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Macquarie Warrants Singapore
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04-30

New Geely call and put warrant to trade stock moves on the back of strong Q1 earnings

Yesterday, Geely shares $GEELY AUTO(00175)$ jumped as much as 5.8% to HKD 22.94 after the company reported "solid" first quarter results The stock closed 2.6% higher at HKD 22.34 yesterday Core profit grew 31% to 4.56 billion yuan in the first quarter, exceeding analyst expectations despite the headline net income decline (Dow Jones) Revenue grew 15% and recurring operating margin widened to 5% from 3.4% for all of 2025, indicating improved efficiency following the Zeekr unit's privatization (Bloomberg) Geely's luxury EV brand, Zeekr, has been in the spotlight recently, thanks to its strong margins and 86% sales jump in the first quarter 🏆According to Dow Jones, Geely's results stand out at a time when China's auto market, the world's largest, is
New Geely call and put warrant to trade stock moves on the back of strong Q1 earnings
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TrendSpider
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04-30

INTC, ABBV, GOOG, AMZN& CMG Welcome Great Rebound Here!

Hello everyone! Today i want to share some technical analysis with you! 1 Half off and not on the burritos... $Chipotle Mexican Grill(CMG)$ 2 Buffett said be greedy when others are fearful. $Amazon.com(AMZN)$ has the receipts. 3 Google is much more than a search engine. Buying $Alphabet(GOOG)$ means you're buying: -Google Search / Ads -Google Cloud -Gemini -YouTube -Waymo -Android -Pixel phones -Nest -Wing -Wiz -and more 4 Printing a mean hammer candle on RSI divergence and a clean earnings double beat $AbbVie(ABBV)$ 5 They left Intel for dead and now this...
INTC, ABBV, GOOG, AMZN& CMG Welcome Great Rebound Here!
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xc__
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04-30

🔴 Oracle's 4% Plunge: Is OpenAI's $3.7B Miss Your Buy Signal? $ORCL

📊 The Pulse $Oracle(ORCL)$ just took a -4.05% hit to $142.30, and the culprit isn't Oracle's execution—it's OpenAI's Q1 stumble. The AI darling missed internal revenue targets by 12% ($3.7B vs. $4.2B expected) and grew users at half the expected pace (15% vs. 25%), triggering panic over Oracle's massive cloud bet. With OpenAI representing 50% of Oracle's AI infrastructure capacity, this is customer concentration risk in neon lights. But here's the twist: $ORCL's RSI just crashed to 38 (oversold), and the $140 support (200-day SMA) is holding. Is this a repricing of a premium, or a gift-wrapped entry for those who believe AI infrastructure is a marathon, not a sprint? 🔥 Key News (Last 12 Hours) OpenAI Revenue Miss: Q1 revenue of $3.7B (down 12% vs.
🔴 Oracle's 4% Plunge: Is OpenAI's $3.7B Miss Your Buy Signal? $ORCL
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407
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xc__
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04-30

🚀 AWS Just Fired the AI Revenue Gun: $AMZN's $600B Vision Is Real 💰

The Pulse: Wall Street just got its answer. $AMZN didn't just beat on AWS—it crushed the "AI capex black hole" narrative that's haunted cloud players for 18 months. Q4's 24% AWS growth (strongest in 13 quarters) isn't the headline; it's the 26-38% YoY acceleration analysts are pricing for Q1 2026 that has $MSFT Azure sweating. Andy Jassy's bombshell $600B AWS revenue projection by 2036 isn't hype—it's a roadmap backed by $200B in 2026 AI capex and the Anthropic partnership printing margins. The gap is closing, and $AMZN just shifted from "playing catch-up" to "leading the race." 📊 Key News (Last 12 Hours) AWS Q4 2025: Revenue hit $35.6B (+24% YoY), strongest quarterly growth in 13 quarters on a $142B annual run rate. Operating profit surged to $12.5B from $10.6B. Wall Street's New Bet: Q1
🚀 AWS Just Fired the AI Revenue Gun: $AMZN's $600B Vision Is Real 💰
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477
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xc__
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04-30

🔥 Powell Stands Pat: Fed Holds at 3.5-3.75% Amid Geopolitical Chaos & DOJ Drama 🎯

💥 The Pulse The Fed just delivered a hold decision that nobody's talking about enough. While headlines scream about Middle East tensions and a DOJ probe swirling around Chair Powell, the FOMC kept rates anchored at 3.5%-3.75% for the second time this year—signaling a "wait-and-see" stance that's creating a goldmine for selective plays. With only one rate cut projected for 2025, Powell's walking a tightrope between sticky inflation (oil chaos), solid labor markets, and political attacks on Fed independence. Translation? Volatility is here, but defensive positioning and income plays are the move. 📊 Key News Fed Rate: UNCHANGED at 3.5%-3.75% (second hold of the year) Rate Cut Outlook: Only 1 cut projected in 2025 (down from earlier dovish expectations) Cumulative Easing: 75 basis points cut s
🔥 Powell Stands Pat: Fed Holds at 3.5-3.75% Amid Geopolitical Chaos & DOJ Drama 🎯
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586
General
Trend_Radar
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04-30

$INTC Charges Toward $100 as Bulls Take Full Control

$Intel(INTC)$ $Intel Corp.(INTC) Soared +12.10%: Chip Giant Hits All-Time High at $94.95, Momentum Explodes 🚀 Latest Close Data 📊 Closed at $94.75 on 2026-04-30, surging +12.10% (+$10.23). The stock touched its 52-week high of $94.95 intraday, closing just $0.20 below it. Core Market Drivers 💡 Political & Sentiment Boost: Former President Trump's social media post specifically mentioned Intel's recent rally, providing a significant sentiment lift. 🗣️ Strong Earnings Momentum: The stock's parabolic move accelerated sharply after a robust Q1 2026 earnings report on April 23rd, with monthly gains exceeding 100%. 📈 Analyst Conviction: Major Wall Street firms, like Evercore, have issued bullish upgrades and street-high price targets (up to $111), c
$INTC Charges Toward $100 as Bulls Take Full Control
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657
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SmartReversals
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04-30

SPX: Market Peak or Tactical Pause?

$S&P 500(.SPX)$ The divergence with stock participation persists, as the percentage of stocks above their 20DMA has dropped to only 50% of the index constituents. Greed sits at 64, and the indecisive price action suggests a significant move is imminent. The S&P 500 $S&P 500(.SPX)$ rallied for three consecutive weeks when it bounced, gaining over 3% each week. Such an occurrence is rare in the stock market; the move was so rapid that apathy is the common human reaction, similar to what is observed during a breadth thrust signal. Today, the market is consolidating after this sharp move. Considering the high expectations seen across social media and mainstream news for a decline, I am providing a
SPX: Market Peak or Tactical Pause?
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159
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Trend_Radar
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04-30

$GNRC Explodes Higher: Clean Energy Play Hits New Highs, Eyes $270

$Generac(GNRC)$ Generac Holdings Inc. (GNRC) Soars +16.49%: Bullish Breakout to 52-Week High, Targets Activated 🚀 Latest Close (Apr 30, 2026): Closed at $252.92, surging +16.49% from the previous close. The stock hit its 52-week high of $255.88 during the session. 📈 Core Market Drivers: The explosive move is primarily fueled by the company's optimistic 2026 net sales growth guidance, projecting mid-to-high double-digit percentage growth. This signals strong confidence in demand for its clean energy and backup power solutions. Additionally, the broader market's focus on energy resilience and infrastructure spending is providing a favorable tailwind. 💪 Technical Analysis: The breakout is confirmed by surging volume (2.99x average) and powerful momen
$GNRC Explodes Higher: Clean Energy Play Hits New Highs, Eyes $270
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182
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Trend_Radar
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04-30

$NXPI’s 25% Spike Signals Momentum Shift Toward $300+

$NXP Semiconductors NV(NXPI)$ $NXP Semiconductors (NXPI) Soars +25.55%: Chip Giant Breaks Out on Stellar Earnings, Eyeing $290 📊 Latest Close Data Close (04/30): $289.25 Change: +$58.86 (+25.55%) 52-Week High: $292.85 (Just -1.2% away) 🎯 Core Market Drivers Blowout Q1 Earnings: Reported revenue of $3.18B (+12% YoY) and EPS of $3.05, both beating expectations. Strong Q2 Guidance: Upbeat outlook provided, driven by robust demand in Automotive and Industrial & IoT markets, especially for software-defined vehicles and edge AI. Sector Momentum: Part of a broader semiconductor rally, with peers like INTC and ON also posting significant gains. 📈 Technical Analysis Volume: Surged to 10.7M shares (Volume Ratio: 2.75), confirming strong institutional bu
$NXPI’s 25% Spike Signals Momentum Shift Toward $300+
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1.23K
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Selling For Premium
·
04-30

Option Strategies: How to Make Smart Decision of AI Giants?

Hello everyone! Today i want to share some option strategies with you! 1 So glad we didn't sell our $Alphabet(GOOGL)$ calls before the earnings print. Also, wrote puts that should expire worthless. 📈🚀 $Amazon.com(AMZN)$ CSPs should expire worthless for max profit. Will continue writing puts until assigned. Didn't play $Meta Platforms, Inc.(META)$ or $Microsoft(MSFT)$ ... but can write puts against it tomorrow. Hopefully they both dump more. 🤞🏽 2 Been in back-to-back meetings since 8:30am this morning. Looks like FOMC was a nothing-burger based on
Option Strategies: How to Make Smart Decision of AI Giants?
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10.61K
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Owen_Tradinghouse
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04-29

Why I’m Hesitant to Buy Into Semiconductor Stocks After Their Sharp Surge

Today, let’s talk about one of the hottest topics in the investment world recently: the sharp rally in the U.S. semiconductor sector. It is fair to say that, whether we look at the fundamentals and financial data or at market price performance, the semiconductor sector has become a major driver of the recent rise in U.S. equities, and arguably the dominant one. As we all know, in the recent performance of U.S. equity gains, large technology companies—especially the SOX Philadelphia Semiconductor Index—have delivered the largest share of the market’s beta gains. At the same time, in the upward revisions to average earnings-per-share expectations for the S&P 500, semiconductor names such as Nvidia and Micron have also made the biggest contributions. However, even in last week’s market ra
Why I’m Hesitant to Buy Into Semiconductor Stocks After Their Sharp Surge
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1.43K
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EliteOptionsTrader
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04-30

TRADE PLAN for Thursday 📈

TRADE PLAN for Thursday 📈 $S&P 500(.SPX)$ gapping a bit higher after hours. The market had a muted reaction to FOMC but is now gapping up on $Alphabet(GOOGL)$$Amazon.com(AMZN)$ earnings. SPX all about that 7145 level into Friday if it reclaims it and holds.. 7200 comes SPX May 1 7180C can work above 7145 $Advanced Micro Devices(AMD)$ is up 9 after hours.. AMD 350 test coming soon.. Once it gets through it can run to 375-380 in May. AMD May 8 360C is best above 350 $Invesco QQQ(QQQ)$through 665 can
TRADE PLAN for Thursday 📈
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6.09K
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JC888
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04-30

XOM still a Buy with US-Iran 2 mths Impasse?

Energy experts say another oil price spike is coming, made worse by the president’s favourite past time of incessant postings on social media. The man has repeatedly spurred temporary dips in oil prices by claiming on his propaganda platform - Truth Social that the Iran war is near an end and that US oil production would ensure sky high gas prices would soon retreat. Each color corresponds to a specific outcome that traders are betting on. The jawboning has mostly worked. Even as the global price of oil has crept up over $100 per barrel on the futures market, it is significantly less than the $140 per barrel spot price, or what it would take to buy a barrel today. However, the president’s “promises” can only work for so long. According to Pickering Energy Partners, Chief investment officer
XOM still a Buy with US-Iran 2 mths Impasse?
TOP1PC: Nice Sharing 😁 @Aqa @Barcode @DiAngel @Shyon @Shernice軒嬣 2000 @koolgal
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xc__
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04-30

🚀 Intel Earnings Explosion: $INTC Crushes Estimates, Ignites $200B Chip Rally 💎

$Intel(INTC)$ | The Pulse The semiconductor sector just witnessed its most explosive earnings beat in years. $INTC obliterated Q1 expectations with EPS of $0.29 versus $0.01 consensus—a 2,800% beat—catapulting shares +23.60% to $82.54 in a single session while dragging the entire SOXX index up over 4%. But here's the twist: after an 18-day winning streak and a +47% rally from late-March lows, the SOX just snapped its momentum with its first red day, flashing overbought warnings. This isn't just an $INTC story—it's a sector-wide AI infrastructure boom that's lifting $AMD, $NVDA, $TSM, and even optical plays like $MXL (+76.12%). The question isn't whether chips are hot—it's whether we're at peak euphoria or just warming up. 📊 Key News $INTC Q1 Earn
🚀 Intel Earnings Explosion: $INTC Crushes Estimates, Ignites $200B Chip Rally 💎
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1.41K
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Daily_Discussion
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04-30

🚀 What’s your strategy for turning a profit in the market?

We all have a piece of the puzzle. 🧩Contribute your trade idea and let's see the full market picture together. Let’s break it down. These stories drove the markets. More News 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! ⚙️ Thursday — Futures Market Monitor price fluctuations in energy, precious metals, and agricultural futures. As of the evening trading session on April 29, 2026, Eastern Time, the crude oil and gold futures markets showed a pronounced divergence. The Light-Sweet Crude Oil (CLmain) front-month contract surged significantly, closing above the $106 level, with exp
🚀 What’s your strategy for turning a profit in the market?
TOPCadi Poon: As of the evening trading session on April 29, 2026, Eastern Time, the crude oil and gold futures markets showed a pronounced divergence. The Light-Sweet Crude Oil (CLmain) front-month contract surged significantly, closing above the $106 level, with expanded intraday trading range and active volume; meanwhile, gold (GCmain) front-month contract retraced, closing near $4,588.8 per ounce, despite hitting an intraday high of $4,594.1 during the session, and finishing lower than the prior settlement.
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854
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nerdbull1669
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04-30

Can MRNA Be An Opportunity For Trade As Tech Stocks Fell Amidst FOMC

$Moderna, Inc.(MRNA)$ is set to report its fiscal Q1 2026 earnings on Friday, May 1, 2026, before the market opens. After a massive 65% rally year-to-date, expectations are high, even as the company continues to navigate its transition from a COVID-only business to a multi-product platform. Below is an analysis of the upcoming report and the metrics that will likely drive post-earnings volatility. Q1 2026 Earnings Forecast Revenue Consensus: ~$223.5M to $251.8M (representing growth over the year-ago period). Earnings Per Share (EPS): Estimated loss of -$2.29 (range of -$1.76 to -$2.87). Earnings Surprise History: Moderna has an impressive track record, beating EPS estimates in each of the last four quarters with an average surprise of 34.4%. Moder
Can MRNA Be An Opportunity For Trade As Tech Stocks Fell Amidst FOMC
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1.11K
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nerdbull1669
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04-30

Chevron (CVX) Earnings Look For Management’s Outlook on Capital Discipline

$Chevron(CVX)$ is scheduled to release its Q1 2026 earnings tomorrow, Friday, May 1, 2026, before the market opens. The sentiment heading into the report is mixed. While the company has a strong track record of beating EPS estimates (four consecutive quarters), analysts have significantly lowered their expectations for this period due to specific operational headwinds and accounting adjustments. Key Estimates for Q1 2026 Chevron (CVX) reported its Q4 2025 results on January 30, 2026. While the "headline" numbers showed a year-over-year decline in profitability, the market generally viewed the report as a sign of operational resilience. Q4 2025 Earnings Summary Key Highlights: Production Records: Chevron hit record annual worldwide production, fuele
Chevron (CVX) Earnings Look For Management’s Outlook on Capital Discipline
TOP1PC: Nice Sharing 😁 @Barcode @DiAngel @Shyon @Shernice軒嬣 2000 @koolgal @Aqa @JC888
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2.88K
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OptionsDelta
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04-30

It's Time to Check Capex Again

$INTC$ An absolutely absurd rally. I thought recommending sell puts yesterday was aggressive — turns out it was still too conservative. Some large call buys have appeared, like $INTC 20260821 110.0 CALL$  and $INTC 20260618 130.0 CALL$ . That said, judging by the tape, some of those may have been closed by the end of the day. Put strikes are roughly where expected — around 70. Selling puts at that level is fine, or just wait for a pullback. For holders: not every potential pullback requires exiting a position. Some may try to sell high and buy back lower — but this year, that's a great way to get left behind. $NVDA$ Same view as yesterday: range-bound
It's Time to Check Capex Again
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5.49K
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Tiger_SG
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04-30

After Seagate Strong Results, Can SanDisk Reach $1100 As MS Expected?

$Seagate Technology PLC(STX)$ released its earnings last night. Goldman Sachs analysts raised their price target from $385 to $700 on the same day — an 82% increase within three hours, with normalized EPS estimates revised from $17.50 to $32.00.$SanDisk Corp.(SNDK)$ earnings are about to be released on April 30th.Seagate beat across the boardRevenue: $3.11B (+44.1% YoY), +5.5% above StreetGross margin: 47.0%, +230bps vs StreetEPS: $4.10, +16.8% above StreetQ2 revenue guidance (midpoint): $3.45B, +10.3% vs StreetThe most critical strategic signal: Management explicitly stated they do not plan to increase capacity. Keeping supply tight = deliberately maintaining pricing power.Why Seagate’s results directly i
After Seagate Strong Results, Can SanDisk Reach $1100 As MS Expected?
TOPShyon: $Seagate Technology PLC(STX)$ results confirm we’re in a supply-constrained, AI-driven upcycle. What stands out to me is the discipline — no capacity expansion despite strong demand, which reinforces pricing power. The sharp EPS re-rating shows the market is still underestimating how tight this cycle can get. That’s why the read-through to $SanDisk Corp.(SNDK)$ matters. Different tech, same demand driver — hyperscaler AI capex. With $1,100 largely priced in, my year-end target is $1,200–$1,300, depending on whether the $48 cycle EPS gets revised higher. The key catalyst is LTA prepayments. If SanDisk locks in multi-year contracts, valuation can shift toward $1,500. Silence from SK Hynix and $Micron Technology(MU)$ likely reflects ongoing negotiations. $Roundhill Memory ETF(DRAM)$ $CSOP SK Hynix Daily (2x) Leveraged Product(07709)$ $CSOP Samsung Electronics Daily (2x) Leveraged Product(07747)$ @TigerStars @Tiger_comments @TigerClub @Tiger_SG
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64.34K
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Elliottwave_Forecast
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04-29

BRK.B (Berkshire Hathaway) Pullback to Offer Buying Opportunity

Berkshire Hathaway (BRK.B) continues to trade within a strong bullish Elliott Wave structure, supported by a clear sequence of higher highs and higher lows. The long-term trend remains firmly to the upside, and the stock has developed a well-defined impulsive cycle over recent years. From the chart, BRK.B completed a strong advance into wave ((3)), which marked a significant high before entering a corrective phase. This impulsive move reflects sustained buying pressure and aligns with the broader bullish structure. After completing wave ((3)), the stock has transitioned into a corrective phase labeled as wave ((4)). The current price action suggests that wave ((4)) is unfolding as a complex correction. The structure appears to be developing through a W-X-Y pattern, which typically signals
BRK.B (Berkshire Hathaway) Pullback to Offer Buying Opportunity
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