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361
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DavidSG
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08-24
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480
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逆天邪神云澈
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08-24
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1.03K
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Bobby Banana
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08-24
$CoreWeave, Inc.(CRWV)$ I sold some to average down the cost. But is it worth holding? I did some analysis. CRWV (CoreWeave) — my take At around US$88, I think CRWV is one of the more interesting but high-risk AI infrastructure stocks. The business momentum is exceptional, but the valuation and enormous capital requirements make this very different from owning NVDA or MSFT. 🚀 What’s very bullish 1. Revenue is exploding * Q2 2026 revenue: $2.58B, up 112% YoY. * Adjusted operating income improved to $128M, versus $21M in Q1. * The company is beginning to demonstrate operating leverage as its infrastructure scales. 2. Backlog is the biggest attraction * Revenue backlog reached $104.2B, up 246% YoY. * CoreWeave also added >$25B of new customer comm
$CoreWeave, Inc.(CRWV)$ I sold some to average down the cost. But is it worth holding? I did some analysis. CRWV (CoreWeave) — my take At around US...
TOPjigglyp: 9.4B capex in one quarter and north of 30B debt is where I tap out. Backlog looks great until AI demand hiccups and the financing stack starts owning the story
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Feijoa8025
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08-24
$Torm PLC(TRMD)$ I hold this stock mainly for dividend, not for growth. Decided to cut some to take profit for now. I did some analysis. TORM is a major product-tanker operator, transporting refined products such as diesel, gasoline and jet fuel. Its earnings are highly sensitive to tanker freight rates. 🟢 What’s attractive 1. 2026 has started very strongly Q1 2026: * TCE revenue: $286M, +34% YoY * EBITDA: $201M, +48% * Net profit: $122M, +94% * EPS: $1.21 * TCE rate: $34,937/day, versus $26,807 a year earlier. That’s a very strong operating environment. 2. The dividend is a major attraction TORM paid $0.70/share for Q1, representing a 58% payout ratio. At roughly $32/share, even a $0.70 quarterly dividend would represent an annualised yield of ab
$Torm PLC(TRMD)$ I hold this stock mainly for dividend, not for growth. Decided to cut some to take profit for now. I did some analysis. TORM is a ...
TOPYumZoay: 8.8% annualized is real on that Q1 payout. The part that matters is sustainability though — one hot rate quarter can make a variable dividend look safer than it is
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351
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Calwsh
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08-24
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527
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Wayneqq
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08-24
$VanEck Semiconductor ETF(SMH)$   Investing is about focus.... not noise. When the headlines scream panic, hype, bubble, overvaluation etc, lean into discipline, not drama. Continue to DCA into chips💪
$VanEck Semiconductor ETF(SMH)$ Investing is about focus.... not noise. When the headlines scream panic, hype, bubble, overvaluation etc, lean into...
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404
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Trend_Radar
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08-24

$HLF Rebounds 4% as Short Sellers Face Rising Pressure

$Herbalife(HLF)$ $Herbalife(HLF) +4.12%: Short Covering Rally Ignites, $14.88 Resistance in Focus Latest Close Data: HLF closed at $12.65 (+4.12%) on 2026-08-24, with intraday range $12.09–$12.75. Volume surged to 1.55M shares (Volume Ratio 1.17), signaling institutional accumulation. Price now sits 38% below its 52-week high of $20.40. Core Market Drivers: Short volume ratio held at 25.41% on 08-21, suggesting persistent bearish positioning ripe for squeeze. Baupost Group (8.84%) and BlackRock (7.99%) maintained stakes, providing stability. No company-specific news drove the move—technical and short-cover dynamics dominated. Technical Analysis: RSI(6) jumped to 61.46 from 49.02, exiting neutral territory with bullish momentum. MACD histogram turne
$HLF Rebounds 4% as Short Sellers Face Rising Pressure
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2.05K
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MaxWin
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08-24
$DBS(D05.SI)$ DBS Group Holdings (SGX: D05) is Southeast Asia’s largest bank, offering strong fundamentals, an attractive dividend yield (~4.3%), and high profitability (ROE ~16–18%), though its current valuation trades near all-time highs.   Investment Thesis Robust Profitability: DBS reported Q2 net profit growth driven by strong wealth management fees, regional expansion, and resilient non-interest income.   Capital Returns & Dividends: DBS remains a top dividend pick, offering predictable quarterly payouts alongside periodic capital returns.   Digital & Regional Scale: Its leadership in digital banking and wealth management across Asia provides long-term competitive advantages.   Key Metrics O
$DBS(D05.SI)$ DBS Group Holdings (SGX: D05) is Southeast Asia’s largest bank, offering strong fundamentals, an attractive dividend yield (~4.3%), a...
TOPJoBloor: ROE staying in that 16 to 18 range matters more than the headline yield. Wealth fees are stickier than people think, so the quality of earnings looks solid
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lyKeoh
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08-24
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383
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ilovemoneymoney
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08-24
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256
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ilovemoneymoney
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08-24
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376
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Mineminemineallmine
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08-24
$TSLA 20261120 385.0 PUT$ Have good feeling this option has a. Good chance to expire worthless. Tesla Semi news coming into play. Sentiment improving.
$TSLA 20261120 385.0 PUT$ Have good feeling this option has a. Good chance to expire worthless. Tesla Semi news coming into play. Sentiment improving.
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169
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SnailWalker
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08-24
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184
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Mando88
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08-24
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238
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HappyFamilyMan
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08-24
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129
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ynwaben
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08-24
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146
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jethro
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08-24
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350
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jethro
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08-24
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443
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Trend_Radar
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08-24

Short Squeeze Bets Help Push $LULU Back Above $121

$Lululemon Athletica(LULU)$ $Lululemon Athletica (LULU) +4.65% Breakout: Momentum Reclaims $121, Next Resistance at $137.83 📈 Latest Close: $121.07 (+4.65%) on Aug 24, 2026 · Volume 3.25M shares, 1.15x average ratio · Range $116.90–$121.66 · Still -46.4% below 52W high $225.98 Core Market Drivers: LULU extended Friday's board-expansion momentum with strong capital inflows ($110M total, +$13M net). Short volume ratio held elevated at 17.94% on Aug 21, suggesting squeeze fuel. Broader apparel/retail sector showed rotation strength. Technical Analysis: RSI(6) jumped to 54.2 from 32.9 — exiting oversold and reclaiming bullish momentum zone RSI(12) at 52.1 confirms medium-term recovery underway MACD still negative (-1.18) but DIF is curling upward, sig
Short Squeeze Bets Help Push $LULU Back Above $121
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410
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LesterTan
·
08-24
$NVIDIA(NVDA)$  This is everyone favorite  and Rightfully so. Still cheap and more upside predicting abt 40% growth annually. Earnings on 28 Aug and can consider to buy before another run up. 
$NVIDIA(NVDA)$ This is everyone favorite and Rightfully so. Still cheap and more upside predicting abt 40% growth annually. Earnings on 28 Aug and ...
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