$Palantir Technologies Inc.(PLTR)$ - Relative Strength Liquid Leader Out of 3 months downtrend line, 3-weeks bullish flag. Like the 1 week tightness. Earnings is 5th May Afterhours.ImageThe link below highlights the top 6 strongest liquid mega caps from a week ago. The longer these names hold their positions and relative strength %, the more actionable they'll become on a breakout. PLTR is currently high on my watchlist for a pre-earnings position.ImageFor whom haven't open CBA can know more from below:🏦 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!Find out more here:Trade on a Cash Boost Account and enjoy up to 6 months of Commission-Free trading.
From the overall market performance last week, most risk assets that had experienced significant pressure saw a pullback after an initial rapid rebound. Although the market's performance during the week was mediocre, the latest news developments suggest that there are few signs of further deterioration in the short term. After Trump’s tactics failed to yield significant impact, it is expected the market will continue to recover some ground before entering a second bottoming process. During this period, whether in terms of major asset classes or individual stocks, it is advisable to select strong performers, while those showing weak rebounds should be avoided.Due to the Easter holiday, there were only four trading days in the futures market last week. On the daily chart, the S&P 500 ind
Singapore Exchange reached 52 week high yesterday! Is It Time To Buy?
🌟🌟🌟The Singapore Exchange $SGX(S68.SI)$ hit a 52 week high on Tuesday trading to SGD 14.04. This is due to favourable market catalysts and improved sentiment. Here are some key drivers behind the upward momentum : New Listings and Strong Debuts: One major catalyst is the successful debut and IPOs of new listings on the SGX. A good example is the Automotive Group Vin's Holdings $Vins Holdings(VIN.SI)$ which made its first public appearance on April 15, garnering significant buying interest and serving as a Bullish signal for the broader Singapore market. Such new listings not only bring in fresh liquidity but also reinvigorate market co
🌟🌟🌟Netflix $Netflix(NFLX)$ did better than Analysts' expectations as its Q1 25 revenue grew 13%. Netflix said that higher than expected revenue was due to higher than forecasted subscriptions and advertising dollars. This is the 1st time Netflix did not disclose its quarterly subscriber data. It shifts its strategy to focus on revenue & other financial metrics as performance indicators. Wall Street Analysts are bullish on Netflix with a Buy rating, Average Target price of USD 1,110.00, an upside potential of 14%. I believe that the investors are upbeat on Netflix and that it will continue its upward momentum next week to close at around USD 990.00 after the Easter holidays. I will be watching closely to see if it will reach
The NASDAQ continuing the correction trend identified
$NASDAQ(.IXIC)$ Long-Term Investment Strategy]Current Trend Zone: ✅ BullishRecommended Position: Buy and HoldEntry DateEntry PriceCurrent PriceHolding DurationReturnApr 9, 202517,125.015,870.97 days▼ -7.3%📌 Strategy Insight:The current Bullish zone trend level of 62% signals strong upward potential in the mid-to-long term. While the recent -7.3% decline reflects a steep correction phase, such movements are often part of a temporary downward adjustment within a long-term uptrend.✅ Maintain the Buy and Hold strategy⚠️ A trend reversal has not occurred yet. Only consider selling if the zone shifts into Bearish territory.🔮 Forecasted 10-Day Price RangeLow Estimate: 15,499.1 (▼-2.3%)High Estimate: 16,524.5 (▲4.1%)Median Price Forecast: 16,011.8 (▲0.9%
$Tesla Motors(TSLA)$ is showing bullish price action after hours. If the stock opens around $250 tomorrow, it will find itself just below the 20-day moving average (DMA), the very line that rejected price after the last earnings report. While past performance isn't a guarantee, the $255 level presents a potential resistance to monitor closely tomorrow.Given the earnings report fell short of expectations, the resulting gap lower is likely to be filled within a couple of days, especially with any potential negative news.I thought the after hours rally was because Musk said he will be back to Tesla leaving DOGE.But no… the catalyst was Trump…ImageFor whom haven't open CBA can know more from below:🏦 Open a CBA today and enjoy privileges of up to SGD 2
SPX - Gap filled✅, and oscillators are trying to curl up
$S&P 500(.SPX)$ - Gap filled✅, and oscillators are trying to curl up: The move is promising, but technically speaking, the downtrend is intact considering the candle below the 5 and 10 DMA. For any bullish consideration, the grey line has to be conquered tomorrow.Image $SPDR S&P 500 ETF Trust(SPY)$ - The weekly chart provides a clearer view of the volume shelf that offered support. However, a break below $506 would likely lead to $492 imminently. While the overall setup remains bearish, the low volume observed on the zoomed-in daily chart despite the significant sell-off raises an interesting question: is the selling pressure becoming exhausted?ImageFor whom haven't open CBA can know more from belo
Chart of the Week - US global equity leadership is at a peaking point
When you look at enough markets for long enough you come to realize a few truths or at least rules of thumb for thinking about and navigating stockmarket regimes…The trend is your friend until it bends.No trend goes on forever uninterrupted.Cycles happen for a reason, and they repeat.Extremes are a feature of trend-ends and cycle-turns.As it happens, this week’s chart provides an excellent case study on all 4 counts + provides some timely insights into what is unfolding right now.Let’s go through them…The trend is your friend: there is clear persistency in the relative performance of US vs global equities, both up and down over time (i.e. you tend to see multi-year runs that can be clearly identified as a trend).Trends do not go on forever uninterrupted: all of those trends eventually came
Tesla (TSLA) Post-Earnings Outlook: Key Levels to Watch
$Tesla Motors(TSLA)$ Technical Analysis Earnings Update (22 Apr 2025) Tesla reported Q1 earnings yesterday. Market reacted positively intraday, but the price remains below the resistance of the moving average (around USD 280). Price Action Currently trading at USD 237.97, up +4.6% post-earnings. Still below the red shaded moving average resistance, which has capped recent rebound attempts. Key Support & Resistance Levels Short-term support at USD 215 This level has been tested multiple times since late 2023. A breakdown below 215 may signal weakness and open potential downside toward long-term support. Long-term channel support: USD 160–170 Aligns with a broader ascending channel from 2022. Trading Implication If TSLA holds above 215, short-t
1.Death Cross? 🤔"36 of the 49 instances saw the $S&P 500(.SPX)$ realize *gains* while the Death Cross was in effect. The problem is the losing trades were very large. And even most of the winners saw a sizable round-trip lower before they were able to carve out some gains" (Rob Hanna of Quantifiable Edges)Basically: don’t rely on this indicator, but definitely raise your focus on risk management and other factors when it’s active.Image2.While bearishness abounds, and there are very real downside risks, it's important not to lose sight of the opposite..."What's the best that could happen?"ImageFor whom haven't open CBA can know more from below:🏦 Open a CBA today and enjoy privileges of up to SGD 20,000 in trading limit with 0 commission. Trade
A big part of the US vs global equity dominance has been the rise and rise of US Tech Stocks. We see similar types of dynamics as discussed above playing out in this chart too. Trend persistence, cycles, extremes, and trend-ends + cycle-turns.The shock rise in US (geo)political risk comes at a time where US tech stocks reached extremes in valuations and concentration (e.g. record high market cap weights), and an extreme surge in relative performance by US tech vs non-tech and global tech; all of which now appear to be at a trend exhaustion point… $NASDAQ 100(NDX)$$Invesco QQQ(QQQ)$ For whom haven't open CBA can know more from below:🏦 Open a CBA today and enjoy privileges of up to SGD 20,000 in trading lim
This is base on research. Please do your own research. Gold prices have recently reached unprecedented levels, with spot gold hitting a record high of $3,500 per ounce on April 22, 2025 . This surge is driven by escalating geopolitical tensions, U.S. trade policies, and concerns over inflation, prompting investors to seek safe-haven assets. Should You Take Profits Now? Whether it's time to take profits depends on your investment goals, risk tolerance, and portfolio composition. Here are some considerations: • Locking in Gains: If your gold investments have significantly appreciated, selling a portion can help realize profits and rebalance your portfolio. Financial advisors suggest that if gold's share in your portfolio has grown beyond your target allocation (typically 5–10%), it might be
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