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Elliottwave_Forecast
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04-21

CHFJPY Achieves New Highs from Blue Box Zone

In this technical blog, we will look at the past performance of the 4-hour Elliott Wave Charts of CHFJPY. In which, the rally from September 2024 low is unfolding as an impulse sequence. Therefore, called for more upside to take place. We knew that the structure in the pair should remains incomplete & should see more upside. So, we advised members not to sell the pair & buy the dips in 3, 7, or 11 swings at the blue box areas. We will explain the structure & forecast below: CHFJPY 4-Hour Elliott Wave Chart From 3.31.2026 CHFJPY Achieves New Highs from Blue Box Zone Here’s the 4-hour Elliott wave Chart from 3.31.2026 update. In which, the rally to 204.01 high completed wave ((1)) & made a pullback in wave ((2)). The internals of that pullback unfolded as Elliott wave double&
CHFJPY Achieves New Highs from Blue Box Zone
TOPPhoenixWhitman: Nice analysis, but I'm more into stocks like BABA.
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Tiger_SG
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04-21

Amazon +20% This Month! Anthropic $25B Mega Deal: Break $300 Like Google’s Re-Rating?

After Monday’s close, Amazon announced it will invest up to an additional $25 billion into Anthropic, while Anthropic simultaneously committed to spending $100 billion on AWS over the next decade. $Amazon.com(AMZN)$ rose more than 2.4% pre-market to $254. With earnings season approaching (April 29), one core question is now on the table: This time, will Amazon become the next “Google-style re-rating”? Over the past two weeks, Amazon has rebounded strongly by 18%, turning its year-to-date performance positive at +7.5%, completely shaking off its label as “one of the worst-performing Mag 7 stocks” at the start of the year. Now, the weakest names are Microsoft and Tesla — Amazon is no longer on that list. 1. What does Anthropic mega deal really mean
Amazon +20% This Month! Anthropic $25B Mega Deal: Break $300 Like Google’s Re-Rating?
TOPShyon: From my perspective, the $Amazon.com(AMZN)$ –Anthropic deal is less a “circular trade” and more about locking in demand. It may resemble the OpenAI– $NVIDIA(NVDA)$ dynamic, but the key is whether AWS revenue accelerates. If that $100B commitment materializes, it becomes a real backlog, not a bubble. I’m more bullish on the Anthropic + Bedrock layer than pure compute. Compute is capital-heavy, but enterprise lock-in is the real moat. As companies embed Claude via Amazon Web Services, switching costs rise — similar to $Microsoft(MSFT)$ ’s model. On $300, a re-rating like $Alphabet(GOOGL)$ is possible but needs clearer monetization. If AWS growth re-accelerates, sentiment can shift. For now, Nvidia still holds the strongest pricing power. I also think the next key catalyst will be whether AI revenue starts contributing meaningfully to AWS margin expansion. @Tiger_comments @TigerStars @TigerClub @Tiger_SG
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SGX_Stars
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04-21

Weekly: Uni-Asia, Assembly Place, Skylink, InnoTek, VCPlus & Octopus directors see Huge Acquisitions

Over the five sessions, over 100 director interests and substantial shareholdings were filed for more than 40 primary-listed stocks. Directors or CEOs reported 12 acquisitions and two disposals, while substantial shareholders recorded two acquisitions and 17 disposals.  This included CEO or director acquisitions filed for ABR Holdings, Lincotrade & Associates Holdings, Nera Telecommunications, Sasseur REIT, Soup Holdings, The Assembly Place Holdings, Uni‑Asia Group and XMH Holdings. 1. $Uni-Asia Grp(CHJ.SI)$ Between April 14 and 15, Uni-Asia Group executive director and CEO Masahiro Iwabuchi acquired 40,000 shares at an average price of S$0.925 per share. This increased Mr Iwabuchi’s direct interest in the company from 1.40% to 1.4
Weekly: Uni-Asia, Assembly Place, Skylink, InnoTek, VCPlus & Octopus directors see Huge Acquisitions
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One and One Green Technologies. INC
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04-21

YDDL Partners with Local Stakeholders to Deliver Free Medical Outreach in the Philippines

On April 19, 2026, $One and one Green(YDDL)$ , together with the Bulacan Filipino-Chinese Chamber of Commerce, the Federation of Filipino-Chinese Chambers of Commerce and Industry, Inc., and local government authorities, held the “Handog Libreng Gamutan” (Free Medical Outreach and Medicine Distribution) at Malibay Elementary School in San Miguel, Bulacan, providing basic healthcare services to residents in the local and surrounding communities. The event was supported by the Municipal Government of San Miguel, with Mayor Bong Alvarez and the municipal council actively involved, and coordinated with the Maligaya and Malibay communities. It was sponsored by Yoda Metal and Crafts Trading and Service Corp. Open to residents from local and nearby villa
YDDL Partners with Local Stakeholders to Deliver Free Medical Outreach in the Philippines
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Tiger_Earnings
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04-21

Apple Earnings Focus: How Do GS & MS Expect This Quarter?

$Apple(AAPL)$ earnings is due at the end of this month, overlapping almost perfectly with the CEO transition news. Major banks’ latest research points to two key conclusions: Why it could beat: iPhone and Mac are both stronger than expected Goldman Sachs forecasts iPhone revenue of $56.6 billion this quarter, up 21% year over year, slightly above the market consensus of 19%. The drivers are: 17% higher average selling prices, thanks to the iPhone 17 Pro series removing the 128GB base option and introducing a 2TB storage option A strong rebound in China market share, which rose 33% YoY in Q1, even as the broader smartphone market fell 3% The Mac business is also expected to grow 12% YoY, with MacBook Neo delivery times stretching to 18.5 days, a cl
Apple Earnings Focus: How Do GS & MS Expect This Quarter?
TOPShyon: For me, $Apple(AAPL)$ ’s earnings are more a “margin vs narrative” test than a pure upside surprise. iPhone and Mac strength is already well flagged, so the key isn’t just beating EPS—it’s whether Apple can defend its valuation during leadership transition while keeping margins stable. On memory costs, I lean toward Apple passing through part of the increase rather than fully absorbing it. DRAM and NAND inflation is too large to ignore, and absorbing it would hurt long-term earnings power. Modest price increases with stable demand would actually be more bullish, as it reinforces pricing power. Overall, I’m cautiously positive but not expecting a breakout. The real catalysts are WWDC and AI/Siri progress, plus the iPhone Fold cycle in 2026. If Apple avoids a margin shock and shows incremental AI progress, I’d view this as a stabilisation quarter rather than a peak moment. @Tiger_Earnings @TigerStars @Tiger_comments @TigerClub
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Tiger_comments
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04-21

Historic Moment: After 15-Year and 2,322.5% Gain, Can Ternus Write a Splendid New Chapter?

On Monday, $Apple(AAPL)$ officially announced that Tim Cook will step down as CEO effective September 1 this year and transition to the role of Executive Chairman. His successor will be John Ternus, Apple’s current Senior Vice President of Hardware Engineering. This is Apple’s first CEO transition since 2011, and the timing—right before earnings season—makes it especially intriguing. Cook’s 15 Years: 2322% Gain in Apple On August 24, 2011, just six weeks before Steve Jobs passed away, Cook took over the CEO role. At the time, Apple’s market cap was under $400 billion. There was no Apple Watch, no AirPods, no Vision Pro, and no services business as a major growth engine. Fifteen years later, Apple’s market cap has surpassed $4 trillion. Its stock h
Historic Moment: After 15-Year and 2,322.5% Gain, Can Ternus Write a Splendid New Chapter?
TOPMHh: I think with AI, innovation becomes more imperative. Consumers will be less patient and will demand products that are relevant, with the latest technology and high performance. Ternus is the guy behind all the products which shows that he has an eye and a pulse on what is going to be the future trend and what consumers want. Over the years, the products have helped Apple dominate. Without products, Apple is irrelevant to consumers. Operations and global expansion can only come on the foundation of a good product that consumers like and are willing to pay the price for. In the past years, he has played complementary role to Cook. I am not sure if he has strengths on operations and global expansion but within such a big company, I’m sure he can find someone to be the lead in this area to help Apple propel forward while he focus on providing his leadership on creating new products and trendsetting.
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Trend_Radar
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04-21

ULTA Recovery Continues, $572 Key Pivot Level

$ulta beauty(ULTA)$ $Ulta Beauty (ULTA) Rebounds +3.41%: Strong Momentum Reclaims $570 Zone 🚀 📈 Latest Close Data Price: $572.24 (as of 2026-04-21 Pre-market) Change: +$18.88 (+3.41%) From 52-Week High: -$142.73 (-20.0%) 💡 Core Market Drivers The rebound follows a period of pressure after Q4 earnings in March, where rising costs and mixed guidance led to analyst downgrades. Recent strength may reflect market rotation into consumer discretionary or a technical bounce from oversold conditions. The stock is recovering from its recent lows. 🔬 Technical Analysis Volume: 711.2K shares, with a volume ratio of 1.00, indicating average participation in the rally. MACD: The latest DIF (-9.85) is rising sharply above the DEA (-18.71), with a positive MACD hi
ULTA Recovery Continues, $572 Key Pivot Level
TOPPageDickens: Looks promising, ULTA holding strong above $570!
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Semi_Dig
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04-21

🚀 Intel (INTC) Q1 Earnings Preview: The "Make or Break" for 18A?

As we head into the April 23 report, the market isn't just looking at revenue—it’s looking for proof of life in the Foundry turnaround. Intel has set a low bar with a "break-even" EPS guide, but the technical undercurrents tell a more complex story. 📊 The Numbers at a Glance Revenue Midpoint: $12.2B (Guidance: $11.7B – $12.7B). Target EPS: $0.00 (Non-GAAP). Gross Margin Floor: 34.5% (Watch this closely—any beat here signals better-than-expected yield). 🔍 Key "Battleground" Segments 💡 The "Secret" Metric: EUV Wafer Mix Forget the headline loss for a second. The real indicator of Intel’s future is EUV (Extreme Ultraviolet) utilization. The Goal: Moving from ~10% in 2025 to 15–18% this quarter. Why care? Higher EUV mix = fewer "multi-patterning" steps = lower costs = better yields. The Signal
🚀 Intel (INTC) Q1 Earnings Preview: The "Make or Break" for 18A?
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857
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DailyOptions999
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04-21

🎯Etsy, Inc. Options Strategy: Bull Call Spread (Debit Spread)

$Etsy(ETSY)$ - Underlying: ETSY - View: Cautiously optimistic, expecting a continuation of the breakout but with awareness of overbought RSI suggesting potential consolidation/pullback. - Strategy Type: Debit Spread / Directional Bullish - Option Contract Portfolio: - Buy 1 ETSY 19 Jun 2026 $63.00 Call - Sell 1 ETSY 19 Jun 2026 $68.00 Call - Max Gain & Loss: Max Gain = ($68 - $63) - Net Debit. Max Loss = Net Debit Paid. - Initial Cost/Credit: Debit of ~$2.20 (Estimated from chain: Buy $63 Call @ ~$4.53, Sell $68 Call @ ~$2.33). - Greek Exposure (Simulated): - Delta: +0.35 (Moderate bullish directional exposure) - Theta: -0.02 (Slight negative, time decay is a small headwind) - Vega: +0.10 (Slight positive exposure to volatility
🎯Etsy, Inc. Options Strategy: Bull Call Spread (Debit Spread)
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943
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DailyOptions999
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04-21

🎯Snowflake Options Strategy: Short Iron Condor

$Snowflake(SNOW)$ - Underlying: SNOW - View: Neutral / Range-Bound Consolidation. Expecting the stock to trade between $144 (support) and $160 (resistance) in the coming week. - Strategy Type: Credit Spread / Volatility Selling - Option Contract Portfolio: - Sell 1 SNOW 26 Apr 24' 147 Call @ ~$6.40 (Mid: $6.40) - Buy 1 SNOW 26 Apr 24' 152.5 Call @ ~$3.43 (Mid: $3.43) - Sell 1 SNOW 26 Apr 24' 142.5 Put @ ~$2.42 (Mid: $2.42, simulated from chain data) - Buy 1 SNOW 26 Apr 24' 137.5 Put @ ~$1.65 (Mid: $1.65, simulated from chain data) - Max Gain & Loss: Max Gain = Net Credit Received (~$374 per spread). Max Loss = Width of Either Wing ($5.00) - Net Credit = ~$126 per spread. - Initial Cost/Credit: Initial Net Credit of ~$3.74 per s
🎯Snowflake Options Strategy: Short Iron Condor
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733
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DailyOptions999
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04-21

🎯 Affirm HoldingsOptions Strategy: Bull Call Spread (Debit Spread)

$Affirm Holdings, Inc.(AFRM)$ - Underlying: AFRM - View: Cautiously optimistic; expecting a continuation of the bullish momentum towards resistance, but with awareness of extreme short-term overbought conditions (RSI 93.3) suggesting potential for consolidation/pullback before further upside. - Strategy Type: Bullish Debit Spread / Directional with Defined Risk - Option Contract Portfolio: - Buy 1 AFRM May 15, 2026 $68.00 Call @ $2.83 (Mid-Price) - Sell 1 AFRM May 15, 2026 $72.00 Call @ $1.18 (Mid-Price) - Max Gain & Loss: Max Gain = $1.35 ($132 per spread), Max Loss = $1.65 ($165 per spread) - Initial Cost/Credit: Net Debit of ~$1.65 per spread. - Greek Exposure (Simulated): - Delta: ~+0.25 (Moderate positive directional expos
🎯 Affirm HoldingsOptions Strategy: Bull Call Spread (Debit Spread)
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335
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DailyOptions999
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04-21

🎯 $Chewy, Inc. Options Strategy: Bull Call Spread (Debit Spread)

$Chewy, Inc.(CHWY)$ - Underlying: CHWY - View: Cautiously optimistic for continuation toward $30.50-$33.00, but aware of overbought RSI (79.4) suggesting potential near-term consolidation/pullback. - Strategy Type: Bullish Debit Spread (Directional, Long Vega/Theta Positive) - Option Contract Portfolio: - Buy 1x CHWY May 01 2026 $29.00 Call @ ~$0.90 (Mid) - Sell 1x CHWY May 01 2026 $31.00 Call @ ~$0.27 (Mid) - Max Gain & Loss: Max Gain = $138 per spread; Max Loss = $62 per spread (Debit Paid). - Initial Cost/Credit: Net Debit of ~$0.63 per share. - Greek Exposure (Simulated): - Delta: ~+0.25 (Moderate bullish directional bias) - Theta: ~+0.01 (Slightly positive, benefits from time decay on short leg) - Vega: ~+0.03 (Slightly po
🎯 $Chewy, Inc. Options Strategy: Bull Call Spread (Debit Spread)
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484
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Trend_Radar
·
04-21

Block Rips Higher, But RSI Signals Near-Term Pause

$Block, Inc.(XYZ)$ $Block, Inc.(XYZ) Rallies +3.69%: Momentum Builds as $75 Resistance Beckons 🚀 Latest Close Data 📊 Closed at $73.89 on 2026-04-21, up +3.69%. Now sits 10.4% below its 52-week high of $82.50. Core Market Drivers 📰 The stock continues to ride positive momentum from its major strategic restructuring announced in February 2026, which included aggressive cost-cutting and a raised profit outlook. Recent daily capital flow data shows significant net inflows, indicating strong buying interest. Technical Analysis 🔍 Volume of 5.78M shares traded shows healthy participation (Volume Ratio: 1.11). The MACD (DIF: 2.79, DEA: 1.46, MACD: 2.66) exhibits a strong bullish expansion. However, the 6-day RSI at 92.01 is in extreme overbought territory,
Block Rips Higher, But RSI Signals Near-Term Pause
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649
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Trend_Radar
·
04-21

Chemical Sector Volatility Keeps LYB Range-Bound

$LyondellBasell Industries NV(LYB)$ $LyondellBasell (LYB) Rebounds +3.49%: Chemical Giant Tests Resistance Near $69 Amidst Sector Volatility 📈 Latest Close Data 🕐 Closed at $68.58 on 2026-04-21, up +3.49% (+$2.31). Still trading ~18.3% below its 52-week high of $83.94. Core Market Drivers ⚙️ The stock rebounded from a recent sell-off, highlighted by a -6.89% intraday drop on 04-17. Sector sentiment remains mixed, with peers like Dow Chemical also showing volatility. A key positive catalyst was Citigroup upgrading LYB from Neutral to Buy in March, citing improved outlook. Technical Analysis 📊 Volume: 5.87M shares, with a Volume Ratio of 0.78, indicating below-average activity, suggesting the rebound lacks strong conviction. MACD (12,26,9): DIF at 0.
Chemical Sector Volatility Keeps LYB Range-Bound
TOPlittlesweetie: Interesting to see LYB moving with the chemical sector swings.
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Trend_Radar
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04-21

ERIE Rebounds, But Faces Key $283 Test

$Erie Indemnity(ERIE)$ $Erie Indemnity Co.(ERIE) Rallies +3.60%: Insurance Stock Defies Headwinds, Eyes $283 Breakout 🚀 Latest Close Data 📊 Closed at $253.63 on 2026-04-21, up +3.60% (+$8.82). The stock is trading significantly below its 52-week high of $412.52 but has bounced from recent lows. Core Market Drivers ⚡ The stock shows resilience despite a lack of company-specific news, potentially driven by broader market sentiment or sector rotation. Strong underlying fundamentals, including a 2.23% dividend yield and robust profitability (ROE: 26.19%), provide a solid foundation for the price action. Technical Analysis 📈 Volume: Trading volume of 224.9K shares was near average (VR: 0.95), suggesting the move was not driven by speculative frenzy but
ERIE Rebounds, But Faces Key $283 Test
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590
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Trend_Radar
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04-21

CVNA Rallies Toward Key Resistance at $450

$Carvana Co.(CVNA)$ $Carvana Co.(CVNA) Surges +3.73%: Breakout Momentum Fuels Rally Toward $450 🚀 Latest Close Data 📊 Closed at $401.99 (Apr 21), up +3.73% (+$14.46). Trading near 52-week high of $486.89, showing a +107% gain from its 52-week low. Core Market Drivers 💡 The rally is supported by strong fundamental execution. Recent news highlights a key milestone: its embedded insurance partnership with Root Insurance surpassed 200,000 policies, validating its ecosystem strategy. Positive analyst sentiment persists with several firms maintaining bullish price targets. Technical Analysis 📈 Volume: Daily volume of 2.04M shares, with a volume ratio of 0.54, indicating consolidation-level activity, not a breakout surge. MACD: DIF at 15.98, DEA at 6.09,
CVNA Rallies Toward Key Resistance at $450
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Trend_Radar
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04-21

DELL Rallies on AI Demand, Nears $205 Breakout

$Dell Technologies Inc.(DELL)$ $Dell Technologies Inc.(DELL) Soared +3.91%: AI Server Demand Fuels Breakout, Eyes $205+ Territory 📈 Latest Close Data Close (2026-04-21): $204.24 (+$7.69, +3.91%). Just 0.75% away from its 52-Week High of $205.78. 🚀 Core Market Drivers Strong demand for AI-optimized servers continues to be the primary growth catalyst, boosting the company's infrastructure solutions segment. Positive sentiment in the broader tech sector, driven by enterprise IT spending resilience, supports the rally. 📊 Technical Analysis Volume: ~7.16M shares (Volume Ratio 0.84), indicating moderate but solid participation in the upmove. MACD: The DIF (11.61) has crossed above the DEA (10.44), with a positive histogram (2.34), confirming a bullish c
DELL Rallies on AI Demand, Nears $205 Breakout
TOPLeonaClemens: AI demand keeps pushing tech up, nice momentum!
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1.14K
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Muppy
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04-20
$Broadcom(AVGO)$ Broadcom (AVGO) stands out as a compelling investment for the next five years due to its pivotal role in the AI infrastructure boom. The company has transformed into a leader in custom AI accelerators (ASICs) and high-speed networking chips, powering data centers for hyperscalers like Google (with its TPUs) and others building large language models. In fiscal 2025, AI semiconductor revenue surged to about $20 billion (up 65%), representing 31% of total sales, with strong growth in Ethernet switches and XPUs. Management projects $60-90 billion in annualized AI revenue by fiscal 2027, potentially exceeding $100 billion, backed by a massive $73 billion AI backlog and multi-year contracts. Analysts forecast revenue and EBITDA CAGRs o
$Broadcom(AVGO)$ Broadcom (AVGO) stands out as a compelling investment for the next five years due to its pivotal role in the AI infrastructure boo...
TOPfizzzi: AVGO's AI chip growth is impressive, but I'm more bullish on NVDA and AMD for long-term gains.
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2.44K
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Wayneqq
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04-20
$VanEck Semiconductor ETF(SMH)$ The purpose of DCA is to avoid timing the market.. especially in times like these where the market is swinging all over the place due to the actions of a few well placed individuals making decisions that affect the lives of countless others..  Continue to DCA into the megatrend of AI and semiconductors...
$VanEck Semiconductor ETF(SMH)$ The purpose of DCA is to avoid timing the market.. especially in times like these where the market is swinging all ...
TOPkookz: DCA is the way to go in this volatility.
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242
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WayneTang
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04-20
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