%. The price is now at its 52-week low of $9.80, a staggering -97.4% below its 52-week high of $372.60. Core Market Drivers The underlying semiconductor sector likely experienced a strong rally, causing this 3x inverse ETF to suffer significant losses. High daily trading volume of 335M shares and a turnover rate of 231.60% indicate extreme volatility and heavy selling pressure. Technical Analysis 📊 Volume (335M) and Volume Ratio (2.05) confirm intense selling activity. 📈 RSI-6 (13.53) is deeply in oversold territory, suggesting
Extreme Breakdown: $SOXS Hits $9.80 Floor as Chip Sector Rips Higher
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1.68K
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SGX_Stars
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05-07
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2.59K
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JC888
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05-07

META slides after Q1 Earnings. Sell / Buy / Hold ?

Its been one week since the fateful Wed, 29 Apr 2026 when 4 of Mag 7 reported their quarterly earnings on the same evening, after US market has closed. $Meta Platforms, Inc.(META)$ was one of the Mag 7. With the dusts settled, now seems to be the right time for a post mortem, no ? Q1 2026 Earnings. Meta's Q1 2026 earnings report was a masterclass in headline-grabbing numbers that masked underlying capital intensity. Here’s how the company did, compared with estimates from analysts polled by LSEG: Earnings per share (adjusted) : was $10.44 vs $6.79 estimated vs Q1 2025’s $6.43; that’s a +62% YoY gain. Note**: The $10.44 EPS has been buffered by a one-time tax benefit of $8.03 billion. Less windfall, the adjusted EPS was $7.31, that represents a mod
META slides after Q1 Earnings. Sell / Buy / Hold ?
TOP1PC: Nice Sharing 😁 @DiAngel @Barcode @koolgal @Shernice軒嬣 2000 @Aqa @Shyon
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nerdbull1669
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05-07

Shall AMD Investors Take Profits and Play Option? But At What Price?

With $Advanced Micro Devices(AMD)$ closing at $421.39 on Wednesday (up 18.6% after a massive Q1 2026 earnings beat), the stock is currently in "price discovery" mode, having cleared almost every major analyst price target and technical resistance level. Here is a breakdown of the profit-taking levels and how investors are shifting into options. 1. Where do investors take profits? Since AMD is at an all-time high, there is no "overhead supply" (previous bagholders selling at breakeven). Instead, profit-taking is likely to occur at psychological and extension levels: Immediate Resistance ($425 - $430): This is the psychological ceiling immediately above the current price. We saw some consolidation near $421 at the close, suggesting a pause here. The
Shall AMD Investors Take Profits and Play Option? But At What Price?
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jfsrevg
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05-07

54 High-Volume Leaders Dominating AI, Energy, Crypto & Tech Trends

54 High-Volume Leaders Dominating AI, Energy, Crypto & Tech Trends
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Daily_Discussion
·
05-07

🔥 Pop-and-Drop Everywhere: Where's the Real Opportunity?

We learn best when we learn out loud. 🗣️Drop your idea — one post could teach someone something new. Let’s break it down. These stories drove the markets. More News Tiger Community TOP10 Tickers 🎯 S&P500 Most Active Today 👉@TigerObserver 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! ⚙️ Thursday— Options Market Analyze options open interest and implied volatility to track short-term market movements. Top 10 Option Volumes U.S. stocks fell Tuesday on renewed AI concerns ahead of major tech earnings. Options volume hit 53.6
🔥 Pop-and-Drop Everywhere: Where's the Real Opportunity?
TOPTimothyX: U.S. stocks fell Tuesday on renewed AI concerns ahead of major tech earnings. Options volume hit 53.6 million contracts (59% calls). AMD dropped 3.41%; institutional traders sold long-dated 250putsfor250putsfor3.74M, signaling long-term bullishness with a breakeven at 220.05.Oraclefell4.05220.05.Oraclefell4.05177.50 puts for $1.85M as a hedge or bearish bet, while others sold longer-dated puts to collect premium. Overall, near-term caution contrasted with medium-to-long-term neutral-to-bullish positioning.
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2.09K
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Barcode
·
05-07
$Uber(UBER)$ $Tesla Motors(TSLA)$  $Joby Aviation, Inc.(JOBY)$  🚗📊⚡ Uber $UBER Breakout Tension Meets Bearish Crowding ⚡📊🚗 I’m watching a high-probability dislocation where price, positioning, and fundamentals are no longer aligned, and that’s where asymmetric setups are born. $UBER +8% today as an upbeat outlook forces the market to look through a minor revenue miss. The stock is reclaiming its 100DMA and pressing into a well-defined supply zone near $80, a level that has repeatedly capped upside. What makes this setup different is not the level, it’s the positioning into it. Options data shows a put/call ratio in the 90th percentile, meaning
$Uber(UBER)$ $Tesla Motors(TSLA)$ $Joby Aviation, Inc.(JOBY)$ 🚗📊⚡ Uber $UBER Breakout Tension Meets Bearish Crowding ⚡📊🚗 I’m watching a high-probab...
TOP1PC: Nice Sharing 😁 @Aqa @DiAngel @koolgal @JC888 @Shyon @Shernice軒嬣 2000
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Barcode
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05-07
$Shopify(SHOP)$ $Wix.com(WIX)$  $Amazon.com(AMZN)$  📊🧠⚖️ Shopify $SHOP: Elite Growth Engine Meets Valuation Reality in the AI Commerce Shift ⚖️🧠📊 I’m seeing a textbook case of strong fundamentals colliding with elevated expectations. $SHOP delivers a high-quality beat, yet the stock drops ~-8% as guidance and margin structure force a reset in positioning. 🧭 Flow & Positioning Insight I’m watching aggressive call activity step in despite the selloff. 213K calls traded before noon, 13X normal volume and 17X puts, with heavy focus on Sep $160Cs. That tells me this is not panic, it’s repositioning. At the same time, Cathie Wood added ~$27M, rei
$Shopify(SHOP)$ $Wix.com(WIX)$ $Amazon.com(AMZN)$ 📊🧠⚖️ Shopify $SHOP: Elite Growth Engine Meets Valuation Reality in the AI Commerce Shift ⚖️🧠📊 I’m s...
TOP1PC: Nice Sharing 😁 @DiAngel @JC888 @Shernice軒嬣 2000 @koolgal @Aqa @Shyon
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orsiri
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05-07

Google’s Power Play: Owning the Stack, Risking the Crown

Reinvention in Plain Sight Alphabet is no longer the market’s favourite ‘obvious’ company, which is precisely why I find it compelling. At just under $4.7 trillion in market capitalisation and trading near its highs, it looks fully appreciated on the surface. A trailing P/E of roughly 29 and a forward multiple above 30 do not scream bargain. Yet those numbers obscure a deeper transition: Alphabet is shifting from a predominantly advertising-driven enterprise into a vertically integrated AI infrastructure company. This is not a cosmetic pivot. It is a structural rewrite of how revenue is generated, how costs are controlled, and how competitive advantage is sustained. The market, in my view, is still pricing Alphabet as a highly efficient incumbent rather than a company attempting to control
Google’s Power Play: Owning the Stack, Risking the Crown
TOP1PC: Nice Sharing 😁 @Shyon @Aqa @koolgal @Barcode @DiAngel @JC888 @Shernice軒嬣 2000
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nerdbull1669
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05-07

Can AU Maintain Operational Momentum Amidst Volatile Gold Price Movement?

$Anglogold Ashanti(AU)$ is scheduled to report its fiscal Q1 2026 earnings on Friday, May 8, 2026, before the market opens. The company enters this report during a period of extreme volatility for gold prices, which reached record highs near $5,500/oz in January 2026 before correcting sharply. Analysts remain bullish on AU, but the focus has shifted from top-line revenue to cost discipline and cash conversion. Earnings Estimates Consensus EPS: $2.21–$2.23 (a massive 150%+ increase year-over-year). Revenue Estimate: $3.34 Billion (up ~73% YoY). Zacks Rank: #3 (Hold), indicating a neutral outlook on a surprise beat/miss. AngloGold Ashanti (AU) reported its fiscal Q4 and Full Year 2025 earnings on February 20, 2026. The results were widely considered a
Can AU Maintain Operational Momentum Amidst Volatile Gold Price Movement?
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