Moderna (MRNA) Earnings Loss Per Share A Key Focus To Look At
$Moderna, Inc.(MRNA)$ is scheduled to report its fiscal Q2 2025 earnings on Friday, August 1, 2025, before the market opens. The company is in a transitional period as demand for its COVID-19 vaccine has significantly waned, and it is shifting its focus to other pipeline products. This makes the upcoming report particularly important for investors seeking to understand the company's path forward. Analysts are forecasting a loss for Moderna in Q2 2025. Earnings Per Share (EPS): The Zacks Consensus Estimate for EPS is a loss of $-2.99 per share. This is a significant improvement from the $-3.33 loss reported in Q2 2024, indicating that the company's cost-cutting measures are having an impact. Revenue: Revenue is expected to be around $113.6 million,
Long Options Trader: More Than Just a Bet on Direction | #OptionsHandbook EP006
In options trading, buyers are often the active players. But buying an option isn’t just about guessing up or down—it’s also a way to hedge risk or amplify gains. Here’s how the Options Handbook breaks it down: ▶ Paying for a Right, Not an Obligation 💰 When you buy an option, you pay a premium for the right—not the obligation—to buy or sell a stock at a set price. If the market doesn’t move your way, you can simply walk away. ▶ The Benefits? ✋ Limited Loss Buying a Call means your max loss is just the premium paid. No margin calls, no unlimited downside. Risk Protection Buying a Put acts like insurance. If the market tanks, you can still sell your stock at the strike price—protecting your portfoli
$DigitalOcean Holdings, Inc.(DOCN)$ The Best Small-Cap Stock Under $50 to Buy in August In a market dominated by artificial intelligence (AI) and multitrillion-dollar cloud giants such as Microsoft (MSFT), Amazon (AMZN), and Google (GOOGL), small-cap players are rarely recognized. With a market cap of $2.6 billion, DigitalOcean (DOCN), a once-struggling cloud infrastructure provider, has quickly transformed into a formidable force in the cloud and AI space. Its strong start to 2025 showed why DigitalOcean is now seen as one of the most appealing small-cap stocks to consider in August. The company is set to release its second-quarter earnings on Aug. 5. DOCN stock is down 16.9% year to date, underperforming the overall market, making it a goo
$Palantir Technologies Inc.(PLTR)$ 🚀 Palantir’s Hot Streak: 110% in 2025… Too Fast, Too Furious? After a 110% YTD rally, Palantir ($PLTR$) heads into Q2 earnings riding high. Citi is expecting a 2–3 pt revenue beat, driven by AI adoption and continued government growth. But at these levels, the question is urgent: 👉 Is Palantir’s surge rooted in real execution — or built on speculative hype? Let’s break it down before results land.👇 --- 🧠 Public Sector Power: Still Driving the Engine? Historically, Palantir’s core strength has been its government contracts — particularly in defense and intelligence. Recurring revenues flow from long-standing mandates with the DoD, U.S. intelligence agencies, and international governments Platforms like
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On Wed, 30 Jul 2025 US market was chuggng along nicely until the 2pm FOMC press conference. As expected, the Fed kept interest rates unchanged and US market fell because of investors’ negative sentiments. Their hopes of a more dovish tone or explicit timeline for rate cuts, came to nothing, especially with political figures (eg. Trump, Bessent) pressing for monetary easing. Instead, the lack of signals from Fed chair, led to a rise in Treasury yields: The 10-year Treasury yield rose +4.2 basis points to 4.37%. The 2-year yield was up +6.6 basis points at 3.941%. The 30-year bond yield added +3.0 basis points to 4.898%. And as we came to know, a decline in S&P 500 and Dow stock indices. CME Fedwatch. Almost immediately, market analysts lowered probability of a S
1. $Apple(AAPL)$ Among the Mag 7 Stocks, Apple is currently trading below its 200 Day Moving Average by the largest margin 📉📉Image2. $UnitedHealth(UNH)$ UnitedHealth plunges to its lowest price in more than 5 years 📉📉Image3. $NVIDIA(NVDA)$ Nvidia might be the world's most valuable company today but it's not even close to the $10.2 Trillion valuation (inflation adjusted) reached by the Dutch East India Company 🚨🚨🚨Image4. $Tesla Motors(TSLA)$ Tesla once again closes below its 200-day moving average 📉📉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 tradin
Over at $Robinhood(HOOD)$ , revenue growth was an impressive 45% from a year ago, but down since Q4 2024.The reason comes down to the company’s revenue streams. Here’s a breakdown of their reported revenue segments, and you can see the green portion on the top was a big contributor to Q4 revenue, but has dropped off since then. That green segment is crypto trading.Pull out crypto trading, and the results look much stronger and more consistent.The drop in crypto trading isn’t a shock, and $Coinbase Global, Inc.(COIN)$ reported a similar drop in Q2 2025, so it’s just market dynamics.What I’m more concerned about is the growth of customers, deposits, and Gold subscribers. And while I would like to see funded
$Quantumscape Corp.(QS)$ lucky i'm able to hold these ... if not another lousy record cause by QS insider sale..... hope the Vanguard + blackRock team will send someone in hope of a good bounce
Q2 was steady as it goes for $SoFi Technologies Inc.(SOFI)$ . The company reported a 44% increase in adjusted net revenue to $858 million, an 81% jump in adjusted EBITDA to $249 million, and earnings per share of $0.08.The progress in building the business has been consistent, and that performance is now paying off for investors.The lending segment continues to get the most attention because it’s the “bank” part of SoFi and carries the most risk. Total net revenue was up 30% in the quarter, and contribution profit was up 24%. I will note, lending doesn’t include revenue from the loan platform business (LPB), where SoFi originates loans on behalf of outside investors. That is a fee-based business without credit risk for SoFi, which I love as an inv
Big-Tech’s PerformanceMacro Headlines This Week: Rising Tariffs? Fed Disagreement; Structural Divergence in U.S. StocksTrump’s “Transactional Hegemony”Using tariffs as leverage to forcibly reshape global trade rules—short-term, it creates room for domestic industries, but long-term, it undermines the stability of global supply chains. His push for rate cuts is essentially laying the groundwork for fiscal expansion, fundamentally conflicting with the Fed's inflation mandate. On July 31, Trump signed an executive order imposing tariffs of 10% to 41% on goods from 92 countries, pushing the U.S. Dollar Index above 100—the highest level in nearly three years.The Fed’s Crisis of IndependenceThe Fed held rates steady in July. At the press conference, Chair Powell emphasized a “wait and see” appr
Daily Charts - Stock Market Fear & Greed Index drops to its lowest reading
1.Stock Market Fear & Greed Index drops to its lowest reading in more than 1 month 🤯👀📉Image2.JP Morgan Squeeze Sentiment Indicator recently hit its highest level since the 2021 meme mania 🚨🚨Image3.Platinum headed for its biggest loss since May 2022 📉📉Image4.The odds of a September rate cut have now fallen below 40% 🤯Image5.U.S. Treasury just bought back another $2 Billion of its own debt 🚨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 Group to Get $10 Tr
Current ATR% multiple extension from the 50-MA at this high
Let’s play a game—make a guess (I’ve hidden the ATR% multiple).From June 3rd to July 7th, $Seagate Technology PLC(STX)$ ran up to a $152 peak, extending beyond 10x its ATR% from the 50-day MA throughout the period. Since then, it’s moved sideways for 18 sessions before closing at a new all-time high of $157 today.What’s your best guess on the current ATR% multiple extension from the 50-MA at this high?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.
$NIO Inc.(NIO)$ ’s focus on core product strength, not autonomous driving, is pragmatic. Its design and performance lead the market—stock remains deeply undervalued.
July's factsheet New position: $Comfort Systems USA(FIX)$ Top performers: $Cadence Design(CDNS)$ and $NVIDIA(NVDA)$ Weighted FCF ROC = 38%FCF CAGR = 28%FCF yield = 2.70%Portfolio commentThe top detractors from performance were $Fair Isaac(FICO)$ and ATOSS Software.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 th
Two scenarios on watch after SPX made a higher high
🚨 Two scenarios on watch after $S&P 500(.SPX)$ made a higher high:✅ Bullish Path (Lean):As long as price continues to close above 6316, or does not cross 6280, it can rally for a 5th targeting 6500 before the higher degree pullback.⚠️ Bearish Trigger: A close below 6316/cross of 6280 would favor the start of a higher degree correction targeting 6180–5970.Key levels are set. The next few sessions are critical. $SPDR S&P 500 ETF Trust(SPY)$$E-mini S&P 500 - main 2509(ESmain)$$NASDAQ 100(NDX)$$Invesco QQQ(QQQ)$$Nuveen Pennsylva