❄️🤖📉 Snowflake AI Backlog Booms While Price Crashes Into Support ❄️🤖📉
$Snowflake(SNOW)$$Palantir Technologies Inc.(PLTR)$$Alphabet(GOOGL)$ 🎯 Executive Summary I’m convinced this Snowflake print is exactly what sophisticated money wants from a high multiple AI infrastructure name: bookings and backlog exploding, margins expanding, price punished into a key support pocket. Q3 FY26 product revenue rose 29% YoY to $1.16B, total revenue reached $1.21B, and RPO accelerated to 37% YoY at $7.88B. AI is no longer a side narrative. Management called Snowflake Intelligence the fastest ramping product in company history with over 7,300 weekly AI users, up sharply from prior quarters, and AI now touches roughly 28% of deployments and a
🤖⚡🏛️ $PLTR + $NVDA Ignite America’s AI Power Grid | Burying Burry & Burning Shorts Alive ⚡🏛️🤖
$Palantir Technologies Inc.(PLTR)$$NVIDIA(NVDA)$$Tesla Motors(TSLA)$ 04Dec25 ET 🇺🇸 05Dec25 NZT 🇳🇿 🎯 Executive Summary I have traded through four decades of market evolution and only a handful of times have I witnessed the formation of a new industrial backbone. $PLTR is now engineering the nervous system of American AI dominance. Chain Reaction has officially launched as the operating system for hyperscale energy infrastructure. It synchronises utilities, generation assets, transmission networks and data centre construction into one intelligent control layer. Founding partners $NVDA and CenterPoint Energy confirm this is not a proof of concept. It is a sovereig
Toll Brothers (TOL) Next Fiscal Year Outlook In Focus
$Toll Brothers(TOL)$ is expected to release its fiscal Q4 2025 results after the market close on Monday, December 8, 2025, with the conference call scheduled for Tuesday, December 9, 2025. As a leading luxury homebuilder, its results are often seen as an indicator for the high-end segment of the housing market. Consensus Estimates The consensus suggests a modest increase in profit (EPS) on essentially flat or slightly lower revenue, indicating potential margin strength or effective cost management. Analyst EPS estimates have remained stable over the last 30 days, suggesting a general agreement on the expected performance. Toll Brothers (TOL) released its fiscal Q3 2025 earnings (for the period ending July 31, 2025) on August 19, 2025. Here is a sum
Marvell Technology and Rigetti Computing See Heavy Bullish Call Buying On December 4, tech trading sentiment strengthened notably, with AI infrastructure and quantum computing emerging as two high-beta themes attracting aggressive capital flows. Both $Marvell Technology(MRVL)$ and $Rigetti Computing(RGTI)$ recorded sizable bullish call buying accompanied by significant increases in open interest, reflecting clear directional positioning by institutional investors. Marvell: Earnings and M&A Reinforce AI Narrative as Institutions Take a $3.65M ITM Call Position MRVL saw a notable options anomaly today:2,900 contracts of the 90C (2026-01-02) were pur
Meme-Stock Darling GameStop Is -25% YTD. What Its Chart Shows Ahead of Earnings One-time meme-stock darling $GameStop(GME)$ has fallen more than 25% year to date and trails the $S&P 500(.SPX)$ in almost every time period from one month to five years. What does GME's chart and fundamental analysis say as the video-game/collectibles retailer prepares to report earnings next week? GameStop's Fundamental Analysis GME will go to the tape with the firm's fiscal Q3 results after the close of business next Tuesday. The company isn't well covered by analysts, but the one estimate that I can find calls for $0.20 in adjusted ear
I am certain everyone would have known about Michael Burry’s latest short on $Tesla Motors(TSLA)$. The man made no attempt to hide. He blogged about it from his Substack newsletter - Cassandra Unchained, calling Tesla “ridiculously overvalued”. Then again, recent short activity is not Burry’s first and certainly would not be his last. Burry's history with shorting Tesla is a notable example of a value-investing thesis being early, and the differences between his past and current positions, highlight an evolving debate around TSLA's valuation. 2021 Short: 📅 In early 2020, Burry's hedge fund, Scion Asset Management, first disclosed a large-scale short position on Tesla using ‘put’ options, as shown in its May 2021 - 13F filing. The bet was reportedl
I've been watching the precious-metals rally closely, and to me, silver's breakout to new highs is a strong sign that the bull cycle is broadening—not just driven by gold alone. When silver outperforms, it often reflects improving market confidence, stronger industrial-demand expectations, and rising liquidity flowing into higher-beta assets. This kind of price action usually happens in the later stages of a precious-metals uptrend, so I see silver's strength as a confirmation rather than a warning signal. At the same time, gold breaking out of its consolidation range and heading toward the next major zone around 4,300 suggests that rate-cut expectations are starting to be priced in more aggressively. Historically, when markets anticipate easier monetary policy, gold tends to lead early an
So, over the last few days several companies I invest in have "diluted" shareholders. But as the emotional investor, I dive beneath the headlines of impending doom to uncover what's really going on. First up was $Eos Energy Enterprises Inc.(EOSE)$. They recently announced a new capital raise and some commentators were quick to call it a significant dilution of shareholders. But was it? Actually NO! The new funds from the so called "dilution" will be used to repay funds from a previous capital raise, with a longer time horizon, and at significantly better interest rates. So it not bad, it's not a dilution, it's a financial restructure on way more favorable terms. Sadly fake news is rife. And I'm not sure who is worse. The people that write articles
💰 Earning Premium and Setting Your Price: The Power of Selling Put Options
Selling (or "writing") put options is a popular strategy used by investors who seek to earn premium income while simultaneously being willing to buy a stock at a lower, predetermined price. This approach can be a powerful tool for conservative, value-oriented investors. What is a Put Option? A put option contract gives the buyer the right, but not the obligation, to sell 100 shares of the underlying stock to the seller (writer) of the option at a specific price (strike price) on or before a specific date (expiration date). As the seller of the put option, you take on the obligation to buy those 100 shares if the buyer chooses to exercise their right. The Mechanism of Earning Premium When you sell a put option, you immediately receive a payment from the buyer. This payment is called t
🎉 Million Dollar Carnival: Set Your 2026 Return Goal and Join the Race to a Million 🚀
Dear Tiger Friends 🐯 — the year is racing to a close! 💥 🔚Before we cross the finish line 🏃🏻, let’s hit pause and ask ourselves some thought-provoking 💭 🤔questions:What investment lessons shaped me this year? 📕What missteps helped me grow? 📈What’s my target for the year ahead? 🎯And… what would I do if I earned a million dollars? 🤑Feeling the adrenaline yet ❤️🔥? Don’t go through it alone. Let’s wrap up the year, together 🧑🤝🧑 🤲🏻.This December, we’re thrilled to bring you the 4 rounds of the Million Dollar Carnival 🎪— a place to dream bigger, aim higher, and manifest stronger returns for the new year.Join us and stand a chance to win BIG, including the Million Dollar Milestone worth 15,000 Tiger Coins!What are you waiting for? Come celebrate, reflect, and level up for the exciting year ahea
$YZJ Shipbldg SGD(BS6.SI)$ Opened YZJ position with the cash boost promo, timed nicely with new vessel orders and dividend news. Solid start. Shipbuilding cycles are bumpy, but their strong orderbook and healthy cash flow as an industry leader make it worth holding.
$Opendoor Technologies Inc(OPEN)$ Got into OPEN during the Contra688 promo and locked in some decent gains. Their iBuying model gets debate, but cost controls and market share look stable. Housing demand remains, and as a proptech play, OPEN could show real upside once the model is fine-tuned. Holding for now.
$CSOP Coinbase Daily (-2x) Inverse Product(07311)$ Solid gains as a hedge tool! Perfect for navigating recent crypto volatility. With Coinbase stock tied to crypto prices, this inverse product provides ideal downside protection during bearish turns. Keeping position for ongoing turbulence.
$CATL(03750)$ gained from expanding overseas battery orders and accelerating energy storage—booked a small profit. My first trade qualified for Contra 688, and the SGD688 voucher arrived instantly. With a deep tech moat, any pullback is a buying opportunity.
$Lithium Americas Corp.(LAC)$ got a lift from stabilizing lithium prices and progress on North American supply chains—booked a small gain. My first trade qualified for Contra 688, and the SGD688 voucher arrived instantly. With strong resource advantages, it’s well-positioned for EV localization trends long term.
$BigBear.ai Holdings(BBAI)$ is on a massive run - my investment thesis is playing out perfectly! Perfectly timed with the Contra 688 event too; grabbed that SGD 688 cash voucher after my first trade. Bullish on what's next!
$CoreWeave, Inc.(CRWV)$ Solid gains, staying long! As the essential AI infrastructure play, fresh funding & major client wins highlight explosive demand. Positioned in the sweet spot for re-rating.
$Navitas Semiconductor Corp(NVTS)$ Solid gains taken, bullish outlook intact! GaN leader capitalizing on industry tailwinds with recent design wins. Holding for earnings acceleration and breakout potential.
Smart ideas deserve to be seen.Drop a trade idea and help others learn. 💬📚Catch up fast:These events rocked the markets today.More NewsTiger Community TOP10 Tickers🎯 S&P500 Most Active Today 👉@TigerObserverWeekly Five Key Areas: Macro, Singapore Stocks, Options, Futures, EarningsCovering five major market segments this week to help you stay ahead of market trends and plan your trades effectively!📊 Friday — Earnings FocusInterpret key corporate earnings reports to grasp performance-driven investment opportunities.📌【Today’s Question】What’s your trade idea for today?
Overall Market Overview Global markets closed mixed but broadly stable as investors positioned ahead of the U.S. Federal Reserve’s upcoming interest rate decision. While Wall Street posted marginal gains, European markets extended their rally on geopolitical optimism, and Asian equities reacted positively to soft U.S. economic data, boosting expectations of easing monetary policy. Wall Street: Cautious Optimism U.S. stocks ended slightly higher as traders adopted a wait-and-see approach. The S&P 500 $S&P 500(.SPX)$ edged up 0.1% to 6,857.12, while the Dow Jones $DJIA(.DJI)$ slipped 0.1% to 47,850.94. The Nasdaq