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xc__
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04-24

Market Resurgence: Trade Hopes and Fed Stability Fuel Rally

$S&P 500(. $S&P 500(.SPX)$ )$ $Nasdaq 100 Index( $NASDAQ 100(NDX)$ )$ $Technology Select Sector SPDR Fund( $Technology Select Sector SPDR Fund(XLK)$ )$ $Apple( $Apple(AAPL)$ )$ $Bank of America Corporation( $Bank of America(BAC)$ )$ As of April 24, 2025, the stock market has roared back to life, with the S&P 500 surging to 5,302 on April 22, erasing prior losses and signaling renewed investor confidence. This rally, sparked by optimism over U.S.-China trade talks and clarity on the Federal Reserve’s independence, underscores a pivotal moment for equities. Packed with pr
Market Resurgence: Trade Hopes and Fed Stability Fuel Rally
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1.12K
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MasterWU
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04-24

.SPX: What's Going on Next?

Hello everyone! Today i want to share some trading analysis with you!1.MPW Mid-Week Update Posted: $S&P 500(.SPX)$ (1) as noted yesterday, the W-4 sideway moves extend into a large triangle, but the end results would be the same. (2) a perfect bull trap has been set. Holding my puts entered at 5460, now deep green.Under the conditions, what can we do to escap from the choppy water?🏦 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 more here:Trade on a Cash Boost Account and enjoy up to 6 months of Commission-Free trading.
.SPX: What's Going on Next?
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1.29K
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Sentimoon
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04-24
$Broadcom(AVGO)$  AI Sentiment Summary Over the past 10 sessions, the price has shown volatility, opening at 185.15 before declining to 172.30, then recovering unevenly to 176.91. The sentiment trend has been mixed, with five upward (↑) and five downward (↓) movements, reflecting uncertainty. Despite recent fluctuations, sentiment improved on the final day, suggesting tentative optimism, though the overall trend remains cautious amid price swings. Looking ahead, sentiment is poised to weaken if the price falls below 173.59, potentially signalling further declines. Conversely, a rise above 185.32 could bolster sentiment, indicating renewed confidence. Given the recent uptick in both price and sentiment, cautious optimism may prevail, but susta
$Broadcom(AVGO)$ AI Sentiment Summary Over the past 10 sessions, the price has shown volatility, opening at 185.15 before declining to 172.30, then...
TOPMerle Ted: Blows my mind how so many investors will miss Broadcom at these levels for following the flock of the other one trick pony semi conductor companies
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1.72K
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Sentimoon
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04-24
$Intel(INTC)$  AI Sentiment Summary Over the past 10 sessions, the price has shown volatility, opening at 21.53 before declining to a low of 18.84, with a recent recovery to 20.59. Sentiment has been mixed, with three downward trends and six upward, indicating fluctuating confidence. The most recent sessions reflect improving sentiment, aligning with the price rebound, though the overall trend remains uncertain due to earlier declines. Looking ahead, sentiment is poised to weaken if the price falls below 18.97 or improve if it surpasses 20.43. The recent upward momentum suggests cautious optimism, but a break below the lower threshold could signal renewed pessimism. Conversely, sustaining above 20.43 may reinforce bullish sentiment, potential
$Intel(INTC)$ AI Sentiment Summary Over the past 10 sessions, the price has shown volatility, opening at 21.53 before declining to a low of 18.84, ...
TOPEnid Bertha: Great news from today Intel foundry will remain an Intel brand 18A is pretty much ready. Customers are excited need I say more
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3.84K
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Bryan0123145
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04-24
$Chagee Holdings Limited(CHA)$  CHAGEE: Premium tea, milk tea, coffee, lifestyle(think starbucks:merch,place for work, snacks). They are bringing something new to the western market: Premium chinese tea while telling the chinese story of the bawang. Yes bubble tea is not new in the western countries. But premium tea definitely is. Im sure those who have tried chagee knows the difference between its tea and the other standard bubble teas available in the western market. With its massive international expansion and being listed in the US stock market(away from potential competitotrs such as mixue), it is positioning itself in a prime spot for growth. so hold for a year or 2. 
$Chagee Holdings Limited(CHA)$ CHAGEE: Premium tea, milk tea, coffee, lifestyle(think starbucks:merch,place for work, snacks). They are bringing so...
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2.30K
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Futures_Pro
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04-24

Copper and Gold Outlook: Are We on the Verge of a New Bull Run?

Last week, easing tariff tensions between the US and China boosted market risk appetite, while Fed Chair Powell’s continued hawkishness had little impact on metals. Gold prices hit new highs and copper stabilized, both benefiting from inflationary pressures and improved tariff expectations.Market Performance OverviewPrecious metals saw strong gains: COMEX gold rose 2.65% and silver 1.09%. Industrial metals also performed well, with COMEX copper up 3.35% and SHFE copper up 1.33%. Notably, the domestic Chinese gold market outpaced global gains, highlighting robust local investment demand.Copper Market InsightsAfter sharp previous swings, copper prices steadied last week. Easing US-China tariff rhetoric supported market sentiment, even though substantial action is pending. Interestingly, Powe
Copper and Gold Outlook: Are We on the Verge of a New Bull Run?
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1.05K
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Mickey082024
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04-24

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?
TOPMortimer Arthur: GM falls to 5th place for sales in Colorado. Current brands by sales are: 1. Toyota 2. Ford 3. Subaru 4. Nissan 5. GM. Previously GM was 4th but has been passed by Nissan.
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Mickey082024
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04-24

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
TOPVenus Reade: Next up is Trump softening on auto tariffs and Ford will fly high. Buy now and enjoy a nice ride up. So cheap.
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Mickey082024
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04-24

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
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Sentimoon
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04-24
$NVIDIA(NVDA)$  AI Sentiment Summary Over the past 10 sessions, the price exhibited volatility, starting at 114.33 before declining sharply to 96.91, with a partial recovery to 102.71 by the end of the period. The sentiment trend remained predominantly positive (↑) until 17-Apr, when it turned negative (↓) as prices fell, before rebounding (↑) on 23-Apr. Despite fluctuations, sentiment stayed resilient during most of the downtrend, only weakening briefly during the lowest closes. Looking ahead, sentiment is poised to weaken if the price drops below 94.80, potentially signalling further declines. Conversely, a rise above 107.11 could restore bullish sentiment, supporting a price recovery. The recent uptick in sentiment (23-Apr) suggests cautio
$NVIDIA(NVDA)$ AI Sentiment Summary Over the past 10 sessions, the price exhibited volatility, starting at 114.33 before declining sharply to 96.91...
TOPVenus Reade: It’s up nicely, but imagine 2000 points from Monday lows mega rallies, so far they are buying up all tech like crazy
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Tiger_SG
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04-24

Only 3 Types of Investor Make Money: Which One Are You?

There are generally three types of investors who consistently make money in the US stock market — regardless of market conditions — as long as they stay in for at least ten years.1. The “Never Sell” TypeUnmoved by downturns, indifferent to rallies, they seem emotionally detached from market fluctuations. Gains and losses are just numbers in account. But in reality, “never selling” often means sticking with strong fundamentals. They hold not blindly, but because the business remains sound.Representative figure: Warren Buffett2. The Swing TraderThey follow the rhythm of the market: building positions at the bottom, riding through consolidation, profiting from rallies, and cashing out near the top. When done with discipline over time, swing trading can compound into impressive long-term retur
Only 3 Types of Investor Make Money: Which One Are You?
TOPMHh: I think i am a combination of the 3, depending on which market I am investing in. Generally, my porfolio is for the longer term. I top up on a regular basis to dollar cost average. When there are major dips, I add on more to take advantage of the dip or may even enter new positions. However, my experience with the HK market changed that for me. I realised that it is too volatile and irrational where good stocks can be really cheap. So, I started to swing trade a bit recently for the HK market. I still keep a good portion for a long term investment but I swing trade a portion to lock in profits and buy the dips in preparation to sell it off at a later time to lock in the profits. For the US and my SREITS, I buy th dips as I believe in the long term returns and hardly sell. @Kaixiang @Wayneqq @Fenger1188 @SPOT_ON @DiAngel @HelenJanet @rL @Success88 @Universe宇宙 come join
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Shyon
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04-24
While the shift in tone from Trump and Treasury Secretary Bessent is encouraging, I’m still cautious about betting on a sustained U.S. market rebound. Relief rallies are typical in bear markets and often precede further downside. With lingering Fed uncertainty and fading fiscal support, I’d stick to selective U.S. exposure, focusing on quality names with strong fundamentals. Emerging markets look increasingly attractive, especially as the dollar weakens. Latin America offers compelling real yields — Brazil’s inflation-linked bonds at 8% stand out. Meanwhile, Asia-Pacific tech is trading at much lower valuations than U.S. mega-cap tech, offering both recovery potential and growth. Right now, I’m leaning more toward emerging markets than chasing a U.S. rally. The global shift from U.S. domin
While the shift in tone from Trump and Treasury Secretary Bessent is encouraging, I’m still cautious about betting on a sustained U.S. market rebou...
TOPblimpy: Great insights! Love your strategic focus! [Heart]
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MaverickWealthBuilder
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04-24

Recession-Proof? ServiceNow Strong Q1, Raises Guidance, ​​AI Pays Off!

$ServiceNow(NOW)$ Strong Q1 FY2025 Earnings Performance Drives Shares Significantly Higher After HoursCore InsightsGrowth resilience highlighted: management raised guidance despite cautious IT spending environment, reflecting deep product moat (RPO +24% YoY to $18B).AI commercialization speeding up: from "technology story" to actual revenue generation, 2025 may be the inflection point of AI contribution.Strong upgrade guidance: current demand resilience exceeds expectations, customers regard ServiceNow as a "must-have" rather than an optional tool.If the economic downturn leads to a contraction of corporate IT budgets, it may affect the pace of expansion of small and medium-sized customers (current revenue concentration: Top 50 customers account fo
Recession-Proof? ServiceNow Strong Q1, Raises Guidance, ​​AI Pays Off!
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Tiger_comments
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04-24

Dead Cat Bounce vs. True Bottom: Where Are We Now?

After a series of declines, the market has become increasingly cautious about any rebound. Most people believe this is merely a dead cat bounce in a bear market, with further drops likely to come. We may all wonder: what stage are we? Are we currently in “fear“ stage? Analysts warn that despite that the fear and greed index indicate the sentiment is low, we haven’t seen the capitulation yet. That means the real pain is still ahead.However, some argue that with Trump softening his stance on tariffs, the impact of tariffs on the market may lessen going forward. If a recession can be avoided, the market's downside potential might be limited. CDN mediaInvestors are divided on where we are in the current cycle. What’s your take? Is this a dead cat bounce or have we already hit the bottom?Where
Dead Cat Bounce vs. True Bottom: Where Are We Now?
TOPicycrystal: @LMSunshine @rL @Universe宇宙 @GoodLife99 @HelenJanet @Shyon @Aqa @SPACE ROCKET @TigerGPT @koolgal After a series of declines, the market has become increasingly cautious about any rebound. Most people believe this is merely a dead cat bounce in a bear market, with further drops likely to come. We may all wonder: what stage are we? Are we currently in “fear“ stage? Analysts warn that despite that the fear and greed index indicate the sentiment is low, we haven’t seen the capitulation yet. That means the real pain is still ahead. Investors are divided on where we are in the current cycle. What’s your take? Is this a dead cat bounce or have we already hit the bottom? Where are we now? leave your comments to win tiger coins~
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xc__
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04-24

Trump and Fed: S&P 5500 Rebound or Emerging Markets Bet?

$S&P 500(. $S&P 500(.SPX)$ )$ $Emerging Markets ETF( $iShares MSCI Emerging Markets ETF(EEM)$ )$ $Industrial Select Sector SPDR Fund( $Industrial Select Sector SPDR Fund(XLI)$ )$ $Technology Select Sector SPDR Fund( $Technology Select Sector SPDR Fund(XLK)$ )$ On April 22, 2025, President Trump’s declaration that he has “no intention” of firing Federal Reserve Chairman Jerome Powell triggered a swift market turnaround. U.S. stocks roared back, with the S&P 500 climbing 2.8% to 5,302, the U.S. dollar strengthening, and bonds rallying, while gold retreated from its highs. Investors are now asking: Is this a massiv
Trump and Fed: S&P 5500 Rebound or Emerging Markets Bet?
TOPEllisBird: Incredible insights, really well done! [Cool]
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1.43K
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xc__
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04-24

Musk Returns to Tesla in May! Is This the Stock's Turning Point?

$Tesla Motors( $Tesla Motors(TSLA)$ )$ $S&P 500(. $S&P 500(.SPX)$ )$ $Nasdaq 100(. $NASDAQ 100(NDX)$ )$ Tesla Motors shares surged over 5% in after-hours trading following its first-quarter earnings release on April 22, 2025, despite missing analysts’ estimates. The electric vehicle giant posted adjusted earnings of 27 cents per share on revenue of $19.34 billion, falling short of the anticipated 39 cents per share and $21.11 billion. Meanwhile, Elon Musk dropped a bombshell during the earnings call, announcing he’ll significantly scale back his involvement with the Department of Government Efficiency (DOGE) starting in May to refocus on Tesla. Could this
Musk Returns to Tesla in May! Is This the Stock's Turning Point?
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