AAPL: Short-Term Bearish Near 197-199, Ideal Monthly Buy Points Emerging?
$Apple(AAPL)$ is currently quoted at $198, the stock price is in a critical price range?This is the turning point of the price in the past year. [What]If we expect to see a trend reversal, $Apple(AAPL)$ may have to hold the $197-199 level. Bulls cannot break below this level, otherwise…[Cry]Day chartFrom the monthly level, long-term investors think it is almost time to add to their positions!An option KOL plans that Apple's price could rise to $250 in January 2027.
Palantir Plunges 9% after earnings - Chance or Run?
Brief Introduction I believe Palantir Technologies Inc. $Palantir Technologies Inc.(PLTR)$ could be on the cusp of justifying its premium valuation and pushing toward new all-time highs—contingent on its Q1 2025 performance. As an investor intrigued by its AI leadership and strong government ties, I see the recent price around $120 reflecting market confidence. With earnings now released, this analysis explores the implications on the stock's outlook across several key dimensions. Palantir Earnings Recap and Market Reaction Palantir reported Q1 revenue of $884 million (+39% YoY), surpassing the $864 million forecast. EPS came in at $0.13, meeting analyst expectations. The company also raised its full-year
Eli Lilly & Company (LLY) Favors Rally Targeting New Weekly High
Eli Lilly & Company (LLY) discovers, develops & markets human pharmaceuticals worldwide. It comes under Healthcare sector & trades as “LLY” ticket at NYSE. LLY is bullish in weekly sequence from all time low. It favors rally in (V) after double correction ended at $677.09 low in April-2025 low. It favors rally to continue in (V) of ((III)) towards $1155 or higher levels against 4.07.2025 low. Further rally confirms above $972.53 high. LLY – Elliott Wave Latest Weekly View: LLY – Elliott Wave Latest Weekly View In weekly, it favors rally within the sequence from March-2009 low & expect one more push higher to finish it. In weekly, it placed (I) at $92.85 high in October-2015 & (II) at $64.18 low in November-2016. It ended extended (III) sequence at $972.53 high in
$UOB(U11.SI)$ Among the 3 Banks $UOB(U11.SI)$ , I'm in position with Both DBS and UOB, but I find that the UOB charts 📈 looks Better although Both Rebound 🪃 differently from the recent tariffs saga [Sweats] [OMG] . More Upside maybe 🤔. Nevertheless am anticipating that the Banks will still have upside after their announcement 🙏. Holding on to the ride 💪. Good luck to all shareholders 🤞😊
Singapore Banks Brace for Earnings Season Amid Softening NIMs and Rate Cut Headwinds As an investor with a strong focus on the Singapore banking sector, I'm closely watching the upcoming earnings releases from the nation's three leading financial institutions—UOB $UOB(U11.SI)$ , DBS $DBS Group Holdings(D05.SI)$ , and OCBC $ocbc bank(O39.SI)$ —which are scheduled to be announced starting May 7, 2025. My outlook remains bullish on all three, though the anticipated earnings figures and broader macroeconomic developments warrant a measured and discerni
$CleanSpark, Inc.(CLSK)$$MARA Holdings(MARA)$ ⚡📊🚀 CLSK & MARA: Smart Money Pullback or Bull Trap? Read This Before You Fade 🚀📊⚡ This wasn’t just any red day, it was a deliberate retest, and the tape is screaming for attention! Both $CLSK and $MARA backtested their 20 and 50-day SMAs on 05 May 2025, precisely where disciplined traders expect real trend confirmation. These weren’t failed breakouts, they were textbook shakeouts designed to clear weak hands before earnings season hits full stride. $CLSK is set to report earnings on 08 May 2025 after market close, with its webcast scheduled for 4.30 PM ET CleanSpark kissed the 20 and 50SMA cluster at $8.01 and held the Point of Control like a champ. Volum
Option Movers | Berkshire Hathaway's Volume Surges 224%; Apple Sees Bearish Sentiment
Market OverviewThe S&P 500 fell to snap its longest streak of gains in 20 years on Monday (May 5) as investors assessed U.S. President Donald Trump's latest tariff announcement ahead of the Federal Reserve's monetary policy decision later this week.Regarding the options market, a total volume of 46,302,742 contracts was traded.Top 10 Option VolumesTop 10: $Tesla(TSLA)$, $Nvidia(NVDA)$, $Palantir(PLTR)$, $Apple(AAPL)$, $Amazon(AMZN)$, $Strategy(MSTR)$, $AMD(AMD)$,
$SPDR S&P 500 ETF Trust(SPY)$$S&P 500(.SPX)$ 🚨📉🔥 $21 Million Bet on SPY, Turning Point or Trap? 🔥📉🚨 Amid the noise of intraday volatility, one move cut through like a blade. A $21.68 million bearish block trade just hit the tape on $SPY. 10,000 contracts at the 31 July $570 strike, loaded while SPY was trading at $565.78. This isn't a hedge. It is a position with teeth! The flow is clear: 🔴 Put Premium: +$6.92M ~ put buying dominated the tape. 🟢 Call Premium: –$19.62M ~ net call selling added bearish pressure. 📉 Net Drift: Strongly negative! 📈 Spot Price at execution: $565.78. Even with delta stacking above, SPY is still pinned in a negative gamma band between $564 and $567. The Interval
[Event Reward] 5: Join Hot Topics Everyday to Win $5 Stock Vouchers & Tiger Coins!
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Young Adults All In Crypto: Making 1 Mln By Stock or Job? Which Is Harder?
$Strategy(MSTR)$ missed Wall Street estimates for both revenue and earnings in Q1 2025, but still reported a 13.7% year-to-date yield on its massive Bitcoin holdings.Revenue for the quarter came in at $111.1 million, a 3.6% drop year-over-year and roughly 5% below analyst expectations.Net loss ballooned to $4.2 billion, or $16.49 per diluted share, far worse than the anticipated $0.11 loss per share. For comparison, the company lost $53.1 million in the same period in 2024.Strategy’s CFO announced that the firm is now raising its Bitcoin yield target for the year to 25%, and setting a $15 billion target for Bitcoin-related gains.At this point, Strategy is essentially all-in on Bitcoin. Interestingly, the market seems to be on board with its model
It finally happened — a 6% drop in Berkshire Hathaway, and suddenly the unthinkable becomes real. After decades of quiet confidence under Warren Buffett’s steady hand, markets are jittery, headlines are swirling, and investors are wondering: is this the beginning of the end for the Oracle’s empire, or is it the best opportunity in years? Let’s break it down. Berkshire’s brand is inseparable from Buffett. His name has stood for trust, prudence, and long-term performance. His annual letters were gospel. His portfolio, a blend of American resilience and business common sense. So when news of his full transition to Greg Abel started circulating, the market reacted—not because Abel is unfit, but because Buffett’s shoes are enormous to fill. It’s emotional. It’s psychological. And yes, it’s a li
I will definitely buy a condominium as prices of property only increases in Singapore. This will make a good investment and also a form of diversification. Definitely no cars as they are depreciating assets. I also don’t have kids to worry about. My current life insurance are already adequate but I might increase coverage. I will set some money for travelling but less so for luxury goods and designer clothing as I value experience more than material comforts. I will put the remaining amount in hedge funds mainly for the sake of diversification and also potentially higher returns. Such sudden wealths are great to boosting lifestyle but also important to manage well and not get into the habit of splurging. But, I don’t buy Toto [Facepalm] @D
Public Holidays China is closed on Monday (5 May 2025) as they celebrate Labour Day. Hong Kong is closed on Monday (5 May 2025) as they celebrate Buddha’s birthday. There are no public holidays in America or Singapore. However, on Monday (5 May 2025), Singapore’s Saturday General Election (2025) will provide “off in lieu” for some business and government agencies. Economic Calendar (05May25) Notable Highlights (some are taken from Grok) The most watched news apart from Tariffs should be the Fed’s interest rate decision. President Trump has put pressure on the Fed to lower the interest rate. Fed Interest Rate Decision (02:00, USD, Previous: 4.50%): The previous rate was 4.50%. Any change in the interest rate, or even the tone of the FOMC statement, will significantly impact markets. A hawki
Is Palantir worth a buy? Earnings Calendar 05May25
Earnings Calendar (05May25) The interesting earnings for the coming week involve Ford, Palantir, Rivian, Uber, Disney, Occidental and Coinbase. Let us look at Palantir The stock price has risen by over 432% from a year ago. Technical Analysis recommends a “Strong Buy” rating. The Analysts’ Sentiment remains “Neutral”. The price target is 87.05, which implies a downside of 29.96%. The following Analysis is from Grok. Revenue Growth Trend: Palantir's revenue has grown significantly, increasing from $595 million in 2018 to $2.866 billion in 2024. The 7-year compound annual growth rate (CAGR) for revenue is approximately 25%. Key Milestones: Revenue growth was strong, with increases of 24.7% in 2019, 47.2% in 2020, 41.1% in 2021, 23.6% in 2022, 16.7% in 2023, and 28.8% in 2024, reflecting cons
Can the S&P 500 rally be extended - Outlook of S&P 500 (05May25)
Market Outlook of S&P500 - 05May25 From the Daily interval technical indicators, they point to a “Strong Buy” rating for the S&P 500. 18 indicators have a ”Buy” rating and 2 with a “Sell” rating. These are the technical indicators. Now, let us look at the candlestick patterns. The candlestick patterns imply a bearish outlook. Technical Analysis (from Grok): 1. Exponential Moving Averages (EMA) and Moving Averages (MA) Analysis: The price (5,686.67) is above the 8, 13, and 20-period EMAs, indicating a short-term bullish recovery after the recent dip. However, the price is above the 50-period MA (5,582.75) and 200-period MA (5,746.01), suggesting the longer-term trend remains bearish following the correction. The EMAs have converged, with the 8-period EMA crossing above the 13 and 20
Apple’s Tariff Trap: Is $200 a Steal or a Sinking Ship?
Apple’s( $Apple(AAPL)$ ) latest earnings dropped like a bombshell, beating Wall Street expectations with $95.4 billion in revenue and $1.65 EPS—yet the stock still slid 3%. Why? CEO Tim Cook’s stark warning: tariffs could slap a $900 million cost on the current quarter, and beyond June, it’s “very difficult” to predict the damage. With shares hovering around $200, the question looms: Is this a golden opportunity to buy the dip, or are you catching a falling knife with more pain ahead? Let’s break it down, weigh the risks, and decide if Apple’s worth the gamble. The Tariff Cloud Over Cupertino Apple’s Q2 earnings were a win on paper: revenue of $95.4 billion (above $94.66 billion expected) and EPS of $1.65 (beating $1.63 forecasts). iPhone sales hi
Layoffs, US GDP & Tariffs - My investing muse (05May25)
My Investing Muse (05May25) Layoffs, Delinquency & Closure news UPS has revealed plans to cut 20,000 jobs across its U.S. network, while Penske Logistics will eliminate over 300 positions in Missouri. US Xpress in Chattanooga, Tennessee, has also announced 56 job cuts. - FreightWaves Forever 21 is shuttering all 354 of its leased U.S. stores on May 1, 2025. It has been in the midst of massive liquidation sales across the country; sales of up to 60% off were seen throughout April. Mazda will shut down assembly lines for some of its CX-50 production in Canada at its Huntsville, Alabama plant, the first major automaker to halt U.S. production because of the tariffs. - Pedirayudas Layoffs and bankruptcies hit multiple sectors of the supply chain throughout April, as new or soon-to-be-impos
33% of HIMS Float Shorted: Is a Massive Squeeze Brewing for May 5th?
I'm investigating the possibility of a short squeeze in HIMS$Hims & Hers Health Inc.(HIMS)$ this Monday. To gauge if momentum is building, I can use platforms like Ortex.com, which offers a proprietary estimate of live short interest, though it’s not exact. Alternatively, I must rely on the New York Stock Exchange’s bi-weekly short interest reports, delayed by 10-15 days. For instance, data from April 15th indicated 60 million shares shorted—33% of HIMS’ float—but by April 30th, it was already outdated. For real-time signals, I’d track borrow fees on sites like Fintel or IBorrowDesk, which indicate shorting demand. Rising fees point to heavy shorting pressure, while a drop may suggest covering. Fail-to-deliver d