After a 200%+ Surge in a Year, Still Room to Run? This U.S. Rare Earth Giant Plans a New Magnet Fact
MP Materials is on fire! After a 223.8% surge in 2025 + 13% more in 2026, it’s building a $1.25B rare earth magnet factory with DoD’s 10-year off-take deal and Apple’s $500B partnership—talk about policy + commercial tailwinds! As America’s only vertically integrated rare earth player, can it keep the momentum going? Is the valuation too high now, or is the full-chain autonomy (mining to magnets) worth betting on? Share your takes on MP below!Here is the details below:Following its stratospheric stock price rally in 2025, U.S. rare earth materials producer $MP Materials Corp.(MP)$ has dropped another bombshell: the company plans to build a $1.25 billion rare earth magnet manufacturing campus in Northlake, Texas, further solidifying its core position
Pinnacle Announces Latest Progress at El Potrero Project as It Advances Toward Production Decision
Big updates from the mining space! Pinnacle’s El Potrero project is cruising toward production—underground rehab starts next week, 95.1% gold recovery in tests, and 7.7g/t gold head grade! Pasofino got court approval for its Mansa acquisition (CAD 0.90/share cash deal), and 1911 Gold granted new stock options. Are you following any of these juniors (PINN, VEIN, AUMB)? Think Pinnacle’s multi-workstream push will hit year-end production decision? Or how Pasofino’s takeover will play out? Drop your thoughts below!HighlightsUnderground rehabilitation of historical mine drifts and preparation of drill bays are expected to commence next weekUnderground definition drilling is scheduled to start in late MarchEnvironmental permit application for surface drilling has been submitted, and the company
Zimbabwe Bans Lithium Concentrate Exports, Roiling Global Markets
Zimbabwe just dropped a bombshell by suspending lithium concentrate exports—and the global lithium market is going wild! Lithium carbonate futures in Guangzhou jumped over 5%, and Sigma Lithium’s stock soared a whopping 30%🔥 This move is tightening global lithium supply big time, while demand for EVs and energy storage keeps booming. Do you think lithium prices will keep rallying? How will this hit the new energy supply chain, related funds, or individual stocks? Did anyone grab lithium-related assets ahead of time? Share your takes in the comments!The details are as follows:Zimbabwe’s government abruptly announced a suspension of lithium concentrate exports on Wednesday to promote local processing and curb illegal shipments. The decision triggered an immediate and sharp reaction in the gl
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Will Okta (OKTA) Be Another Casualty or Reviver Of SaaS Crash?
$Okta Inc.(OKTA)$ is scheduled to release its fiscal Q4 2026 (ending January 31, 2026) financial results on Wednesday, March 4, 2026, after the market close. The stock enters this earnings cycle under significant pressure, having dropped roughly 12% to 15% in the month leading up to the report. This suggests that while expectations are high for a "beat," the market is deeply concerned about AI disruption and growth deceleration. Q4 2026 Estimates & Guidance The following consensus estimates are the "lines in the sand" for the upcoming report: Okta reported its fiscal Q3 2026 results on December 2, 2025. While the company delivered a "beat and raise" on paper, the market's reaction was cautious, highlighting a growing tug-of-war between Okta's
Monumental Historic Past. $IBM(IBM)$, this grand dame of technology stock has been around for ages, as far as I could remember. It used to dominate the IT sector in the early days, with its fleet of mainframe (what is it, you may asked - Google it!) and mainframe engineers, that were looked upon like ‘demi gods’. It was even freeze-frame in Hollywood movie “Hidden Figures” where the group of ingenious, pioneering lady “engineers” were able to get the IBM mainframe working, running on programming language, Fortran (FORmula TRANslation - a high-level, compiled, and general-purpose programming language, primarily known for its strong focus on numerical & scientific computing. (see above) Then again, like any technology stocks or stocks for that ma
🚨War in Middle East triggers fear—Share your trade ideas!
Eyes on the prize—what’s your next move? 🧠📍 Markets giving you signals or noise today? 💥 Let’s compare notes and sharpen our edge. Today’s Highlights in Markets:Big news, big impact. More News Tiger Community TOP10 Tickers Weekly Five Key Areas: Macro, Singapore Stocks, Options, Futures, Earnings Covering five major market segments this week to help you stay ahead of market trends and plan your trades effectively! ✨Tuesday — Singapore Stocks Singapore's benchmark Straits Times Index (STI) opened 0.2% higher on Tuesday, with notable gains in ST Engineering (+2%), Yangzijiang Shipbuilding (+0.9%), and banking stocks OCBC (+0.6%) and UOB (+0.5%). However, aviation and financial sectors saw mixed performance as Singapore Airline
🚨 Iran Tensions Explode: Oil Hits the Roof While Stocks Dive – Brace for a Wild Week of Data Drops and Market Swings! 💥📉
$S&P 500(.SPX)$$NASDAQ(.IXIC)$ 🌍 Geopolitical chaos is shaking the markets as the US-Israel strikes on Iran enter their third day, with Iran's retaliation closing the Strait of Hormuz and hitting energy sites across the Gulf. This escalating conflict has sent shockwaves through global finance, driving oil prices to surge nearly 9% – Brent crude blasting to $79.33 a barrel and WTI climbing to $72.39. Investors are fleeing to safe havens like gold and the dollar, while stocks tumble worldwide. The S&P 500 futures dropped 1.2%, Nasdaq 100 slid 1.6%, and Dow futures fell 1.1%, reflecting fears of higher inflation and disrupted supplies. 😱 But here's the twist: experts see this as a short-term jolt,
Broadcom (AVGO) Earnings Look For Margin Compression and Backlog Conversion Narrative
$Broadcom(AVGO)$ is scheduled to report its fiscal Q1 2026 results on Wednesday, March 4, 2026, after the market close. Following a record-breaking 2025, the market is laser-focused on whether Broadcom can translate its massive AI backlog into realized profit without further eroding its margins. Q1 2026 Earnings Expectations Analysts are looking for significant year-over-year (YoY) growth, though sequential comparisons are tempered by seasonality and margin shifts. As of March 2026, Broadcom is just beginning the high-volume commercial phase of its 3D stacked chip technology. While the company does not release real-time daily sales counters, recent disclosures from late February 2026 provide a clear picture of their progress: Current Shipment Stat
ASX Retreats from Record High as Energy Stocks Rally
The Australian sharemarket slipped from Monday’s record high as investors weighed the potential impact of rising oil prices amid escalating conflict in the Middle East. The S&P/ASX 200 Index fell 0.3%, or 24.50 points to 9176.40 at 10.15 am AEDT, with eight of the 11 sector weaker. Energy stocks continued to limit the damage on the ASX as Brent climbed 6.7% to $US77.74 per barrel at the open, while natural gas gained 3.5% to $US2.96 as Qatar shut down liquefied natural gas production at the world’s largest export facility after it was targeted in an Iranian drone attack. “The markets are treating the war between the US, Israel and Iran as a significant but relatively manageable and brief supply shock,” Capital.com senior market analyst Kyle Rodda said. Woodside rose 1%, Santos 0.7%, Be
Can Best Buy (BBY) Overcome "Hangover" In Consumer Electronics Demand or Go For Dividend Play?
$Best Buy(BBY)$ is scheduled to report its fiscal Q4 2026 earnings on Tuesday, March 3, 2026, before the market opens. The setup for this print is particularly interesting because, while Best Buy has consistently beaten earnings estimates over the last four quarters, the stock has struggled with momentum, recently underperforming the S&P 500. Q4 2026 Consensus Expectations Analysts are currently bracing for a slight year-over-year contraction in both top and bottom lines. Best Buy reported its fiscal Q3 2026 results on November 25, 2025, delivering a solid "beat and raise" performance that surprised many analysts. While the headlines focused on a recovery in tech demand, the underlying guidance provided a masterclass in managing retail expectat
🌟🌟🌟The Year of the Fire Horse has just delivered a classic Black Swan event. As of March 2, the Straits Times Index (STI) had slid to 4,890, dragged down by a 5.9% plunge in SATS and a 4.7% drop in Singapore Airlines. While the weak hands are panic selling at the worst possible moment, I am standing there with a bucket, ready to be greedy while others are fearful. The Banking Bastion: DBS at SGD 55 is a Wonderful Price JPMorgan's SGD 70 target price for DBS: When a titan like JPMorgan sets a target price for $DBS(D05.SI)$ it is not looking at the current headlines. It is looking at the structural earnings power of DBS. JPMorgan believes that DBS is transitioning from a regi
Israel-Iran Conflict: Is the Risk Fully Priced In?
First, let's look at this week's large orders from the "Put Buyer." Sell Puts: $ORCL 20260306 116.0 PUT$ : 85,000 contracts sold to open $SMH 20260306 350.0 PUT$ : 26,000 contracts sold to open However, the play on AMD was different — Buy Puts: $AMD 20260306 160.0 PUT$ : 42,000 contracts bought to open Implied volatility (IV) on out-of-the-money semiconductor puts remains extremely elevated. This isn't due to bearish AI commentary, but rather the macroeconomic risk-off sentiment stemming from the Israel-Iran war, fueling expectations of a broad market pullback. It's crucial to note that t
$AES surges toward 52 week high as 17.65 resistance comes into focus
$AES Corp(AES)$ The AES Corporation (AES) Surged +6.34%: Utility Giant Tests 52-Week High, $17.65 Resistance in Focus Latest Close Data Closed at $17.28 on 2026-03-01, up +6.34% from the previous close of $16.25. The price is just $0.37 (2.1%) away from its 52-week high of $17.65. Core Market Drivers The strong rally is supported by a significant daily net capital inflow of ~$10M, indicating renewed buying interest. The stock's attractive ~4.07% dividend yield may be providing a floor and attracting income-focused investors in the current market environment. Technical Analysis The surge was backed by high volume (26.3M shares, Volume Ratio 2.77), confirming the bullish move. The MACD (0.017) has turned positive, signaling a potential bullish crosso
$SSL surges toward 52 week high as breakout above 916 comes into view
$Sasol(SSL)$ Sasol Limited (SSL) Soars +9.99%: Chemical Giant Tests 52-Week High at $9.16 Latest Close Data: Closed at $8.92 on 2026-03-01, surging +9.99% from the previous close. The stock hit its 52-week high of $9.16 during the session. Core Market Drivers: The strong rally is likely driven by a combination of firming energy prices supporting the chemical sector and a potential relief rally in the South African market. The company's recent financials show improved operational metrics, with a notable increase in the forward P/E ratio. Technical Analysis: Volume ratio of 1.13 confirms active participation in the move. The 6-day RSI at 65.09 and 12-day RSI at 64.29 are in bullish territory but not yet overbought, suggesting room for further upside.
SATS rally signals sentiment turn as buyers defend 105 support
$EchoStar(SATS)$ EchoStar Corp (SATS) Rallies +6.61%: Strong Rebound on High Volume, Eyes $116 Pivot Latest Close Data As of March 1, 2026, SATS closed at $115.53, up +6.61% (+$7.16). The stock is currently -12.7% below its 52-week high of $132.25. Core Market Drivers The surge was accompanied by exceptionally high volume (2.69x average, ~7.9M shares), indicating strong buying interest. While no specific news headlines are provided, the significant net inflow of capital suggests a potential shift in sentiment or reaction to broader market or sector dynamics. Technical Analysis The rally was supported by robust technical signals. The 6-day RSI jumped to 66.1, indicating strong momentum and moving out of oversold territory. The MACD histogram turned
$DVS gains on sector tailwinds as buyers position for 593 retest
$Dolly Varden Silver Corporation(DVS)$ Dolly Varden Silver (DVS) Rallies +5.05%: Junior Miner Eyes $5.99 Breakout as Silver Shines Latest Close Data Closed at $4.99 on March 1, 2026, up +5.05%. The stock remains ~16% below its 52-week high of $5.93. Core Market Drivers The rally is likely fueled by positive momentum in silver prices and renewed interest in junior exploration plays. Notably, significant shareholder Hecla Mining Company recently increased its stake, signaling institutional confidence in the company's long-term prospects. Technical Analysis Volume was solid at 1.78M shares (Volume Ratio: 0.98). The 6-day RSI at 63.67 is approaching overbought territory but shows strong upward momentum. The MACD histogram turned positive (+0.069), conf
$STRZ rally tests resistance near 12 while deep discount draws buyers
$Starz Entertainment Corporation(STRZ)$ Starz Entertainment Corporation(STRZ) Surged +14.82%: Volume Spike Ignites Rebound, $11 Pivot in Focus Latest Close Data Closed at $11.00 on 2026-03-01, up +14.82% from yesterday's close of $9.58. The stock is now -52.13% below its 52-week high of $22.98. Core Market Drivers The significant surge was driven by a massive volume spike (Volume Ratio: 8.28), indicating strong buying interest. The low P/S ratio of 0.14 may be attracting value-oriented investors, though the company's negative EPS and ROE highlight fundamental challenges. Technical Analysis Volume exploded to 919.1K shares, a clear sign of accumulation. The 6-day RSI at 83.71 indicates the stock is now in overbought territory, suggesting a potentia
Entertainment Sector +6.58% on Structural Margins: NFLX, ROKU, IMAX Lead
Sector Rotation Signal | Feb 27th, 2026 Close Key Catalysts: AI-driven cost optimization, streaming profitability inflection, and robust 2026 theatrical pipeline visibility The Movies & Entertainment sector (BK4108) delivered a decisive +6.58% advance (+536.36 basis points), significantly outperforming broad indices. This move reflects a fundamental repricing of entertainment assets as AI integration compresses content costs and DTC (Direct-to-Consumer) models achieve operating leverage inflection points. Sector-Wide Investment Thesis: The convergence of generative AI workflows (reducing production overhead by 15-30%) and stabilized ad-supported streaming ARPUs is driving a sector-wide margin expansion narrative. With 2026 box office guidance upgraded across major studios, exposure to
Option Movers | Netflix's $96 Call Rockets 2100%! Nvidia's $200 Call Expiring Mar. 20 Shows High Volume
Financial and tech stocks were hit hard by a handful of persistent investor worries on Friday (Feb 28), with U.S. stocks suffering their largest monthly percentage declines in a year. Regarding the options market, a total volume of 69,037,435 contracts was traded on Friday, of which 56% were call options. Top 10 Option Volumes Top 10: $NVDA(NVDA)$, $NFLX(NFLX)$, $TSLA(TSLA)$, $AAPL(AAPL)$, $MSFT(MSFT)$, $SOFI(SOFI)$, $AMZN(AMZN)$, $PLTR(PLTR)$,