Mickey082024
Mickey082024
Value investor and Long Terms
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BA Stock A Risky Play

$Boeing(BA)$ Today, we’re diving into a company that’s been on a lot of investors' radars recently—Boeing (BA). Now, trust me, it’s not just about those iconic airplanes. While we all know Boeing for its massive influence in the aerospace industry, the company is at a critical juncture in its history. Boeing is facing some major decisions that could either propel them into a new era of growth or set them back for years to come. So, today, we’re going to take a comprehensive look at what’s going on with Boeing right now, starting with their latest earnings report, diving into the technical charts, and discussing all the news swirling around the company to help you make sense of this complex investment landscape. Earning Overview Boeing is projecting
BA Stock A Risky Play

AT&T Reports Positive Q1 2025 Earnings Is It A Buy For Dividend Investor?

$AT&T Inc(T)$ AT&T stock offers passive income through a dividend yield currently hovering around 4%. But does that make it a buy? Not necessarily. Dividend investors need to look beyond the yield itself. When you invest in a dividend-paying stock, you’re also exposed to fluctuations in the stock price—and those price movements can more than offset the income you receive from dividends. So in this video, I’m going to take a deeper dive. We’ll evaluate AT&T using broader financial metrics—not just the dividend yield. Yes, we’ll cover the yield, but we’ll also examine AT&T’s revenue growth history, profit margins, return on invested capital, and valuation, using both the forward price-to-earnings and price-to-free-cash-flow ratios. Plus
AT&T Reports Positive Q1 2025 Earnings Is It A Buy For Dividend Investor?

IBM Fall After Earning Release, Buy The Dip?

$IBM(IBM)$ Earning Overview In Q1, IBM reported sales of $14.54 billion, surpassing Wall Street expectations of $14.44 billion and slightly increasing from $14.46 billion in the same quarter last year. Earnings per share came in at $1.60—down from $1.68 a year ago, but well ahead of the $1.42 consensus estimate, marking a 12% beat. The company also delivered $2 billion in free cash flow, its highest Q1 result in several years. IBM CEO Arvind Krishna highlighted the company's strong start to the year, crediting its strategic focus on hybrid cloud and AI for driving robust revenue growth, profitability, and cash flow. Fundamental Analysis On April 24, 2025, IBM shares declined by approximately 6.6%, marking it as the worst performer in the Dow Jones
IBM Fall After Earning Release, Buy The Dip?

Mettler-Toledo Stock -39% Is IT Time To Buy Dip or Hold?

$Mettler-Toledo(MTD)$ Hey everyone, welcome back to the channel. Today, we’re diving into Mettler-Toledo International, ticker symbol MTD—a request that came in through the comments section of one of my recent videos. And as always, if you’ve got a stock you want me to take a look at, just drop it down in the comments. So let’s talk about Mettler-Toledo. This is one I do follow, even though I haven’t made a public video on it until now. The company operates in a pretty specialized niche—precision instruments, lab equipment, weighing systems. And what really stands out when you look at this business is the consistency of its performance over time. In MTD’s case, we’re using a static PE of 15 to anchor the comparison, and that line stays flat. It’s h
Mettler-Toledo Stock -39% Is IT Time To Buy Dip or Hold?

Charles River Lab Stock -80%, Is It Time To Buy Dip?

$Charles River Laboratories(CRL)$ Hey everyone, welcome back. Today, we’re going to be taking a closer look at Charles River Laboratories International, stock ticker CRL. As always, this isn’t personalized investing advice — this is just how I go about analyzing stocks based on the data, my process, and a bit of historical perspective. Now, before we dive into Charles River specifically, let me just say — I took a short break yesterday from making article. After publishing one every day for about a week, the market finally got a little too crazy. When stocks are swinging wildly minute by minute, it's honestly hard to keep up. You can put in the work to research something, record the video, edit it, get it uploaded — and by the time it's live, half
Charles River Lab Stock -80%, Is It Time To Buy Dip?

Buy Snap Stock Before April 29 Earning?

$Snap Inc(SNAP)$ Snap Inc. is scheduled to report its Q1 2025 financial results after the market closes on Tuesday, April 29th. So in today’s article, we’re going to answer a key question on a lot of investors’ minds: Should you buy Snap stock before the earnings report… or wait until after? I’ll walk you through the risk-reward tradeoff from both angles, where I think the greatest risks are concentrated, and whether those risks skew more to the downside or the upside. I’ll also show you exactly what I’ll be looking for in the numbers they report, from revenue trends to user growth to cash flow. Then, I’ll share my proprietary discounted cash flow model which calculates a fair value for Snap based on updated data—along with a forward valuation met
Buy Snap Stock Before April 29 Earning?
avatarMickey082024
04-24 11:35

Buy Palantir Stock Before May 5 Earning?

$Palantir Technologies Inc.(PLTR)$ Palantir is scheduled to report its Q1 2025 earnings after the market closes on Monday, May 5th, and investors are asking one big question: Should you buy Palantir stock before earnings? In this articles, I’ll walk you through that decision. I’ll also preview what to watch for in the upcoming report, especially around commercial momentum, profitability, and macro-driven demand. And, as always, I’ll share my proprietary discounted cash flow valuation model, revealing what I believe is Palantir’s true intrinsic value in today’s market. In other words — I’ll give you my perspective on whether Palantir is a buy right now, or if investors should sit tight and wait for a better entry. Palantir: A Business in Accelerati
Buy Palantir Stock Before May 5 Earning?
avatarMickey082024
04-24 05:38

ADOBE CRASHED to a 52 Week Low… Time to BUY?!

$Adobe(ADBE)$ The markets are showing positive signs today, with green across the board. However, if we take a closer look at the broader picture over the last few days, it's clear that the market is still in the midst of a continuation of a downward trend. It's important to highlight that even though we’re seeing some recovery today, there's still a sense of caution in the air. The volatility of the past few days indicates that investors remain on edge, navigating through uncertainty. Today, we want to focus on Adobe, a company that's been in the spotlight recently, and dive into its current situation, performance, and potential investment opportunity. Adobe's Performance in the Context of Market Struggles While many companies have been hit hard
ADOBE CRASHED to a 52 Week Low… Time to BUY?!
avatarMickey082024
04-24 05:36

Lululemon Big Risks Investors Need to Know Right Now

$Lululemon Athletica(LULU)$ Stock markets around the world have entered a period of rising volatility—and with that comes a renewed focus on risk. For long-term investors, the next few quarters are going to require deeper scrutiny, not just of earnings and valuations, but of the underlying risk factors shaping each company’s future. That's why I’m placing a stronger emphasis on risk analysis across the companies I follow. In this breakdown, we’re going to take a deep dive into Lululemon, one of the most prominent names in the athleisure space, and walk through three major risks that every investor should understand before buying, holding, or selling the stock. Looking Ahead: Earnings in Focus Investors are now turning their attention to Lululemon’
Lululemon Big Risks Investors Need to Know Right Now
avatarMickey082024
04-24 05:20

US Stocks Have More Downside!!! -40% Ahead?

$Bank of America(BAC)$ $S&P 500(.SPX)$ $Invesco S&P 100 Equal Weight ETF(EQWL)$ Bank of America’s Warning: A 40% Market Drop Ahead? On February 16th, Bank of America issued a stark warning to investors: the stock market could experience a 40% decline. At the time, the S&P 500 was trading well above the 6,000-point mark. Since then, we’ve already seen a 20% drop in the index, largely driven by the new tariffs imposed by Donald Trump’s administration. However, Bank of America suggests that the market’s woes could go much deeper than just tariff concerns. According to their analysis, the market is facing a structural issue that resembles the conditions le
US Stocks Have More Downside!!! -40% Ahead?
avatarMickey082024
04-24 04:14

Should You Buy Ford Stock Before Earnings? A Deep Dive into the Risks, Valuation, and Outlook Amid Tariffs

$Ford(F)$ Ford Motor Company is set to report its latest quarterly financial results after U.S. markets close on May 5, 2025. With the backdrop of escalating global trade tensions and newly implemented tariffs by President Donald Trump’s administration, investor uncertainty has reached a new high. Many are now asking the critical question: should you buy Ford stock before earnings are released? In this article, we’ll explore that question by taking a closer look at Ford’s recent financial performance, the evolving electric vehicle (EV) landscape, potential impacts from tariffs, labor force dynamics, and conclude with a proprietary discounted cash flow valuation model to determine the intrinsic value of Ford shares. Ford’s Last Earnings: Revenue Growt
Should You Buy Ford Stock Before Earnings? A Deep Dive into the Risks, Valuation, and Outlook Amid Tariffs
avatarMickey082024
04-24 04:04

Rising Tariffs Is General Motors Stock A Buy Amid The Risk?

$General Motors(GM)$ While General Motors is widely recognized as an iconic American car manufacturer with deep roots and substantial manufacturing operations in the United States, the reality is that it operates as a global enterprise with a significant presence outside U.S. borders. One of the most notable aspects of GM’s international strategy is its joint ventures and manufacturing footprint in China. While this global scale brings advantages in terms of market reach and diversification, it also introduces real vulnerabilities—especially in the current economic climate where rising geopolitical tensions and tariff announcements are escalating quickly. Because of GM’s reliance on global supply chains, especially its entanglement with China, the c
Rising Tariffs Is General Motors Stock A Buy Amid The Risk?
avatarMickey082024
04-24 01:00

These REITs Are Shacky In 2025

$Airbnb, Inc.(ABNB)$ $NNN REIT INC(NNN)$ $AGNC Investment Corp(AGNC)$ $Equinix(EQIX)$ I want to highlight five categories of REITs that I believe investors should avoid in today’s rapidly shifting landscape. These sectors are facing significant risks, and I’m concerned they could suffer major capital losses in 2025. So be sure to read through this entire article to understand why. We’re currently in a highly uncertain environment, primarily due to the escalating trade tensions. Initially, Trump imposed sweeping tariffs on much of the world, only to walk them back days later with a 90-day pause for most countries—while sim
These REITs Are Shacky In 2025
avatarMickey082024
04-24 00:42

Why TSM Under The Spotlight Again?

$Taiwan Semiconductor Manufacturing(TSM)$ There are several compelling reasons why Taiwan Semiconductor Manufacturing Company (TSMC) is at the center of attention among investors today. It isn’t just another chipmaker—it’s the backbone of the modern digital economy and one of the most important companies in the world when it comes to advanced semiconductor manufacturing. TSMC is positioned right at the intersection of two global forces: the rapid rise of artificial intelligence (AI) and increasing geopolitical tensions, particularly between the United States and China. Both of these trends are reshaping global markets, and TSMC plays a critical role in each. Let’s unpack what’s happening with Taiwan Semiconductor, why it’s so important to investors
Why TSM Under The Spotlight Again?
avatarMickey082024
04-23 14:17

Should You Buy Intel Stock Before April 24 Earning?

$Intel(INTC)$ Intel is set to report its first-quarter 2025 financial results after the markets close on April 24th. And that has investors asking one big question: Should you buy Intel stock before the earnings announcement—or wait until after? That’s exactly what I’m going to help you decide in this article. We'll also walk through: What to watch for in Intel’s Q1 report The company’s evolving strategy, leadership changes, and potential restructuring Why I believe the market is dramatically undervaluing Intel right now And, of course, I’ll share my updated discounted cash flow (DCF) model—with a fresh valuation based on current fundamentals and future cash flows. A Quick Recap of Where Intel Stands Let’s rewind a bit. On January 30th, Intel repo
Should You Buy Intel Stock Before April 24 Earning?
avatarMickey082024
04-23 10:42

Buy Alphabet Stock Before April 24?

$Alphabet(GOOG)$ Alphabet Q1 2025 Earnings Preview: Should You Buy Before or After the Report? Alphabet (GOOGL) is set to report its first-quarter financial results after the market closes on April 24th, 2025. And as usual, investors are asking a very familiar question: Should I buy the stock before earnings, or wait until after the numbers are out? That’s exactly what I’ll be breaking down in this article. I’ll walk you through the key areas investors should be focused on heading into this report, including Google Search, Google Cloud, AI investments, and regulatory risks. I’ll also share my proprietary discounted cash flow model to help determine if Alphabet is undervalued right now — and by how much. Looking Back at Q4: Alphabet Delivered Stron
Buy Alphabet Stock Before April 24?
avatarMickey082024
04-23 10:36

Marvell Technology Crash over 60% In 2025, Is It A Buy Now?

$Marvell Technology(MRVL)$ Marvell Technology is one of those companies that sits right at the crossroads of two massive forces: the unstoppable rise of semiconductors and the growing storm of geopolitical tension between the U.S. and China. It’s a fabless semiconductor firm, meaning it designs chips but doesn’t manufacture them. And that business model has worked well in many cases—but today, the dynamics are changing fast. So in this article, we’re going to break down Marvell’s business model, its financial health, and how exposed it is to geopolitical risk. We’ll also go deep into valuation—using a discounted cash flow model to determine what the stock is really worth—and see if it makes sense to buy the stock today. Understanding Marvell's Bus
Marvell Technology Crash over 60% In 2025, Is It A Buy Now?
avatarMickey082024
04-23 08:11

Albemarle Stocks Gets Smash: Is It Time To Buy?

$Albemarle(ALB)$ Today, we’re going to revisit Albemarle, ticker symbol ALB. I’ve had a ton of questions on this one lately, especially with the recent selloff, so I figured it was time to take another look and share my current thinking. Now, just a quick disclaimer: this isn’t individual investing advice. I’m not telling you to buy, sell, or hold anything. What I’m doing here is just walking you through how I personally analyze stocks, how I think about portfolio construction, and how I interpret risk. Always do your own research or talk to a financial advisor if you’re making investment decisions. Why We're Talking About ALB Again Over the past four trading days, I've posted four buy videos in a row. This one, however, is not going to be a buy vi
Albemarle Stocks Gets Smash: Is It Time To Buy?
avatarMickey082024
04-23 02:14

Delisting Risks: Avoid China's ADRs or Shift to HK Markets? 23/Apr

$China A50 Index - main 2504(CNmain)$ $S&P 500(.SPX)$ Delisting Risks: Avoiding Chinese ADRs or Shifting to Hong Kong Markets? The global investment landscape has been dramatically impacted by the tension between the United States and China, particularly with regard to Chinese companies listed in the U.S. Through American Depository Receipts (ADRs), many Chinese firms have been able to tap into U.S. capital markets, providing investors with access to the fast-growing Chinese economy. However, increasing regulatory scrutiny, geopolitical risks, and financial transparency concerns have raised serious questions about the long-term viability of these ADRs. This article explores the risks of delisting
Delisting Risks: Avoid China's ADRs or Shift to HK Markets? 23/Apr
avatarMickey082024
04-23 01:40

A Massive Tailwind for Gold And Panics Over Treasury Sell-Off

$SPDR Gold Shares(GLD)$ $iShares 20+ Year Treasury Bond ETF(TLT)$ Bessent’s Desperate Plan: The Gamble That Could Break the System Alright guys—let’s talk about what’s really going on in the U.S. economy right now. Because while the headlines are still fixated on inflation or whether we’re going to get a soft landing, something much deeper is brewing beneath the surface. The bond market—the lifeblood of the global financial system—is flashing red. And the government’s response? Panic. Desperation. And now, a plan so risky it could blow the entire system apart. Let’s rewind a bit. The U.S. bond market is in turmoil. Over the past few weeks, we’ve witnessed the biggest surge in 10-year Treasury yields since 2
A Massive Tailwind for Gold And Panics Over Treasury Sell-Off

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