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Atwosome
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03-02
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Feijoa8025
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03-02
$Exxon Mobil(XOM)$ war war... oil price shoots up.... war isn't good :-( maybe take the opportunities to take profits in stocks to help those suffering from wars... 
$Exxon Mobil(XOM)$ war war... oil price shoots up.... war isn't good :-( maybe take the opportunities to take profits in stocks to help those suffe...
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finding value
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03-02
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HH浩
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03-02
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Bobby Banana
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03-02
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61
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lyKeoh
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03-02
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林欣霓
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03-02
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Aaronykc
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03-02
$Tesla Motors(TSLA)$  don't be afraid of war! it is always a gift. If you bought every war dip, your portfolio will be fantastic weeks and months later. This dip is kinda pathetic to be honest. I was hoping for a larger correction. Tesla only dipped down to the 200 sma, it is still a good buying opportunity. Are you buying tsla at the 200 sma?
$Tesla Motors(TSLA)$ don't be afraid of war! it is always a gift. If you bought every war dip, your portfolio will be fantastic weeks and months la...
TOPclipzy: Yeah, I'm buying TSLA at the 200 SMA-solid entry point![看涨]
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Trend_Radar
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03-02

$INTU bounce gains momentum with analysts eyeing 630 upside

$Intuit(INTU)$ Intuit Inc. (INTU) Jumps +3.70%: Bounce from 52-Week Low, Eyes $630 Target Latest Close Data Closed at $409.03 on 2026-03-01, up +3.70% (+$14.61). Current price is about 49.7% below its 52-week high of $813.70. Core Market Drivers Positive sentiment is driven by a significant discount to historical valuations and strong institutional support. The stock's recent rebound from near its 52-week low suggests a potential value play is underway. Technical Analysis Volume was robust at 8.19M shares (Volume Ratio: 1.31). The 6-day RSI at 60.88 is approaching overbought territory, signaling strong short-term momentum. The MACD histogram turned positive to +13.76, confirming a bullish crossover and strengthening upward trend. Key Price Levels
$INTU bounce gains momentum with analysts eyeing 630 upside
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219
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Trend_Radar
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03-02

$MRK inches toward 52 week high as breakout above 125 comes into play

$Merck(MRK)$ Merck & Co., Inc. (MRK) Rebounds +3.79%: Pharma Giant Recovers Near 52-Week High, Eyes $125 Break Latest Close Data Closed at $123.82 on 2026-03-01, up +3.79% (+$4.52). The stock is now just ~1.05% below its 52-week high of $125.14. Core Market Drivers The strong rebound is driven by robust net capital inflows of ~$123M, indicating institutional buying interest. The stock's solid dividend yield of 2.65% and high ROE of 36.88% continue to provide fundamental support in a stable macro environment. Technical Analysis Volume surged to 17.64M shares, with a Volume Ratio of 1.80, confirming the strength of the move. The RSI(12) at 64.70 is moving higher from neutral territory, showing renewed momentum. However, the MACD remains negative
$MRK inches toward 52 week high as breakout above 125 comes into play
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JC888
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03-02

NVDA did not lift US Market, Now what?

I was quietly confident that NVDA will hand in a stellar earnings report when I posted about it on Wed, 25 Feb 2026 morning (Singapore time). Click here ! to read, help to Repost ok. Thanks. Stellar, it was ! Q4 2025 Earnings Details. NVDA reported better-than-expected fiscal 4th quarter results on Wednesday, driven by +75% revenue growth in its core data centre business. Actual Earnings vs Analysts' estimates (polled by LSEG): Earnings per share (adjusted) : $1.62 vs $1.53 estimated. Revenue: $68.13 billion vs $66.21 billion estimated vs Q4 2024's $30.3 billion; that's a +73% YoY gain. Net income: almost doubled to $43 billion vs Q4 2024's $22.1 billion; that's a +94.57% YoY gain. Data centre quarterly revenue of $62
NVDA did not lift US Market, Now what?
TOP1PC: Great Insight & Sharing 😁 @Shyon @Barcode @koolgal @Aqa @Shernice軒嬣 2000 @DiAngel
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程俊Dream
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03-02

Oil vs Gold After Iran: One Was Pressured, One Was Bullish

The much-watched Iran situation officially entered a new phase last weekend. A U.S.–Iran “hidden move” style decapitation operation quickly carried out targeted killings of Khamenei and several senior Iranian officials. Markets reacted in the usual way: gold and crude oil jumped, while stock index futures opened lower. $Gold - main 2604(GCmain)$ $E-Micro Gold - main 2604(MGCmain)$ $United States Oil Fund LP(USO)$ $WTI Crude Oil - main 2604(CLmain)$ After this knee-jerk reaction, the real question is bigger. Is the Middle East—always unstable—just going through another short shock? Or are we about to see a lon
Oil vs Gold After Iran: One Was Pressured, One Was Bullish
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Trend_Radar
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03-02

$ROKU rallies toward 100 as bullish momentum accelerates

$Roku Inc(ROKU)$ Roku Inc. (ROKU) Soared +5.29%: Bullish Momentum Surges, Eyes on $100 Breakout Latest Close Data As of 2026-03-01 EST, ROKU surged to close at $98.41, up a strong +5.29% (+$4.94). The stock is now within striking distance of its 52-week high of $116.66, sitting about 15.6% below that peak. Core Market Drivers The move is likely driven by a combination of renewed investor optimism in the streaming and connected TV advertising space, coupled with solid net capital inflows of $22 million on the day. The absence of negative news allowed the stock to build on its recent recovery. Technical Analysis The technical picture is increasingly bullish. Volume was robust at 4.78M shares, with a Volume Ratio of 1.46 indicating strong buying inte
$ROKU rallies toward 100 as bullish momentum accelerates
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koolgal
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03-01

XLE ETF Is My Energy Shield In The Straits Of Hormuz Closure

🌟🌟🌟The US and Israeli attack on Iran and the Iranian government retaliation - is likely to cause oil and energy prices to spike and the stock markets to react sharply next week. Iran has closed the critical Straits of Hormuz, saying that ships are not allowed to pass.  What this means is that Brent Crude oil could make its way to USD 100 a barrel.  About 26% of crude oil goes through the Strait, along with 23% of liquefied natural gas (LNG) and 31% of liquefied petroleum gas.  For every day that marine transit is interrupted, the world stops receiving an estimated 20 million barrels a day of crude oil exports and 85 million tonnes of LNG exports. In this high stakes environment, $Energy Select Sector SPDR Fund(XLE)$ 
XLE ETF Is My Energy Shield In The Straits Of Hormuz Closure
TOPBarbaraWillard: Smart defensive play! XLE holds strong in oil chaos[强]
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Trend_Radar
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03-02

$NFLX rally reignites growth narrative and challenges resistance at 109

$Netflix(NFLX)$ $Netflix, Inc.(NFLX) Soared +13.77%: Bullish Breakout on Heavy Volume, Eyes $100+ Latest Close Data Closed at $96.24 on 2026-03-01, surging +13.77% (+$11.65). The stock is now $37.88 (28.2%) below its 52-week high of $134.12. Core Market Drivers The massive rally was driven by a significant positive shift in capital flows, with net inflows over the last three trading sessions. This follows a period of consolidation, suggesting renewed institutional interest and a potential reversal of recent bearish sentiment. Technical Analysis The move was accompanied by a massive volume of 201M shares (Volume Ratio: 3.88), confirming strong buying pressure. The 6-day RSI at 86.75 is in overbought territory, indicating a potential short-term pull
$NFLX rally reignites growth narrative and challenges resistance at 109
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Barcode
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03-02

🌍🛢️📉 Geopolitical Escalation! Macro Inflection. Markets at a Critical Juncture 🌍🛢️📉

$Broadcom(AVGO)$ $Costco(COST)$  $MongoDB Inc.(MDB)$ I have seen enough cycles to recognise when markets transition from comfort to recalibration. This week is not about incremental data noise. It is about regime risk. The intensification of US–Israeli military operations against Iran, combined with persistent inflation pressures, is creating a structurally fragile backdrop for global assets. Coordinated airstrikes targeting senior Iranian leadership have triggered retaliatory measures and the effective closure of the Strait of Hormuz, a corridor through which roughly 20% of global oil supply flows 🛢️ Brent crude has already risen approximately
🌍🛢️📉 Geopolitical Escalation! Macro Inflection. Markets at a Critical Juncture 🌍🛢️📉
TOPLesleyNewman: Spot on! Geopolitical risks are key right now. Cheers to smart trading! 🚀
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Dividend_Earnings_Tracker
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03-02

🎁Capturing Top 10 Ex_dividend: PIPR, GS, LMT, MCD, CI...

1. Which High Ex-dividend Stock (on 2 March ~ 6 March) do You Like the Most? Be Sure To Check Out the Last Chance to Buy the Top 10 High dividend stocks going to Ex-dividends This Week: many companies like $Piper Sandler Companies(PIPR)$ and $Goldman Sachs(GS)$ showing below are about to give decent dividends into "your pocket". Editor's notes: A dividend-paying stock ex-dividend date, or ex-date, is very important to investors. In a nutshell, if you buy a dividend stock before the ex-dividend date, then you will receive the next upcoming dividend payment. If you purchase the stock on or after the ex-dividend date, you will not receive the dividend. Some investors utilize strategies whereby they will purcha
🎁Capturing Top 10 Ex_dividend: PIPR, GS, LMT, MCD, CI...
TOPDebbyLily: PIPR looks solid for dividends this week![财迷]
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Dividend_Earnings_Tracker
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03-02

🎁Weekly Higher EPS Estimates: AVGO, COST, PBR, CRWD, MRVL & More

😀Hi Tigers, We invite you to take a closer look at the possible winners by EPS in the Q4 earnings season. In this post, we have highlighted the top 20 stocks by market capitalization with an estimated higher EPS ahead of their earnings in the period from March 2 to March 6. 1. Why EPS Matters? Earnings per share(EPS) refer to the income per share brought to investors/shareholders in the open market. EPS is calculated as a company's profit divided by the outstanding shares of its common stock. The resulting number serves as an indicator of a company's profitability. Investors like companies with high profitability, and the market always rewards those earnings results that beat the estimates. Hope the following content helps you learn more about good companies. 2. Weekly List of Stocks w
🎁Weekly Higher EPS Estimates: AVGO, COST, PBR, CRWD, MRVL & More
TOPTigerAI: Here is an overview of some key stocks expected to see higher Earnings Per Share (EPS) estimates during the earnings period from March 2 to March 6, 2026. Understanding these estimates can provide insights into company profitability and potential investment opportunities. Stocks with Higher EPS Estimates | Stock Name | Ticker | Industry ||-------------------------------------|--------|------------------------|| Broadcom | AVGO | Semiconductors || Costco | COST | Retail || Petroleo Brasileiro SA Petrobras | PBR | Energy || CrowdStrike Holdings, Inc. | CRWD | Cybersecurity || Marvell Technology | MRVL | Semiconductors || Ross Stores, Inc. | ROST | Retail || Sea Ltd | SE | E-Commerce || Ciena | CIEN | Telecommunications || Kroger | KR | Grocery Retail || Viking Holdings Ltd. | VIK | Investment | 1. Why EPS Matters Earnings per share (EPS) is a key metric that reflects a company's profitability on a per-share basis. It's calculated by dividing a company's net profit by its outstanding shares of common stock. A higher EPS indicates better profitability, which is a crucial factor for investors analyzing company performance. 2. Key Insights on Selected Stocks Broadcom (AVGO) and Marvell Technology (MRVL) are both prominent players in the semiconductor sector, which has seen a surge in demand. Investors often look for dividends and growth in this sector. Costco (COST) continues to exhibit strong fundamentals based on its membership model, driving consistent revenue growth. CrowdStrike (CRWD) specializes in cybersecurity, an increasingly critical field as digital threats rise. Kroger (KR) continues to dominate in the retail grocery sector, adapting to changing consumer behavior effectively. Conclusion Monitoring EPS estimates can help identify potentially profitable investment opportunities. Each of the stocks listed has strong market positioning and anticipated earnings growth, which can be indicative of their future performance. As you evaluate these stocks, consider your investment strategy and risk tolerance. It's essential to conduct further research, particularly on how broader market dynamics might impact these companies. Disclaimer: TigerAI is provided solely as a tool to assist with investment research. Any content generated is for informational purposes only and does not take into account your personal objectives, financial situation, or needs. It does not constitute any investment advice, offer, solicitation, or recommendation regarding any financial products or strategies. We do not guarantee the accuracy or completeness of the content, and past performance is not indicative of future results. You should not make any investment decisions based solely on the output. Always conduct your own research and consult a licensed financial advisor where appropriate.
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Daily_Discussion
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03-02

🔥Wild market swings—what's your move?

👉 Want to catch today’s live session? Click here to reserve your spot now!MiniMax Full Year 2025 Financial Earnings CallMarkets are constantly changing — and we want to know what you think.💡 Got a hot take? A risky bet? A winning play?Share your ideas !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
🔥Wild market swings—what's your move?
TOPicycrystal: Below scenario may happen [Doubt] [Doubt] [Doubt] The U.S. stock market is positioned for a sharp decline today, March 2, 2026, as geopolitical escalation in the Middle East triggers a broad "risk-off" shift. Geopolitical Shock: Over the weekend, coordinated military strikes by the U.S. and Israel on Iran resulted in the death of Supreme Leader Ayatollah Ali Khamenei. Energy Supply Fears: The Strait of Hormuz is effectively closed, halting a fifth of global oil flows. Brent Crude surged up to 13% at the open, trading near $79–$82 per barrel. Natural Gas prices jumped 22% due to supply concerns. Flight to Safety: Investors are abandoning equities for traditional havens: Gold: Rallied above $5,300 per ounce, hitting record highs. U.S. Dollar (DXY): Hit a five-week high as traders seek stability.
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