754
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JC888
Β·
04-16

FFIE: Profits Soar or Earnings Dive?

$Faraday Future Intelligent Electric Inc.(FFIE)$  When US market closed on Fri, 12 Apr 2024 - this is how Faraday Future stood from financial standpoint: Shares price - $0.08. 1-year low: $0.08. 1-year high: $117.36. Debt-to-equity ratio: 0.39. 50-day moving average price: $0.17. 200 day moving average price: $1.22. Market capitalization: $3.39 million. PE ratio: 0.00 Beta: 1.45. On Mon, 15 Apr 2024, Faraday Future is supposed to be reporting its Quarterly earnings. Is it true ? I dunno for sure. On the eve of a possible announcement, we could review its earnings so far. (see below) Since day 1, Faraday Future has never made a profit. Its losses increased in the first 3 years of operations. While it is usually t
FFIE: Profits Soar or Earnings Dive?
TOPfloopi: Is there a large short interest here? If not, this could skyrocket.
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nerdbull1669
Β·
04-16

Yield High! Gold Potential Entry Now! Bank Earnings Surprise!

On Monday (16 April), we saw the stock market started off on a positive note with major indices moving with an uptick. The confidence of investors came back after recent downturns, and investors buying the dip supported by the lack of economic negative impact by the Iran’s attacks on Israel. As the session progress, we start to see investors’ initial optimism disappearing, we start to see selloff, but there is no specific news that trigger this pullback. We saw the situation worsened in the afternoon session after Israel’s Chief of Staff issued a statement hinting of retaliation against Iran, the selloff continue and finally the indices close near their session lows. The most significant dip was NASDAQ fell 1.79% and S&P 500 fell 1.2%, dropping below its 50-day moving average. Treasury
Yield High! Gold Potential Entry Now! Bank Earnings Surprise!
TOPTaurus Pink: [Proud] [Proud] [Proud]
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TrendSpider
Β·
04-15

Busy week ahead! πŸ“†πŸ“ˆ Keep an eye on those key events. πŸ‡ΊπŸ‡ΈπŸ’Ό

1. U.S. Retail Sales - Monday 2. NY Fed Manufacturing Survey - Monday 3. $Goldman Sachs(GS)$ Earnings - Monday 4. $Bank of America(BAC)$ $Morgan Stanley(MS)$ $Johnson & Johnson(JNJ)$ $UnitedHealth(UNH)$ Earnings - Tuesday 5. Fed Chair Powell Speech - Tuesday 6. Fed Beige Book - Wednesday 7. Initial Jobless Claims - Thursday 8. Philly Fed Manufacturing Survey - Thursday 9. Existing Home Sales - Thursday 10. $Netflix(NFLX)$ Earnings - Thursday 11. $American Express(AXP)$ Earnings - Friday
Busy week ahead! πŸ“†πŸ“ˆ Keep an eye on those key events. πŸ‡ΊπŸ‡ΈπŸ’Ό
TOPdong123: πŸ€” Definitely keeping an eye on the VIX too, that could be a wild ride.
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ι’›εͺ’体APP
Β·
04-16

German Chancellor in China Visit Calls for EU Openness to Chinese Vehicles and Zero Tolerance for...

 TMTPost -- German Chancellor OIaf Scholz called for the European Union to be open to Chinese vehicles while zero tolerance for dumping in the auto market during the leader’s three-day visit to China. Credit:CCTV China-made vehicles are welcomed in the German market, Scholz said during his travel in Shanghai on Monday, a day following his arrival in Chongqing as his first stop in China. Scholz emphasized that the European market must engage in open and fair competition with Chinese automakers. β€œAt some point there will also be Chinese cars in Germany and Europe. The only thing that must always be clear is that competition must be fair,” Scholz told students at Tongji University in Shanghai. Scholz reminded people of the worry that Japanese and Korean cars would have conquere
German Chancellor in China Visit Calls for EU Openness to Chinese Vehicles and Zero Tolerance for...
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nerdbull1669
Β·
04-16

Bank Of America Upside Possible If Net Interest Income Rise

$Bank of America(BAC)$ will be having their earnings release on 16 April 2024 before market open. The expected earnings per share (EPS) is $0.77 and revenue is expected to come in at $25.46 billion. One of the thing to watch out is the way expectations of higher-for-longer interest rates, how this would impact Bank of America when the bank reports first-quarter earnings. All lenders are exposed to the direction of rates, which touch virtually every aspect of their activities. Bank of America is particularly sensitive to rate fluctuations, partly because it has a larger customer deposit base than other large U.S. banks. That means the bank benefits from clients' higher interest payments, but also must pay out more for customer deposits. Market is e
Bank Of America Upside Possible If Net Interest Income Rise
TOPTaurus Pink: [Proud] [Proud] [Proud]
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koolgal
Β·
04-16

IAU iShares Gold Trust is My Tactical Bet On the Rising Price of Gold

🌟🌟🌟Gold prices rose above USD 2400 per ounce to an all time high last Friday as investors seek refuge in its safe haven asset.   Investors are now anxiously waiting for Israel's response to the missiles attack by Iran last week. Wall Street Analysts are bullish on Gold with Goldman Sachs increasing its year end Gold price forecast to USD 2700 per ounce from USD 2300, citing Gold 's bull market' s indifference to the usual macro factors. I have just invested in $iShares Gold Trust(IAU)$ today.  IAU tracks the Gold Spot Price, using Gold bars held in vaults around the world.  IAU is an efficient way for investors to hold physical gold.  This ETF removes the complexities for a small investor like me of buying,
IAU iShares Gold Trust is My Tactical Bet On the Rising Price of Gold
TOPfloopi: I feel $3000 soon and $5000 then.
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OptionsDelta
Β·
04-16

Tracking the Footprints of Option Whales: 5 Stocks to Watch for Explosive Gains

The biggest pain point for stock investors is the inability to track the movements of large funds in real-time. Although fund companies disclose their stock purchases and sales through 13F filings every quarter, these are still backward-looking reports. Given the different trading styles of various funds, investors find it difficult to grasp where the money is actually flowing. Funds may have already adjusted their positions by the time of disclosure, with even investment giants like Berkshire Hathaway significantly reshuffling their holdings within a single quarter.As such, the ability to directly track large order flows has become a major advantage of options trading. The now-famous story of the "NVIDIA $200 Million Whale" is likely familiar to veteran options traders. We have tracked th
Tracking the Footprints of Option Whales: 5 Stocks to Watch for Explosive Gains
TOPskythelimit: It's an interesting way to gain an edge in the market.
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OptionsBB
Β·
04-15

Options Spy | S&p 500 defensive bullish, Nasdaq expected volatility

US Major Stock Index Futures All RiseAccording to IDC data, Apple's iPhone shipments in the first quarter fell 9.6%, with a 17.3% market share, ranking second. Tesla issued a company-wide email, announcing a 10% global workforce reduction. Reports suggest Intel may launch a Chinese special version of the Gaudi 3 AI accelerator chip. News also indicates that Richard Liu may personally livestream, with JD.com responding that they are preparing and will appear in a new form.In the short term, the S&P 500 index is expected to remain below 520. The major options trades include an April 17 expiry 525/520 call spread, suggesting the index will top out around 520 that week.For the medium term, the S&P 500's downside may be limited. The May 17 expiry 486/489 put spread strategy implies a dr
Options Spy | S&p 500 defensive bullish, Nasdaq expected volatility
TOPcheerzy: Glad you share all these stock and options updates.
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MaverickWealthBuilder
Β·
04-15

What Asset To Choose in Delayed Rate Cut?

The economic cycle has started, driving the global manufacturing cycle to restart after two years, with the risk of inflation intensifying.From the supply side, the copper-gold-oil mega-cycle has started, the stock cycle rebound trend is confirmed, and the manufacturing cycle is confirmed to start rising.From the demand side, the most obvious consequences are rising hourly wages and CPI exceeding expectations.There is no longer a window for interest rate cuts in the short term.When is the interest rates cut path?The resilience of the U.S. fundamentals and the deep inversion of the yield curve also mean that this round does not require too many interest rate cuts. At the same time, there is no need to wait for the economy to deteriorate significantly for interest rate cuts, as the current a
What Asset To Choose in Delayed Rate Cut?
TOPmoxieoo: Short-term government bonds like $SHV$ seem like a safer bet for now.
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DividendWave
Β·
04-15

Ex-dividend this week - PG, CAT & CVS

Ex-dividend this week2 AristocratsProcter & Gamble $Procter & Gamble(PG)$ will pay dividend on 18 APR, current yield is 2.6% yield, and 57% payout.Caterpillar $Caterpillar(CAT)$ will pay dividend on 19 APR, current yield is 1.4%, and 26% payout.2 years of dividend growthCVS Health $CVS Health(CVS)$ will pay dividend on 19 APR, current yield is 3.9%, and 30% payout.https://twitter.com/DividendWave/status/1779765634148053281
Ex-dividend this week - PG, CAT & CVS
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TigerOptions
Β·
04-15

Why I Think BTC will Rise in Years to Come

$CME Bitcoin - main 2404(BTCmain)$ has been on a wild ride since its inception, with periods of explosive growth followed by sharp corrections. Despite the volatility, I believe there are strong reasons to be bullish on Bitcoin in the long term, with the upcoming halving event being a significant factor. Unlike traditional currencies that can be printed at will, Bitcoin boasts a capped supply of 21 million coins. This scarcity becomes even more pronounced with the halving, a pre-programmed event that cuts the block reward for miners in half roughly every four years. This translates to fewer new Bitcoins entering circulation, further tightening supply. Bitcoin acceptance is on the rise. More and more businesses are embracing Bitcoin payments,
Why I Think BTC will Rise in Years to Come
TOPTimothyBarnes: Wah, this content really got me interested!
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EliteOptionsTrader
Β·
04-15
Premarket plan$S&P 500(.SPX)$ needs back through 5200 to set up for 5260+ If SPX reverses under 5147 we can see 5100 by Wednesday. Puts can work under 5147 this week $NVIDIA Corp(NVDA)$ keep an eye on 900 if NVDA can close above 900 we can see 919,935. Calls can work above 900 $Advanced Micro Devices(AMD)$ if this fails to reclaim 164 this week we can see a drop to 151. Puts can work under 164

Elite Options #Watchlist 4/15/24

@EliteOptionsTrader:
$NVIDIA Corp(NVDA)$ 900C > 885 | : 900 | SL: 878 $Meta Platforms, Inc.(META)$ 500P < 508 | : 500 | SL: 511 $S&P 500(.SPX)$ Apr 17 5230C > 5200 | : 5229 $S&P 500(.SPX)$ Apr 17 5040P < 5100 | : 5038Image $S&P 500(.SPX)$ volatile week with 100+ pt move lower from Thur into Fri. SPX has consolidated for 3 weeks since last FOMC. If SPX breaks 5100 we can see 5000 next. Puts can work under 5100 this week. Important support level for bulls. If SPX breaks 5000 we can see another 150 pt sell off.ImageGM[Onlooker]Image
Elite Options #Watchlist 4/15/24
Premarket plan$S&P 500(.SPX)$ needs back through 5200 to set up for 5260+ If SPX reverses under 5147 we can see 5100 by Wednesday. Puts can work un...
TOPOutsiderLEO: Wah, your content very useful leh! Appreciate your insights on the market. πŸ‘
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SmartReversals
Β·
04-15

SP500 - Correction Looming or Bullish Replay?

The $S&P 500(.SPX)$ recently was 11% above its 125-day moving average (MA), that's a significant component of the Fear and Greed Index. However, a historical perspective offers some context. While not the highest on record (September 2020 saw 19% and May 2021 reached 11.5%), it is noteworthy. Historically, such overextensions have often led to a "visit" to the 125-day MA, a potential correction. However, there have also been instances where the 50-day MA served as a temporary bounce point (marked by green arrows) before the rally resumed to new highs with a lower degree of overextension and a subsequent visit to the 125-day MA at a higher price point. Given current technicals, supportive breadth indicators, and a RSI below 50 (similar to the p
SP500 - Correction Looming or Bullish Replay?
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TigerPM
Β·
04-12

Why Should You Exercise or Abandon In-the-Money Options Early?

For beginners in options trading, there's a common belief: if your options are profitable, you either close the position or wait until expiration to exercise them. Early exercise, they think, is a waste of the option's time value. However, there are situations where exercising early is probably the smarter move. When is early exercise a wise choice? Firstly, consider a scenario where the price of the underlying stock has surged, making a call option deeply in-the-money (or, conversely, a put option in the case of a significant drop in stock price). While this is great news, deeply in-the-money options often suffer from poor liquidity. If you decide to secure your profits, you might find the bid-ask spread eats into your gains due to this lack of liquidity. Exercising the option early can b
Why Should You Exercise or Abandon In-the-Money Options Early?
TOPOption_Movers: Hey, traders! Have you ever wondered about the right time to exercise your options for maximum profit? While the common belief is to wait until expiration, there are instances where early exercise could be more profitable. From handling in-the-money options with poor liquidity to capturing dividends before the stock price drops, early exercise has its advantages. We'll explore these scenarios and guide you on how to leverage this feature with Tiger Trade's latest update, version 9.1.5. Don't miss out!"
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Option_Movers
Β·
04-15
Hey, traders! Have you ever wondered about the right time to exercise your options for maximum profit? While the common belief is to wait until expiration, there are instances where early exercise could be more profitable. From handling in-the-money options with poor liquidity to capturing dividends before the stock price drops, early exercise has its advantages. We'll explore these scenarios and guide you on how to leverage this feature with Tiger Trade's latest update, version 9.1.5. Don't miss out!"

Why Should You Exercise or Abandon In-the-Money Options Early?

@TigerPM:
For beginners in options trading, there's a common belief: if your options are profitable, you either close the position or wait until expiration to exercise them. Early exercise, they think, is a waste of the option's time value. However, there are situations where exercising early is probably the smarter move. When is early exercise a wise choice? Firstly, consider a scenario where the price of the underlying stock has surged, making a call option deeply in-the-money (or, conversely, a put option in the case of a significant drop in stock price). While this is great news, deeply in-the-money options often suffer from poor liquidity. If you decide to secure your profits, you might find the bid-ask spread eats into your gains due to this lack of liquidity. Exercising the option early can b
Why Should You Exercise or Abandon In-the-Money Options Early?
Hey, traders! Have you ever wondered about the right time to exercise your options for maximum profit? While the common belief is to wait until exp...
TOPzingzy: Wah, really useful tips lah! Appreciate you sharing this valuable info. πŸ‘
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1.24K
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OptionsTutor
Β·
04-15
Hello, everyone! Are you new to options trading and wondering when to exercise your options? Many beginners believe that the best time to close or exercise profitable options is either at expiration or when you're ready to close the position. However, there are situations where early exercise can be a smarter move. Stay tuned as we dive into when early exercise might be beneficial and how to use this feature effectively with Tiger Trade's version 9.1.5!

Why Should You Exercise or Abandon In-the-Money Options Early?

@TigerPM:
For beginners in options trading, there's a common belief: if your options are profitable, you either close the position or wait until expiration to exercise them. Early exercise, they think, is a waste of the option's time value. However, there are situations where exercising early is probably the smarter move. When is early exercise a wise choice? Firstly, consider a scenario where the price of the underlying stock has surged, making a call option deeply in-the-money (or, conversely, a put option in the case of a significant drop in stock price). While this is great news, deeply in-the-money options often suffer from poor liquidity. If you decide to secure your profits, you might find the bid-ask spread eats into your gains due to this lack of liquidity. Exercising the option early can b
Why Should You Exercise or Abandon In-the-Money Options Early?
Hello, everyone! Are you new to options trading and wondering when to exercise your options? Many beginners believe that the best time to close or ...
2
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7.08K
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AI_Dig
Β·
04-15

Nvidia stock: buy-the-dip opportunity or catch flying knife?

图片 $NVIDIA Corp(NVDA)$ have risen from less than $500 at the start of the year to a 52-week high of $974, and are up more than 200% over the past 12 months, but the stock recently fell back nearly 11% into correction territory.Nvidia is now seeing a pullback. Is this a buy-the-dip opportunity or catching a falling knife?Fundamentally, Nvidia's sales and earnings growth are on fire. But for a growth stock that's tripled in a year, the valuation premium is no joke, and the risk is rising.Buy-the-dip opportunity?Well, Nvidia's stock has been on a tear, but bulls will argue that the company's revenue and profits are growing even faster. Nvidia's fourth-quarter revenue jumped 265% year-over-year, and earnings per share soared 765%! The main driver? The
Nvidia stock: buy-the-dip opportunity or catch flying knife?
TOPblinki: Still, Nvidia's doing well - their numbers are on fire!
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1.20K
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EliteOptionsTrader
Β·
04-15

Elite Options #Watchlist 4/15/24

$NVIDIA Corp(NVDA)$ 900C > 885 | : 900 | SL: 878 $Meta Platforms, Inc.(META)$ 500P < 508 | : 500 | SL: 511 $S&P 500(.SPX)$ Apr 17 5230C > 5200 | : 5229 $S&P 500(.SPX)$ Apr 17 5040P < 5100 | : 5038Image $S&P 500(.SPX)$ volatile week with 100+ pt move lower from Thur into Fri. SPX has consolidated for 3 weeks since last FOMC. If SPX breaks 5100 we can see 5000 next. Puts can work under 5100 this week. Important support level for bulls. If SPX breaks 5000 we can see another 150 pt sell off.ImageGM[Onlooker]Image
Elite Options #Watchlist 4/15/24
TOPEliteOptionsTrader: Premarket plan $S&P 500(.SPX)$ needs back through 5200 to set up for 5260+ If SPX reverses under 5147 we can see 5100 by Wednesday. Puts can work under 5147 this week $NVIDIA Corp(NVDA)$ keep an eye on 900 if NVDA can close above 900 we can see 919,935. Calls can work above 900 $Advanced Micro Devices(AMD)$ if this fails to reclaim 164 this week we can see a drop to 151. Puts can work under 164
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872
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TBlive
Β·
04-15
Will the generative AI stock bubble burst anytime soon?Why did Apple and Tesla underperform other Magnificent Seven stocks in recent weeks?Will $Tesla Motors(TSLA)$ and $Apple(AAPL)$ beat their Q1 earnings?Welcomt to Join James’s Webinar on April 17th at 7:30pm

Webinar: Will Tesla and Apple beat their Q1 earnings?

@Tiger_James Ooi:
Key Topics: Why the generative AI stock bubble won't burst anytime soon? What to expect from the upcoming earnings reports of Tesla and Apple? Why did Apple and Tesla underperform other Magnificent Seven stocks? Please click here to access the webinar on April 17th at 7.30 pm.
Webinar: Will Tesla and Apple beat their Q1 earnings?
Will the generative AI stock bubble burst anytime soon?Why did Apple and Tesla underperform other Magnificent Seven stocks in recent weeks?Will $Te...
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