Would Nvax hit break even price $7.63 - Qn to ai (Asking on Piku's behalf)
Novavax (NVAX) Analysis: Key Considerations for Tonight's Price Action Current Price & Recent Performance Latest Price (2025-04-24): $7.49 USD (up 19.52% today), with an intraday high of $7.81 and low of $6.99. Break-Even Target: $7.63 (needs +0.16 USD from current level to reach). Recent Surge: The stock jumped 19.52% today , driven by news of FDA progress on its COVID-19 vaccine approval. Catalysts & News FDA Update (Key Driver): The FDA requested additional clinical data as part of a post-marketing commitment, signaling potential approval for Novavax’s vaccine. This news sparked a 12–19% rally in premarket and intraday trading. Market Sentiment: Analysts interpret the FDA's request as a constructive step toward full approval, reducing uncertainty about the company’s viability. T
Financials Lead Market Recovery: Are Banks the New Safe Bet?
$S&P 500(. $S&P 500(.SPX)$ )$ $Financial Select Sector SPDR Fund( $Financial Select Sector SPDR Fund(XLF)$ )$ $Bank of America Corporation( $Bank of America(BAC)$ )$ $JPMorgan Chase & Co( $JPMorgan Chase(JPM)$ )$ $Goldman Sachs Group( $Goldman Sachs(GS)$ )$ On April 24, 2025, the stock market continues its upward swing, with the S&P 500 hitting 5,375.86 after a 1.67% gain on April 23. Financial stocks are at the forefront of this recovery, buoyed by renewed confidence in the Federal Reserve’s stability and easing trade tensions. The Financial Select Sector SPDR Fund (
Industrials Gain Ground Amid Market Rally: Trade Hopes Fuel Optimism
$S&P 500(. $S&P 500(.SPX)$ )$ $Industrial Select Sector SPDR Fund( $Industrial Select Sector SPDR Fund(XLI)$ )$ $Boeing( $Boeing(BA)$ )$ $Caterpillar( $Caterpillar(CAT)$ )$ $General Electric( $GE Aerospace(GE)$ )$ On April 24, 2025, the stock market continues its upward trajectory, with the S&P 500 closing at 5,446.46 after a 3% gain on April 23, according to Yahoo Finance data. However, S&P 500 futures are down 0.2% following China’s statement that trade talks with the U.S. have not yet started, per CNBC. Amid this backdrop, industrial stocks are showing strength, wit
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.
Tech Stocks Drive Market Surge: Is the Rally Sustainable?
$S&P 500(. $S&P 500(.SPX)$ )$ $Nasdaq 100 Index( $NASDAQ 100(NDX)$ )$ $Technology Select Sector SPDR Fund( $Technology Select Sector SPDR Fund(XLK)$ )$ $Microsoft( $Microsoft(MSFT)$ )$ $Alphabet( $Alphabet(GOOGL)$ )$ On April 24, 2025, the stock market continues its upward momentum, with the S&P 500 climbing to 5,375.86 after a 1.67% gain on April 23, and the Nasdaq 100 jumping 2.5% to 16,708.05, according to recent market reports. Tech stocks are leading the charge, fueled by optimism over U.S.-China trade progress and renewed confidence in the Federal Reserve’s inde
There has been a back and forth regarding the tariff headlines as traders and investors are clouded in uncertainties. Clearly, the economic war has narrowed to a face-off between the US and China. Meanwhile, if we take our eyes away from the headlines, what’s price telling us? In this article, we will use the Elliott wave theory to discuss the possible paths the S&P500 (SPX) could take in the coming weeks. Early in April, the US President, Donald Trump announced the largely anticipated tariff plans. Shortly afterwards and days after, most assets especially the risk assets started to bleed. Investors panicked and converted to cash until the dust settled. Afterwards, cash flows went into precious metals especially Gold which saw some of it’s biggest gains in the last 100 years. Gold reac
Digital Gold indeed. In times of uncertainty gold has been your safe haven against Inflation. Compare gold currently at $3337 , a $1000 investment 15 years ago would nearly have doubled your investment ,its recently started to once again move to the upside, now Compare Digital gold / Bitcoins price from 2010, your $1000 investment of protection against inflation & times of uncertainty would provide you with proper protection and some more, $88 Billion, now that's called a safe haven of protection in times of uncertainty. An $88 Billion return at investing $1000 , in Digital Gold / Bitcoin ! Civilisations go through change every 200-340 years, you're in such a time. Your glass is indeed half full. Opportunity awaits you ! What are you going to do about it !!!! Happy investing
SHLD Global Defense Tech ETF is on the rise, thanks to new US Defense Budget of USD 1 Trillion
🌟🌟🌟On April 7, US President Donald Trump said that he had approved a defense budget of USD 1 Trillion. This is the biggest budget the US Government has ever allocated for its military. Afterwards Defense Secretary Pete Hegseth also confirmed it on X "Coming soon: the first Trillion Dollar Dept of Defense Budget". SHLD $Global X Defense Tech ETF(SHLD)$ seeks to invest in companies positioned to benefit from increased adoption and utilisation of Defense technology. This includes companies that build and manage cybersecurity systems, utilise AI and big data as well as build advance military systems and hardware such as robotics, fuel systems and aircraft for defense applications. SHLD has recently reached its 52 week high
🌟🌟🌟Is the US market experiencing a Dead Cat Bounce or has it hit a true bottom? For new investors, a dead cat bounce refers to a short lived recovery in a declining market. It is a temporary spike before further declines resume. In contrast, a true bottom represents the point at which a market has found sufficient support to begin a sustained recovery. In the current environment, distinguishing between these 2 scenarios is rather challenging given mixed market signals and the Trump factor. Dead Cat Bounce: Technical indicators suggest that the recent rally in the US markets could be a Dead Cat Bounce. While the markets have rebounded from recent lows, uncertainties which include geopolitical tensions, tariff related disruptions, continue to weigh on the
Communication Services Stocks Surge Amid Market Volatility: A Bright Spot?
$S&P 500(. $S&P 500(.SPX)$ )$ $Communication Services Select Sector SPDR Fund( $Communication Services Select Sector SPDR Fund(XLC)$ )$ $Alphabet( $Alphabet(GOOGL)$ )$ $Meta Platforms( $Meta Platforms, Inc.(META)$ )$ $Netflix( $Netflix(NFLX)$ )$ On April 24, 2025, at 8:36 PM +08, the stock market is navigating a rollercoaster, with the S&P 500 closing at 5,446.46 after a 3% gain on April 23, per Yahoo Finance data. However, S&P 500 futures are down 0.2% as China’s statement that trade talks with the U.S. have not yet started adds uncertainty, according to CNBC. A
Utilities Stocks Gain Traction in Market Rally: A Defensive Haven?
$S&P 500(. $S&P 500(.SPX)$ )$ $Utilities Select Sector SPDR Fund( $Utilities Select Sector SPDR Fund(XLU)$ )$ $NextEra Energy( $NextEra(NEE)$ )$ $Duke Energy( $Duke(DUK)$ )$ $Southern Company( $Southern(SO)$ )$ On April 24, 2025, at 8:24 PM +08, the stock market is experiencing a strong rally, with the S&P 500 closing at 5,446.46 after a 3% gain on April 23, according to Yahoo Finance data. However, futures are signaling caution, with S&P 500 futures down 0.2% following China’s statement that trade talks with the U.S. have not yet started, per CNBC. Amid this mixed ba
Stocks to Watch Today: Trade Tensions Weigh on Market Sentiment
$S&P 500(. $S&P 500(.SPX)$ )$ $American Airlines Group( $American Airlines(AAL)$ )$ $Boeing( $Boeing(BA)$ )$ $HCL Technologies( $HCL Technologies Ltd.(HCTHY)$ )$ $Bank of America Corporation( $Bank of America(BAC)$ )$ On April 25, 2025, the stock market is facing renewed uncertainty, with S&P 500 futures down 0.2% after the index closed at 5,446.46 on April 23, per Yahoo Finance data. The ongoing U.S.-China trade standoff—intensified by China’s denial of trade negotiations and its demand to lift all unilateral tariffs—has shaken investor confidence, as reported by Yahoo
$Palantir Technologies Inc.(PLTR)$ 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
$Snap Inc(SNAP)$ 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
$Taiwan Semiconductor Manufacturing(TSM)$$NVIDIA(NVDA)$$Intel(INTC)$ 🚨💻🇨🇳 Semiconductor Seduction: Intel’s “Win-Win” Wink or Waving White Flag? 🇨🇳💻🚨 Lip-Bu Tan didn’t just debut as Intel’s new CEO, he walked into the Q1 earnings call, lit a bonfire, and called it synergy. Tan revealed he met with TSMC CEO C.C. Wei and founder Morris Chang at their Silicon Valley tech summit, pitching a “win-win” alliance. But traders smelled it instantly, this isn’t just collaboration, it’s capitulation. Wall Street took the bait, $INTC surged 5.6%, but beneath the pop was a slash and burn plan, 20% workforce reduction, a pivot to leaner ops, and a silent admission tha
Is the Market Rebound a Trap? Decoding the Dead Cat Bounce Debate
The financial markets in 2025 are grappling with a critical question: is the recent rebound a fleeting dead cat bounce or a true bottom signalling a sustainable recovery? A dead cat bounce refers to a short-lived price recovery within a broader downtrend, often driven by temporary optimism or technical factors, while a true bottom indicates a fundamental shift toward sustained growth. With the US-China trade war escalating, economic indicators pointing to a slowdown, and investor sentiment divided, this analysis explores the current market cycle and proposes three high-probability options trading strategies to navigate the volatility. Market Context and Economic Indicators The US-China trade war, ongoing since 2018, has intensified in 2025, with the US imposing a 145% tariff on Chinese goo
$Alphabet(GOOG)$ earnings jumped 5% after the bell, mainly to address three market anxieties:The impact of AI on the advertising business is not reflected in the results, the loss of market share is really excessive concernCapital expenditure expenditure maintenance, AI competition continues, maintain the guidance of hardware manufacturers $Taiwan Semiconductor Manufacturing(TSM)$$NVIDIA(NVDA)$ E-commerce advertising will have an impact, but too much billing, DMA antitrust case has a program and has been accrued, the extent of which remains to be seen, and not as pessimistic as the market billingPerformance and market feedbackAnnounced strong FY2025 Q1 results th
$QQQ 20250423 448.0 PUT$ Opened a 0DTE CSPut earlier market. QQQ May slide down a bit later, it's too good a run 2 days continuously. TSLA announced bad earning but Trump is putting in nice words about Powell and descalating tarrif, this pump may not be sustainable, Mr FlipFlop and flip again. On technical, today's jump has hit the resistance side of the bearish channel Since the peak. If the share price can close outside this channel, the market will Iikely see better days ahead. $QQQ 20250423 448.0 PUT$