Weekly Top Contributor (14 - 20 July): Congrats to these Tigers on winning $225 vouchers in total!
🌟 Welcome to our "Top Contributor" Awards Program! 🌟Congratulations to the outstanding contributors who made last week unforgettable! You are the heartbeat of our community, and your dedication shines bright.From 14 - 20 JulyWeekly Top Contributor ($25 stock voucher):@orsiri@yourcelesttyy@Terra Incognita Weekly Top Contributor ($15 stock voucher): @Mickey082024@JC888@fibance@Barcode
Apple Earnings Preview: Can Services Growth Offset iPhone and Tariff Concerns? $Apple(AAPL)$ , the global consumer electronics leader, is scheduled to report its Fiscal Year 2025 Third Quarter (FY25 Q3) financial results after the market closes this Thursday. Core Financial Indicators ~Revenue: The market consensus for revenue is $88.96 billion, representing a 3.7% year-over-year (YoY) increase. This aligns with Apple's guidance from the last quarter for low-to-mid single-digit revenue growth. ~Gross Margin: Apple's guidance from the previous quarter projected a gross margin between 45.5% and 46.5%, which includes a $900 million impact from tariff-related costs. ~EPS: The consensus estimate for Earnings P
Billionaires Sell Apple Stock and Buy a Stock-Split Stock Up 510% in the Last Decade $Apple(AAPL)$ $O'Reilly(ORLY)$ In the first quarter, billionaires David Shaw and Louis Bacon sold Apple and bought O’Reilly Automotive, a stock-split stock up 510% in the last decade. Apple is struggling to incorporate artificial intelligence into its business, and the company has gone seven-plus years without a groundbreaking new product. O'Reilly Automotive could be a winner as President Trump's tariffs encourage consumers to service older vehicles rather than purchasing new ones. The hedge fund billionaires listed below sold Apple (AAPL 0.07%) during the first quarter and bought O
In a previous post, I shared my approach to stock selection as a way to reduce risk. To recap: I sell options on fundamentally strong, profitable companies that I’m comfortable owning. This lets me earn premiums while reducing downside risk—helping me sleep well at night. In this post, I’ll focus on another key risk-management element in my option wheel strategy: determining the price at which I’d be comfortable owning the stock. Objective: Reduce Assignment Risk My primary goal when selling puts is not to get assigned. If the option expires worthless, I keep the premium without having to purchase the stock. This allows my capital to stay invested—such as in Tiger Vault—to continue earning interest while I collect income from premiums. Option Selection Criteria To tilt the odds in my favor
🔔New week, new opportunities — What’s on your watchlist?
Hey Tigers! 🐅Markets are heating up — and we want to know what you think.💡 Got a hot take? A risky bet? A winning play?Share your ideas below and climb the leaderboard!Let’s break it down. These stories drove the markets.More NewsTiger Community TOP10 Tickers🎯 S&P500 Most Active Today 👉@TigerObserverWeekly Five Key Areas: Earnings, Macro, Singapore Stocks, Options, FuturesCovering five major market segments this week to help you stay ahead of market trends and plan your trades effectively!🌍 Monday — Macro EconomyFocus on global macro data and policy updates to understand overall market trends.The S&P 500 and Nasdaq posted record highs for the second week in a row
1.S&P 500 $SPDR S&P 500 ETF Trust(SPY)$ made its move 🚨🚨 Up 📈📈Image2.U.S. Speculative Trading Indicator jumps to highest level in more than 2 yearsImage3.Ethereum $ETH back above $3,800 📈📈Image4.Bitcoin $BTC price will go up if there are more buyers, says Citi 🤯 Woahhhhhh!!!!!!!!!!!Image5.U.S. Housing MarketFirst-time home buyers have fallen to a record low 📉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.💰Join the TB Contra Telegram Grou
Back in April, Bitcoin pulled into our Institutional Buy Zone and most people panicked. We didn’t. We followed the system. Price bounced hard with a higher low on the weekly BX.Since then, Bitcoin is up over 42 percent in just 112 days and we just hit our $120,000 target.We are not in a discounted zone anymore, but that does not mean the move is finished.We’ve already booked major profits on crypto-related stocks.As long as the weekly BX stays green, I will remain bullish.This is not the time to be starting new positions.But if you have been riding this move with us for months, you can keep pressing the advantage.Next targets$130,000 to $140,000 is the best caseIf the weekly BX flips red, I would look for a pullback to $104,000 and worst case $91,000This rally has been textbook.The system
1.Emerging Markets credit spreads are back to 17-year lows...Confidence or Complacency?Image2.This is a much more contentious post than I thought! 😅Image3.Investor allocations to Gold ETFs remain historically low, despite the Gold Price hovering around all-time highs.There's just not the same enthusiasm for Gold funds as there is for crypto and tech stocks.Investors are also opting for physical gold, and central banks are playing a larger role... $Gold - main 2508(GCmain)$ 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 mont
Procter & Gamble (PG) Earnings To Watch For Organic Sales Growth
$Procter & Gamble(PG)$ is expected to announce its fiscal Q4 2025 earnings (which covers the quarter ending June 2025) on Tuesday, 29 July 2025, before the market open. Earnings Per Share (EPS): Analysts generally anticipate modest growth for P&G. The consensus EPS estimate is around $1.43 per share, representing a slight year-over-year increase of about 2.1%. Tipranks is expecting the earnings per share (EPS) to come in at $1.42 per share. Revenue: Revenue is expected to be approximately $20.82 billion, up around 1.4% from the prior year. Prior Quarter Performance (Q3 2025): In its last reported quarter (Q3 FY25, ended March 2025), P&G reported revenue of $19.78 billion (down 2.1% YoY) and EPS of $1.54 (up from $1.52 YoY). Organic sales
$SPDR S&P 500 ETF Trust(SPY)$ Everyone says they’ll buy the dip… but how many actually did when fear was peaking back in April? Most people froze. We didn’t, because our system told us to act.S&P 500 is now up over 30% since we tapped our Institutional Buy Zone at $480.BX Trender has shown nothing but strength and this is one of the most aggressive rallies we’ve seen in years.📈 The last time we had a setup this clean was October 2023. That run? +21% in 160 days.We’re already past that.For months, people have been calling for a top. But we don’t trade based on opinions, we follow the system.BX Trender is still green. Structure is still bullish.That said 💯We’re no longer in a discounted range.We’re at all-time highs.This is where discipline m
News broke this week that $Walt Disney(DIS)$ is in negotiations with the NFL to acquire the NFL Network, RedZone, and up to 7 NFL games currently shown on the NFL Network.Details of the deal aren’t known, and I’ve seen it reported that the NFL will receive 10% of ESPN as part of the agreement. However, what’s important here is that Disney and ESPN could be securing more rights and making ESPN a “must-have” for most households.Every media and streaming company has been positioning itself to have the content that will draw in consumers, and no asset is more valuable than NFL games. That’s why $Netflix(NFLX)$ agreed to pay $75 million for a Christmas Day game, and $Amaz
VIX made a 5-month low, realized volatility is very quiet
Learnings and conclusions from this week’s charts:Volatility season is here ( $Cboe Volatility Index(VIX)$ tends to rise Aug-Nov).VIX made a 5-month low, realized volatility is very quiet.Stocks/Bitcoin/Gold are riding waves of liquidity and speculation.The Equal-Weighted S&P500 $S&P 500(.SPX)$ made a new ATH last week.Penny stock punting has doubled in recent years.Overall, the rally continues to run its course. Momentum is strong and building, sentiment is resurgent, valuations are rising back into expensive territory, and promisingly we’re even seeing signs of bullish rotation and broadening out. But— there is a sense (and data points) that things have been a little too quiet lately, and that’s
SoFi Technologies (SOFI) Earnings Will Hinge On Strong Growth In Fee-based Revenue and Optimistic Guidance
$SoFi Technologies Inc.(SOFI)$ is scheduled to release its Q2 2025 earnings on Tuesday, 29 July 2025, before the market open. Earnings Per Share (EPS): Analysts expect SoFi to report a GAAP EPS of $0.06. Revenue : Adjusted net revenue between $785 million and $805 million, with a consensus revenue forecast around $804.2 million. This would represent significant year-over-year growth for both metrics. Prior Quarter Performance (Q1 2025): SoFi had a strong Q1 2025, reporting: GAAP net revenue of $771.8 million (+20% YoY). Adjusted net revenue of $770.7 million (+33% YoY). GAAP net income of $71.1 million and diluted EPS of $0.06 (vs. $0.01 in Q1 2024). Record adjusted EBITDA of $210.3 million (+46% YoY), with a 27% margin. Strong member growth (+800
Day Trading Analysis for 28 July 2025: Top 3 Long Opportunities Market Context: US markets closed mixed on 25 July 2025, with semiconductor and EV stocks showing volatility amid AI sector tailwinds and geopolitical news. 1. NVIDIA (NVDA) Price Action: Current Price: $173.50 (-0.14% from prior close) Key Levels: Resistance: $174.72 (25 July high) → Breakout target: $175–177.50 Support: $172.50 (options-heavy level) → Breakdown risk: $170 Volume Analysis: 122.3M shares traded (0.83x 30-day avg), with bearish capital outflow ($262M net outflow on 24 July). Options Sentiment: High open interest in $175 CALLs (28,000+ contracts) expiring 1 Aug, offering 42.9% PoP. IV at 70.7% for near-term calls, indicating bullish volatility expectations. Catalysts: Strategic partnership with Delta Electronics
Over 82% of S&P 500 Companies Have Surpassed Expectations
The current earnings season is demonstrating remarkable strength so far, with a significant majority of S&P 500 $S&P 500(.SPX)$ companies reporting better-than-expected results. According to FactSet data, over 82% of the 169 S&P 500 companies that have reported their earnings to date have surpassed Wall Street's expectations. This high beat rate suggests resilient corporate performance amidst varying economic conditions. We'll closely watch what happens next week when $Meta Platforms, Inc.(META)$$Microsoft(MSFT)$$Apple(AAPL)$$Amazon.com(AMZN)$, some of the stocks
$Invesco QQQ(QQQ)$ has been overbought on the daily timeframe for several days, a pattern consistent with the past four Julys. When this happens, it's key to zoom out for a broader perspective and monitor specific levels for any shift in momentum. The highlighted volume shelf serves as the initial line of defense should August bring similar market movements as witnessed in the last four years.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.💰Join
Palantir's AI Alchemy - From Data Dragon to Dollar Dragon, Earnings Loom
🌟🌟🌟Palantir $Palantir Technologies Inc.(PLTR)$ has just flexed a 3% rally after Piper Sandler raised its price target to USD 175, stoking fresh Wall Street FOMO. With the newly minted "Big Beautiful Bill" funneling tax cuts and manufacturing incentives, Palantir stands at a powerful inflection point. Add President Trump's tariff driven reshoring agenda supercharging Defense and Federal contracts, it is not surprising that Palantir's share price has been on a tear. It is up a huge 111% year todate and in 2024 Palantir has skyrocketed by 484%! However as Palantir's next earnings report approaches, investors are asking : Will the numbers validate the hype or puncture the bubble? What Palantir Act