Biotech Boom Amid Market Rebound: A Sector to Watch
$S&P 500(. $S&P 500(.SPX)$ )$ $iShares Biotechnology ETF( $iShares Biotechnology ETF(IBB)$ )$ $Amgen Inc.( $Amgen(AMGN)$ )$ $Regeneron Pharmaceuticals( $Regeneron Pharmaceuticals(REGN)$ )$ $Vertex Pharmaceuticals( $Vertex Pharmaceuticals(VRTX)$ )$ As of April 23, 2025, at 9:00 AM PDT, the stock market is riding the wave of a strong recovery, with the S&P 500 gaining 2.8% on April 22, closing at 5,302, and futures pointing to a positive open today. Amid this rebound, the biotech sector is stealing the spotlight, fueled by breakthrough innovations and a favorable macro
Financials Lead the Charge in Market Recovery: Opportunity or Overreach?
$S&P 500(. $S&P 500(.SPX)$ )$ $Financial Select Sector SPDR Fund( $Financial Select Sector SPDR Fund(XLF)$ )$ $JPMorgan Chase & Co( $JPMorgan Chase(JPM)$ )$ $Goldman Sachs Group( $Goldman Sachs(GS)$ )$ $Bank of America( $Bank of America(BAC)$ )$ As of April 23, 2025, at 9:30 AM PDT, the stock market is holding onto gains after a robust recovery, with the S&P 500 climbing 2.8% on April 22 to close at 5,302, following a volatile start to the week. Today, the financial sector is taking the lead, with the Financial Select Sector SPDR Fund (XLF) gaining 3.5% yesterday and
Tech Sector Stages a Comeback Amid Market Rebound: A New Bullish Signal?
$S&P 500(. $S&P 500(.SPX)$ )$ $Technology Select Sector SPDR Fund( $Technology Select Sector SPDR Fund(XLK)$ )$ $NVIDIA Corporation( $NVIDIA(NVDA)$ )$ $Advanced Micro Devices( $Advanced Micro Devices(AMD)$ )$ $Microsoft Corporation( $Microsoft(MSFT)$ )$ As of April 23, 2025, at 10:30 AM PDT, the stock market is sustaining its recovery trajectory, with the S&P 500 holding firm at 5,302 after a 2.8% gain on April 22, and futures indicating a modestly positive open today. The tech sector, which had been battered earlier this year, is now leading the charge, with the Techn
Energy Sector Rides Oil Price Surge: A New Market Leader Emerges?
$S&P 500(. $S&P 500(.SPX)$ )$ $Energy Select Sector SPDR Fund( $Energy Select Sector SPDR Fund(XLE)$ )$ $Exxon Mobil( $Exxon Mobil(XOM)$ )$ $Chevron Corporation( $Chevron(CVX)$ )$ $ Occidental Petroleum( $Occidental(OXY)$ )$ As of April 23, 2025, at 10:00 AM PDT, the stock market continues its recovery momentum, with the S&P 500 holding steady at 5,302 after a 2.8% gain on April 22. Amid this rebound, the energy sector is emerging as a standout performer, driven by a sharp rise in oil prices and renewed investor confidence. The Energy Select Sector SPDR Fund (XLE) climbe
Stock Market Volatility: Unpacking April 2025 Trends
$S&P 500(. $S&P 500(.SPX)$ )$ $iShares Russell 2000 ETF( $iShares Russell 2000 ETF(IWM)$ )$ $Consumer Staples Select Sector SPDR Fund( $Consumer Staples Select Sector SPDR Fund(XLP)$ )$ $SPDR Gold Shares( $SPDR Gold Shares(GLD)$ )$ As of April 22, 2025, the stock market is grappling with heightened volatility, driven by a sharp drawdown and shifting investor sentiment. The S&P 500 has shed 11.14% year-to-date, closing at 5,158 on April 21 after a 2% daily drop. This decline, one of the steepest since the 2020 crash, stems from new tariff policies introduced by President Donald Trump in early April, sparking a gl
Hello everyone! Today i want to share some technical analysis with you!1.Remember when someone called $TransMedics Group, Inc.(TMDX)$ the “modern-day Squid Game”? One of the worst takes out there.The bears are back in the cave where they belong -- stock’s up 42% YTD. Conviction isn’t always easy -- but this is when it pays off.Image2.I love how people start throwing out wild claims on dominant companies the moment the stock's down -- because narrative always follows price action.Take $Amazon.com(AMZN)$ for example: it’s off ~25% & suddenly everyone’s acting like it’s a China-dependent retailer on the verge of collapse.In reality, only ~40% of Amazon’s revenue comes from its own retail. The rest? Platf
1. $XAU/USD(XAUUSD.FOREX)$$Gold - main 2506(GCmain)$ Wednesday (April 23) Asian morning trading, gold opened nearly $ 40 lower, and once touched $ 3313.51 / ounce, down nearly $ 200 from the record high of 3500 mark touched on Tuesday, as U.S. Treasury Secretary Bessent hinted that international trade tensions will ease, which inspired optimism in the stock market and boosted the dollar rallied to a nearly one-week high; Tuesday's spot gold closed down 1.2% to close at 3380.95 US dollars.Open a CBA today and enjoy privileges of up to SGD 20,000 in trading limit with 0 commission. Trade SG, HK, US stocks as well as ETFs unlimitedly!For whom haven't open CBA can know more from below:Find out mo
HOOD Is Going to be a Big Winner Over the Next Decade
1.After peaking at $67, $Robinhood(HOOD)$ dropped to a low of $29, a ~56% pullback largely driven by tariff-related fears. Recently, the stock has been consolidating in the $40–$44 range. If $HOOD can break above $49, expect a sharp squeeze that could send it back toward this year’s high of $67.Despite the tariff headlines, the core fundamentals haven’t changed. In fact, the current environment may be more favorable for Robinhood. With uncertainty rising, many retail investors could shift money out of savings and back into the market as they believe opportunities are available - boosting trading activity on the platform.Adding fuel to the fire are rumors around a potential move into sports betting and international expansion. If either proves true
Value Play For Inflation-Sensitive Investors : Automotive Sector
Short-term volatility is whipsawing the S&P 500 and global equity markets, and the root cause appears to be the latest wave of trade tariff announcements by President Trump. While the market is pricing in tariffs as a net negative, at least for now, the reality is that this short-term pain has enough factors playing behind it to turn this situation into long-term gains across the board. One of the main industries most directly impacted by the new tariffs is the automotive sector, where tariffs could have a twofold effect in the future. The automotive sector can offer strategic opportunities for inflation-sensitive investors seeking value plays, particularly when targeted at segments that demonstrate resilience to inflationary pressures or undervalued potential. Here’s a structured appr
Global markets closed broadly higher on hopes of easing tariff tensions and strong corporate earnings from the U.S. 🇺🇸 S&P 500 Index: 2.51% 📈 🇺🇸 Nasdaq Index: 2.71% 📈 🇪🇺 STOXX 600 Index: 0.44% 📈 🇯🇵 Nikkei 225 Index: -0.17% 📉 🇭🇰 Hang Seng Index: 0.87% 📈 🇨🇳 CSI 300 Index: 0.04% 📈 🇸🇬 Straits Times Index: 0.96% 📈 U.S. markets rallied on Tuesday, with the S&P 500 and Nasdaq jumping 2.5% and 2.7%, respectively. A wave of strong quarterly earnings and signs of potential easing in U.S.-China trade tensions helped draw sidelined capital back into the market. Asia-Pacific markets also ended broadly higher, with the Hang Seng Index and CSI 300 Index rising 0.9% and 0.04%. Expectations for more policy support from China helped offset early-session selling triggered by President Trump's comment
COIN, SPY, MARA, ONDS& CELH Enjoy Great Recovery Now!
Hello everyone! Today i want to share some technical analysis with you!1. $Celsius Holdings, Inc.(CELH)$ Volume shelf looking like a massive launchpad here.Image2. $Ondas Holdings Inc.(ONDS)$ Coiling up like a massive spring.Image3. $MARA Holdings(MARA)$ Breaking out. November 2024 pivot VWAP a potential upside target above, currently at $17.76.Image4. $SPDR S&P 500 ETF Trust(SPY)$ Getting a bit toight.Image5. $Coinbase Global, Inc.(COIN)$ Inverse head & shoulders playing out. ImageOpen a CBA today and enjoy privileges of up to SGD 20,000 in trading limit with 0 commissio
Musk’s U-Turn: “Less DOGE, More Tesla” – Will $25K EV Be the Savior?
$ Tesla (TSLA)$ reported Q1 2025 earnings after the bell on April 22, 2025, kicking off the year with a double miss on revenue and profit.Not only did this earnings report mark the worst earnings slide since Q2 2022, management withdrew its full-year growth guidance.However, investors were also heartened by Elon Musk's change in attitude, saying he would reduce his hours at the government department DOGE starting in May and return his focus to Tesla.Markets in the days before the earnings report on the violent shock, the day before the earnings report fell more than 5%, in the case of the market plunge in the week before the earnings report to the options implied volatility also once reached 170%, IV Percentage reached 98%.The actual earnings report
Hello everyone! Today i want to share some trading analysis with you!1. $S&P 500(.SPX)$ Seriously considering NVDS as an active hedge while accumulating long S&P 500 exposure. Shop S&P 500 4800-5200 (first buy yesterday was SPY 509.87)Hold NVDS until $NVIDIA(NVDA)$ WAITIN trades back above 100. Simple strategy.2.What if the after hours Trump rally is to sell into before Bessent state of financial system. The big guy is always looking out for his friends right?3.Yup. We are visiting the lows. No doubt about it. Sorry, I don’t make the rules.ImageOpen a CBA today and enjoy privileges of up to SGD 20,000 in trading limit with 0 commission. Trade SG, HK, US stocks as well as ETFs unlimitedly!For w
Hello everyone! Today i want to share some option strategies with you!1.0DTE $S&P 500(.SPX)$ iron condor trades expired worthless for max profit. 5100P & 5415C on the short strikes.Also wrote more positions on $Tesla Motors(TSLA)$ to capture elevated IV. Sold a strangle. Looks like both the 297.5C and 162.5P will expire worthless for max profit. Might bring in the trade on both sides to try and squeeze out more premium.Image2.Gonna sell more naked calls on $Tesla Motors(TSLA)$ tomorrow. This pump in AH is great, gross margins are improving, but the numbers are still bad.Open a CBA today and enjoy privileges of up to SGD 20,000 in trading limit with 0 comm
Hello everyone! Today i want to share some technical analysis with you!1.To Subs: $S&P 500(.SPX)$ (1) the Red W-4 on the 30-min chart may NOT complete, which means the triangle will take a few more days to work out in this large chopping zone. (2) by so doing, the turning window I marked in the newsletter may be the ending point of W-4, not W-5. (3) patience.2.Panda Hammer landed 70+ pts in hours [the top of rebound is 5309; MPW hammer zone is 5300]. Now, after hitting 5234 support, the rebound complicates the picture. I am neutral now, with very tight stop at 5270-80. $Tesla Motors(TSLA)$ after hours will move market drastically. 20% position.Image3.99% Cash & Wait for the Cat with HAMMER: (1) Di
Tesla’s Unexpected Rally: What’s Driving the Surge?
$Tesla Motors(TSLA)$$NASDAQ(.IXIC)$$S&P 500(.SPX)$ On April 22, 2025, Tesla Motors dropped a first-quarter earnings bombshell that missed Wall Street’s targets. The company posted an adjusted 27 cents per share and $19.34 billion in revenue, falling short of the 39 cents and $21.11 billion analysts had penciled in. Yet, instead of a sell-off, Tesla’s stock soared—up 4.6% during Tuesday’s trading and another 5% after hours. What’s fueling this surprising surge? Beyond the Numbers The headline figures weren’t pretty. Automotive revenue tanked 20% year-over-year to $14 billion, dragged down by production hiccups for the updated Model Y and softer pricing amid