Earnings Focus: Do You Hold These Standout Companies?
This week, hundreds of S&P companies released their financial reports, and a few companies stood out with significant gains either during yesterday's trading session or after hours.Let's take a look at yesterday's star stocks!Do you own any of these companies? Share your profitable positions with us!1. $Spotify Technology S.A.(SPOT)$ +11.41%: turn from loss to profit yoyRevenue reached €3.6 billion, up 20%.Adjusted operating profit: €168 million.Number of premium subscribers: 239 million, up 14% year-over-year.2. $GE Aerospace(GE)$ +8.28%: beat estimates and announced significant dividendQ1 revenue: $16.1 billion, up 11% year-over-year, beating by $400 million.Non-GAAP EPS: $0.82, beating by 17.14%.The
Weekly Trader's Outlook: Recent Selloff Is JUst Start Of Deeper Correction.
On Friday, Israel appeared to be about to "retaliate" against Iran, causing crude oil and gold prices to soar and US stocks to plummet. Although both Israel and Iran soon came out to clarify, the Iranian side said that it intercepted the drone that attacked and did not cause too much loss, which caused a sharp retreat in the follow-up market.This phenomenon shows that the two sides of the conflict do not want to make things too big, but the financial market does not seem to buy the result, and the price fluctuation suddenly becomes very manic.The impact of the conflict on the US stock indexThe widening situation in the Middle East has weakened the market's sensitivity to news of the Fed's interest rate cut and increased concerns about war fears. Although there was a sharp rebound on Friday
Implied Volatility (IV), sounds simple yet complicated. Anyway, it is worth to learn and understand the principle behind IV. Before and after the release of financial reports, implied volatility often experiences a sharp decline, a phenomenon referred to as IV Crush. IV, or Implied Volatility, is a critical parameter in option pricing models, representing the market's expectation of future volatility in the underlying asset. Unlike historical price data, IV is inferred from option market prices. Therefore, IV reflects current market conditions and participants' expectations, providing valuable insights into market volatility. Significant events such as financial report releases or policy changes may cause substantial price fluctuations in the underlying asset. Before these events occu
The European Central Bank (ECB) is planning multiple interest rate cuts this year, even though economic challenges exist globally. This contrasts with the US Federal Reserve, which is postponing looser policies due to high inflation. ECB officials believe euro zone inflation will fall and reach their target by next year. Their decisions are based on incoming data, particularly regarding wages, profits, and productivity. Some investors doubt the ECB's commitment, but policymakers are generally comfortable with the euro's weakness. They emphasize that the euro zone's economy is significantly weaker than the US, necessitating a different approach. the fed might start to cut rates when ecb blinks. $Tesla Motors(TSLA)$ j
🟩 In this video, Iggy the Investing Iguana dives deep into Wilmar International's latest quarterly results. Despite the damage to its terminal in Ukraine, analysts maintain a 'hold' rating on the agribusiness giant. Iggy breaks down the expected "flattish" to "marginal growth" year-on-year performance and the uneven performance across Wilmar's various business segments. $Wilmar Intl(F34.SI)$ Discover why analysts project a core net profit of between US$390 million and US$420 million for 1QFY2024 and maintain their FY2024 and FY2025 earnings forecast at US$1.78 billion and US$2.1 billion, respectively. Iggy also reveals the potential catalyst for Wilmar's share price – a surprise recovery in China, where its local unit, YKA, is the largest prof
Tiger Prediction: Congrats to these Tigers for winning 130 vouchers!
Hi Tigers, Have you tried our Tiger Prediction feature? If not, please check out here! Make bullish/bearish predictions in your post, and if your post gets [IDEA] or [PICK], you will have a chance to win free voucher rewards every week! 💰Let's take a look at who the winners were last week (13 Apr-20 Apr) and how much "profit" they made! 💰💰💰 Congratulations to the following Tiger Friends for winning free voucher rewards @Shyon@Ultrahisham
I closed $AAL 20240426 13.5 PUT$ ,🤦 AAL doesn’t look too good on the fundamentals. With earnings coming up, best to exit with a 9% credit profit to stay safe. Not losing money is winning! 💪
I opened 1 lot(s) $PLTR 20240503 23.0 CALL$ ,Selling CC on my newly acquired Palantir. This 1st contract about 2 weeks by end of next Friday just before earnings on the following week. $23 a key level for both support and resistance. And it too has some hurdles from the moving averages before getting to this key level. But of course if market is really strong we may blast thru these levels Which then be prepared to have the underlying to be called away.
$Meta Platforms, Inc.(META)$now everyone know the weakness before the result is with bottom ....Play your options accordingly.... I am saying don't throw away high premium on options call or colllect low on selling calls..... because assumption was- it suppose to trend near 490 but it shows skeptisicm before earning and trend little lower than usual range.... enjoy trading....i am bullish on earning...
$Marathon Digital Holdings Inc(MARA)$ 🚨 After multiple days of downtime in operations, MARA finally started to mine at near uptime ~38.5EH/s, mining a total of 9 blocks in the past 24 hours 🤯, earning an average of 1.2+ Bitcoin in fees alone 🚀. Total 42.15 Bitcoin earned worth over $2.8 Million (at an average $BTC price of $67,000). They mined a total of 6% of the blocks in the past 24 hours. MarathonDH is incredibly undervalued similar to many of other #Bitcoin miners, and it’s only a matter of time till MARA starts to explode upwards.
$Marathon Digital Holdings Inc(MARA)$ As it currently stands, Marathon spends around $22,000 to mine one Bitcoin. Meanwhile, Riot's expenses per Bitcoin mined hover around $2,000, making it much more efficient and much more prepared for the coming revenue cut that will accompany the halving. So riot spends 4000 dollars now ? Currently building another facility that will destroy Texas environment but who cares they getting rich
Hard to visualize +13% After Hours vanishing tomorrow for $Tesla Motors(TSLA)$ Worth noting: It will open a gap, and #Tesla has closed them all during the recent months.Yes, there are gaps above as well.$156 is the new support to watch.If the bottom is in (I hope so, but gaps are usually filled), the target shared in Newsletter since a couple of weeks ago, was just $5 below the current one 🎯https://twitter.com/SmartReversals/status/1782931588252160113
I closed $GOOG VERTICAL 240503 CALL 160.0/CALL 157.5$ ,Price is near the short call and seems like there is resistance at $160. So, let’s close this trade to secure the profits. Made approx ROI of 10%.
The bounce from oversold conditions continues crossing resistance levels and Stochastic is behaving as in previous bottoms.Like it or not, the Mag 7 have a lot of influence in the market, and there are promising conditions: $Microsoft(MSFT)$ : Up as the daily candle suggested yesterday, also validating 20 Weekly MA as support for now. $Apple(AAPL)$ : Shy recovery of $166, to soon to celebrate but there is hope. $Meta Platforms, Inc.(META)$ : Struggling at the 50DMA in confluence with $495 $NVIDIA Corp(NVDA)$ : 807 has been recovered, that's a good sign as mentioned during the weekend.
$Texas Instruments(TXN)$ Cash Flow after 1QTTM FCF $0.9 B (Last FY below $1 B was 2001)Dividends 5x that ($4.6 B)Capex $5.3 (above guided per year for 2023-2026 )ImageTXN balance sheet showing (debt) the effort to pay dividends while keeping this elevated Capex ImageTXN Capex guidance $5 B / yearImageTXN 2001 FCF below $1 B (negative the year before)ImageTXN weak quarter, revenue mid point of guidance1Q YoY Revenue -16% // -10% QoQ Net Income -35% Dil. EPS -35% OCF -12% FCF negative 2Q outlook Revenue $3.65 billion to $3.95 billion (-16% YoY at mid point ; +4% QoQ)Image
$Marathon Digital Holdings Inc(MARA)$That's exactly the point, all the threads are flying and Mara went down 5% today and she did herself a favor by fixing a little something here doesn't smell goodTh Runes protocol allows people to etch and mint tokens on the chain. The launch of the protocol over the weekend triggered a spike in network fees on the Bitcoin blockchain...BUT its not enough to insure proftability ...its only 15% of miner revenues network transaction fees..not enough ..
$AMC Entertainment(AMC)$ moviegoers are not returning to theaters. Worldwide box office revenues only hit $7.4 billion in 2023, down from $11.9 billion in 2018. A slow start to 2023 (Barbie and Oppenheimer notwithstanding) means this year’s take might barely hit $10 billion. Instead, viewership has moved to streaming services and TV.
$AMC Entertainment(AMC)$ A lesson in bagholding Here are the results for a hypothetical AMC investor who invested $1,000 in January 2023 and held until the present, compared to the returns of risk-free cash and the S&P 500 Index: Even despite the pump in 2021, our AMC investor would have seen their initial $1,000 investment turn into just $32.81 at an annualized loss of -47.84%. During this time, cash returned 2.07%, while the S&P 500 returned 16.99%. To put it bluntly, investors that either blindly held cash or invested absentmindedly into an index fund would have beaten the AMC investor. What caused this gross underperformance? Well, a series of inauspicious events occurred: The outbreak of COVID-19 in 2020 deci