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Trend_Radar
·
06-12

$MU Soars 12%, AI Memory Boom Sends Micron Toward $1,000

$Micron Technology(MU)$ $Micron Technology, Inc.(MU) Soars +11.66%: AI Memory Giant Breaks $990, Eyes $1,000+ Territory 🚀 Latest Close Data 📊 Closed at $995.87 on 2026-06-12, surging +11.66% ($103.99). The stock is now just 8.6% away from its 52-week high of $1089.29. Core Market Drivers ⚙️ The rally is fueled by sustained, insatiable demand for High-Bandwidth Memory (HBM) from the AI sector. Despite a recent sector-wide cooldown, Micron remains a core holding, with analysts highlighting its critical supply position. The stock's resilience is evident as it rebounds from recent profit-taking. Technical Analysis 📈 Volume: Trading volume of 59.42M shares shows strong participation, supporting the breakout move. RSI (6): Jumped to 59.52, moving out of n
$MU Soars 12%, AI Memory Boom Sends Micron Toward $1,000
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Trend_Radar
·
06-12

$W Soars 13%, Eyes Next Move Above $80

$Wayfair(W)$ $Wayfair (W) Soars +13.12%: Debt Refinancing Fuels Rebound, Eyes $80+ Zone 📈 Latest Close Data: 🕒 Closed at $77.68 on 2026-06-12, surging +13.12% from the previous close. The stock is now ~35% below its 52-week high of $119.98. Core Market Drivers: 💡 The rally is primarily driven by successful debt refinancing, easing liquidity concerns. Recent 5-10% daily gains suggest strong momentum and a potential shift from oversold conditions following a prolonged post-earnings selloff. Technical Analysis: 📊 Volume surged to 4.38M shares (Volume Ratio: 1.32), confirming bullish interest. MACD shows a strong bullish crossover (DIF: 0.99 > DEA: 0.24, MACD: 1.49), signaling accelerating upward momentum. RSI(6) at 69.16 is approaching overbought ter
$W Soars 13%, Eyes Next Move Above $80
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XAUUSD Gold Traders
·
06-12

For intraday trading, maintain a Buy-focused strategy!

Technical Analysis: $S&P 500(.SPX)$ Looking at the H1 (1-hour) chart for gold, the price has undergone a clear downtrend and, following a recent rebound from lows, is currently in a consolidation phase. V-shaped Reversal and Bottom Formation: The price has formed a local “double bottom” or a variant of a “head-and-shoulders bottom” near the 4036 level. This was followed by a strong rally with consecutive bullish candles and increased volume, directly breaking through the previous downward resistance. Bullish Scenario (High Probability, 60%): If support at 4176-4150 holds, the price will continue to rebound and test 4220-4250. A break above 4250 could target 4300. V-shaped rebound momentum remains intact, and trading volume has
For intraday trading, maintain a Buy-focused strategy!
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SGX_Stars
·
06-12
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12.53K
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TrendSpider
·
06-12

ADBE, RH, PLTR, NVDA& TSLA Welcome the Turning Point of Market

Hello everyone! Today i want to share some technical analysis with you! 1 The market has doubted Elonmusk before... Didn't last long. $Tesla Motors(TSLA)$$Space Exploration Technologies(SPCX)$ 2 When attention spikes on $NVIDIA(NVDA)$, proceed with caution... 3 Search interest in $Palantir Technologies Inc.(PLTR)$ has plummeted in 2026 to its lowest level ever... Has the retail party moved on for good? 4 $RH(RH)$ RIPPING on a Double Beat 🔥 Q1 Adj EPS: $(1.97) vs $(2.11) est Q1 REV: $800.328M vs $792.78
ADBE, RH, PLTR, NVDA& TSLA Welcome the Turning Point of Market
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Tiger_James Ooi
·
06-12

Live on 30 June: Fundamental Analysis Masterclass: How to Evaluate Profit Margins, Moats & TAM

In this Fundamental Analysis seminar, I will share the key factors I look at when evaluating companies, including profit margins, competitive moats, SBC, TAM, and other drivers of long-term shareholder returns. Join me at our Singapore office on 30 Jun for an evening of learning and discussion. Looking forward to seeing you there. Register here: https://lnkd.in/gFBvxjvs
Live on 30 June: Fundamental Analysis Masterclass: How to Evaluate Profit Margins, Moats & TAM
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Gilly87
·
06-12

Investment Idea: U.S. Cannabis Sector Leaders

Hey Tigers today i wanted to check in on the leading Cannibis opertunitys  Summary The cannabis industry remains a high-risk, high-reward sector driven by regulatory developments, market expansion, and improving operational efficiency. Among publicly traded cannabis companies, Green Thumb Industries, Curaleaf Holdings, and Trulieve Cannabis stand out due to their scale, profitability, and market positions. This report evaluates these companies based on profitability, valuation, growth potential, debt levels, and shareholder returns. Industry Overview The U.S. cannabis market continues to expand despite regulatory uncertainty. Unlike many Canadian cannabis companies that have struggled with profitability, leading U.S. multi-state operators (MSOs) have demonstrated improving earnings, s
Investment Idea: U.S. Cannabis Sector Leaders
TOPPorterLamb: GTBIF looks cleaner on margins. Anyone actually taking TRLV over it?
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The White Knight
·
06-11
$BABA-W(09988)$  A blessing to take some    profits earlier on. Will buy back at HKG106 to HKG108. Never be too greedy. 
$BABA-W(09988)$ A blessing to take some profits earlier on. Will buy back at HKG106 to HKG108. Never be too greedy.
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PeterDiCarlo
·
06-12

IREN, NVDA, RKLB Lead Potential Bounce

A mix of AI, space, and mega-cap tech stocks are flashing early technical signals as the market attempts to stabilize after recent volatility. While names like NVDA, IREN, and RKLB show potential bullish reversals, MSFT and TSLA remain in more cautious or corrective setups. 1. $IREN Ltd(IREN)$ If you trade or invest in $IREN My framework just signaled a potential bottom and I’m pricing in roughly 30% upside over the next 4–8 weeks. 2. $AST SpaceMobile, Inc.(ASTS)$ If you trade $ASTS My system still has the Bull Cycle intact and is projecting meaningful upside over the next 4–6 weeks as we pull into major support. 3. $Microsoft(MSFT)$ Market ripped today but $MSFT
IREN, NVDA, RKLB Lead Potential Bounce
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koolgal
·
06-11
🌟🌟🌟While it is very tempting to  buy SpaceX at USD 135, it is good to take a step back and ask if this IPO is worth the money. Morningstar analysts have valued  SpaceX at just USD 780 billion, stating that it is 48% overvalued. However SpaceX has a wide moat as it effectively controls over 60% to 65% of the global commercial rocket launch industry.  Its reusable Falcon fleet has reduced launch costs to levels that standard aerospace competitors cannot touch, leaving it as the only company capable of deploying global satellite networks at scale. SpaceX owns Starlink which has successfully deployed about 8,000 active low Earth orbit satellites, building an unassailable commercial monopoly on high speed remote internet.  This subscription business model delivers predictab
🌟🌟🌟While it is very tempting to buy SpaceX at USD 135, it is good to take a step back and ask if this IPO is worth the money. Morningstar analysts ...
TOPPawsAndProfits: Yeap agreed, too overvaluated. Predict a similar short squeeze situation as GME years ago.
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Isleigh
·
06-11

Gold at $4,000: The Safe Haven That Failed. Time to Buy the Failure?

Here is the most uncomfortable chart in markets right now. The US and Iran are exchanging strikes. The Strait of Hormuz is disrupted. Oil is above $90. By every textbook, gold should be screaming higher. Instead, gold futures touched an intraday low of $4,047, pressing against the psychologically critical $4,000 level, down roughly 27% from its January all-time high of $5,589. Gold's worst monthly drop since 2008 happened in March, during the most serious Middle East escalation in decades. The safe haven failed exactly when it was supposed to work. So before anyone buys this dip, you need to understand why it failed. Because the answer determines whether $4,000 is a generational entry or a trapdoor. Why the Safe Haven Failed The mechanism is counterintuitive but logical once you see it. Wh
Gold at $4,000: The Safe Haven That Failed. Time to Buy the Failure?
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koolgal
·
06-11
🌟🌟🌟 $Oracle(ORCL)$ comfortably shattered Wall Street expectations, reporting a Q4 revenue of USD 19.18 billion, up 21% YoY against a forecast of USD 19.10 billion.    EPS was an exceptional USD 2.11 vs USD 1.96 expected. The core driver of the business is Oracle Cloud Infrastructure (OCI).  This segment experienced hyper acceleration - up 93% YoY to hit USD 5.8 billion in quarterly revenue. But why did Oracle drop 10%? Investors are worried about the huge Capex.  Oracle revealed that it plans to raise an additional USD 40 billion debt in fiscal 2026. This 10% drop is a classic healthy shakeout rather than a structural breakdown. Wall Street is penalising Oracle for its large Capex, completely ignoring the fact that large

【🎁有獎話題】甲骨文績後暴跌逾10%!臺積電上月營收增長30%!資本開支過高值得擔憂嗎?

@財報話你知
Hello小虎們,在美國CPI數據與中東局勢同步升溫後,美股三大指數隔夜均跌超1%,AI超級牛市接連迎來壓力測試,甲骨文發布超預期財報後仍跌超10%,臺積電上月營收表現出色,一起來看看吧~~~ 甲骨文資本開支過高,盤後股價跌超10%! 美東時間週三盤後,甲骨文發布了截至5月31日第四財季及全年財報數據,即便多項核心數據超預期,但盤後股價仍跌超10%: 總營收:Q4按年增長21%至192億美元,全年同比增長17%至674億美元,均創歷史新高; 每股收益:GAAP下,Q4按年增長21%至1.45美元,全年同比增長34%至5.83美元;Non-GAAP下Q4按年增長24%至2.11美元,非GAAP下同比增長27%至7.63美元; 本季度末剩餘履約義務(RPO)從5530億美元增至6380億美元,創下歷史新高。 具體業務來看: 雲業務:Q4按年增長47%至99億美元,全年同比增長39%至340億美元,均創歷史新高; 雲基礎設施(IaaS):Q4按年增長93%至58億美元,全年同比增長77%至181億美元; 雲應用(SaaS):Q4按年增長10%至41億美元,全年同比增長11%至159億美元。 圖源:甲骨文財報 業績展望方面,公司預計2027財年Q1總營收按年增長27%至29%;雲業務總收入預計增長58%至64%。確認全年總收入為900億美元,並將非GAAP每股收益指引上調至8.05美元。 PRO數據是市場關注的重要指標,公司在財報中表示,該項數據的增長主要來自大型AI合同,這些合同中客戶預付了甲骨文購買GPU的費用,或者客戶自行購買GPU並提供給公司,該部分總額已經達到750億美元,大大減少了Oracle為建設AI數據中心所需籌集的資金。 但讓市場擔心的是持續增加的資本開支與融資計劃:全年資本開支為557億美元,公司此前預期為500億美元,預計新財年將達到700億美元。為了支撐AI
【🎁有獎話題】甲骨文績後暴跌逾10%!臺積電上月營收增長30%!資本開支過高值得擔憂嗎?
🌟🌟🌟 $Oracle(ORCL)$ comfortably shattered Wall Street expectations, reporting a Q4 revenue of USD 19.18 billion, up 21% YoY against a forecast of US...
TOPMeowvin: Thank for sharing
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Lanceljx
·
06-11
Three separate narratives are hitting the market at the same time: 1. Geopolitical risk: Any escalation around the Strait of Hormuz raises oil prices, which feeds inflation concerns and hurts risk assets. 2. Rates and inflation: If inflation remains sticky, the market has to price in fewer rate cuts. High-growth sectors like semiconductors and AI tend to be the most sensitive to higher discount rates. 3. AI valuation reset: After an enormous rally, investors are demanding proof that AI spending will generate returns. Even strong earnings are being judged against extremely high expectations. For me, this looks more like a valuation and sentiment correction than a collapse of the AI thesis. Demand for AI compute, networking, memory, and power infrastructure remains strong. The question is no
Three separate narratives are hitting the market at the same time: 1. Geopolitical risk: Any escalation around the Strait of Hormuz raises oil pric...
TOPvibzee: The valuation part is the real trap here. I’m not touching leverage, but staggered ETF buys make sense if oil keeps cooling. What would change your DCA pace first?
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Lanceljx
·
06-11
I'd be cautious about chasing on day one. The biggest risk with a blockbuster IPO is not the quality of the company. It is the gap between a great business and the price investors are willing to pay. History is full of excellent companies that delivered poor short-term returns because expectations became excessive. For SpaceX, there are three separate questions: Is SpaceX a world-class company? Probably yes. Can it continue growing through Starlink, launch services, and future space infrastructure? Likely yes. Is any valuation justified on listing day? Not necessarily. The "liquidity unlock" argument is plausible, but markets rarely move for a single reason. If rates, inflation, or geopolitical risks remain elevated, money released after the IPO may not flow straight back into AI and growt
I'd be cautious about chasing on day one. The biggest risk with a blockbuster IPO is not the quality of the company. It is the gap between a great ...
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Lanceljx
·
06-11
I'd focus less on the round number itself and more on why gold is failing to rally despite geopolitical tension. Traditionally, a Strait of Hormuz risk event would support gold. If gold is weakening anyway, it suggests other forces, such as higher real yields, a stronger US dollar, or profit-taking after a strong run, are outweighing the safe-haven bid. For investors: Scaling in gradually near major support can be reasonable if gold is a long-term portfolio diversifier. Going all-in simply because of the $4,000 level is risky. Round numbers often attract attention but are not magic floors. For traders: A decisive break below $4,000 with strong volume would be a warning sign that sellers remain in control. A successful defence of $4,000 followed by improving momentum would provide a more co
I'd focus less on the round number itself and more on why gold is failing to rally despite geopolitical tension. Traditionally, a Strait of Hormuz ...
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离火大运
·
06-12
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Elliottwave_Forecast
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06-11

Bitcoin (BTCUSD) Elliott Wave Count: Renewed Decline Approaches $41,400–52,200

The short-term Elliott Wave structure from the May 6, 2026 peak is developing as a clear five-wave impulse. From the May 6 high, wave ((i)) concluded at $74,192, followed by a corrective rally in wave ((ii)) that terminated at $78,000. After this retracement, the cryptocurrency resumed its decline in wave ((iii)), which itself unfolded as a smaller degree impulse. Within this sequence, wave (i) ended at $72,462, while wave (ii) produced a modest rally that finished at $74,223. The downward momentum continued as Bitcoin advanced into wave (iii), reaching $61,310 before a corrective rally in wave (iv) ended at $64,687. Subsequently, wave (v) drove prices lower to $59,104, completing the larger wave ((iii)). A rebound then materialized, and wave ((iv)) is proposed to have concluded at $64,197
Bitcoin (BTCUSD) Elliott Wave Count: Renewed Decline Approaches $41,400–52,200
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Shyon
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06-11
My guess is that SpaceX will open extremely strong. With heavy oversubscription, Musk’s following, and strong demand for anything linked to AI infrastructure, I wouldn’t be surprised to see the stock jump around 50% or more within the first few hours. In the very short term, sentiment and momentum will likely matter far more than valuation. That said, I think the first-day rally may be the easy part. Once the initial excitement fades, traders will likely start taking profits, and the market will shift focus to valuation, capital spending needs, and how fast the AI-related businesses can actually scale into profits. A pullback in the days after listing would not surprise me. Personally, I won’t be chasing it on day one. I expect a strong initial surge followed by a meaningful correction as
My guess is that SpaceX will open extremely strong. With heavy oversubscription, Musk’s following, and strong demand for anything linked to AI infr...
TOPIWanttowinJacpot: Buy LASE. NVIDIA is investing in LASE. This stock will go to $10. Buy some today and never regret it. Catch it early. Laser Photonics (LASE) stock jumped 22% on a data center order. An NVIDIA partnership could be on the way.
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Shyon
·
06-12
I think the recent drop in gold is more about liquidity and positioning than a breakdown in its long-term role. In deleveraging phases, investors often sell liquid assets like gold to raise cash, so this feels more like short-term pressure from funding needs, rate expectations, and weak technicals rather than a loss of safe-haven demand. On timing, I’m not rushing in yet. I’d prefer to see some stabilization and a reclaim of the ~4,500 level before adding more meaningfully. For now, I still view this as a staggered accumulation zone rather than trying to pick the exact bottom, especially with macro uncertainty still in play. For exposure, I prefer gold ETFs like SPDR Gold ETF (GLD) for liquidity and simplicity. I also find DBS’s upcoming tokenized gold from DBS Group interesting for Singa
I think the recent drop in gold is more about liquidity and positioning than a breakdown in its long-term role. In deleveraging phases, investors o...
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