Daily Scoop🍨: Strategy (MSTR) Preferred Stock STRK Better For Hedging
$MICROSTRATEGY 8.00% SERIES A PERPETUAL STRIKE PFD(STRK)$$Strategy(MSTR)$ Strike (STRK), the preferred stock issued by bitcoin buyer Strategy (MSTR) has been listed for just over a month and is currently 3% higher than at its Feb. 5 introduction. Strategy's common stock, on the other hand, is 20% lower over the same period. Preferred stock like STRK can be thought of as a hybrid of equity and debt. Holders have a greater right to dividend payments than common stock owners if the company makes them and also to the company's assets in the event of a liquidation. STRK is a perpetual issue, which lacks a maturity date (like equity) and pays a fixed dividend (like de
Daily Scoop🍨: Tesla (TSLA) Reeks Of Bullying With DOGE Controversies
$Tesla Motors(TSLA)$ Hundreds of demonstrators gathered nationwide outside Tesla showrooms Saturday amid heightened criticism against CEO Elon Musk’s federal cost-cutting role in the so-called Department of Government Efficiency and after Attorney General Pam Bondi vowed to crack down on vandalism against Tesla. The demonstrations are part of the “Tesla Takedown” movement, a boycott that began on February 15 against Musk’s electric vehicle company. The campaign was started by Hollywood actor and filmmaker Alex Winter, and Joan Donovan, an assistant professor of Journalism and Emerging Media Studies at Boston University. DOGE has slashed thousands of government jobs, and this week it proposed a dramatic downsi
$Tiger Brokers(TIGR)$ Picking quality stocks when the market is down can be a great opportunity to buy undervalued companies. Here are some strategies to consider: 1.Focus on Strong Fundamental Earnings Growth: Look for companies with a consistent track record of earnings growth. Even during tough times, strong companies manage to adapt and continue growing. Revenue Stability: Companies with diverse revenue streams are generally less affected by market fluctuations. Profit Margins Stable or growing profit margins indicate efficiency and competitive advantage. Low Debt: Companies with manageable debt loads are less likely to be negatively affected by market downturns. 2. Look for Companies with Strong Balance Sheets: - Companies with high cash rese
$NVIDIA(NVDA)$ Explanations for the decline. The impact of DeepSeek: DeepSeek's significant reduction in training costs has triggered market fears of a disruptive shift to NVIDIA's "AI chip-based computing power model." Technical downward: Since November 7, 2024, the stock price entered a nearly two-month consolidation period without forming a significant upward breakout. Frequent earnings disappointments in tech stocks: Google and AMD's earnings reports fell short of expectations, weighing on market sentiment. NVIDIA's long-term value The stock price creates a margin of safety: The current price is nearing a key support level, with limited room for further decline. Strong long-term fundamentals: NVIDIA remains the
Will the Mining Industry Bloom Under Trump? How Investors Can Get Ahead Donald Trump's return to the White House has put U.S. mining in the spotlight. His "Unleashing American Energy" executive order, signed on day one, aims to boost domestic mineral production, igniting investor interest. Is this a golden moment for mining stocks? Opportunities beckon, but uncertainties remain—here's how to navigate the terrain. Trump's Mining Playbook: Policy Signals Take Shape Trump is pushing to revive American mining. On March 12, a 25% tariff hit all imported steel and aluminum, from raw materials to auto parts, to bolster local producers. His "Addressing the Threat of Copper Imports" order highlights copper and rare earths as strategic priorities, with plans to expand domestic output. The U.S. is ri
Daiwa House Logistics Trust's 2H FY24 Result Review
$Daiwa Hse Log Tr(DHLU.SI)$ Basic Profile & Key Statistics Key Indicators Performance Highlight Gross revenue and NPI improved YoY, primarily driven by contributions from DPL Ibaraki Yuki and D Project Tan Duc 2, acquired in 2024. However, the weakening JPY against SGD partially offset these gains. Meanwhile, distributable income and DPU declined YoY due to lower realized foreign exchange gains and higher finance expenses. Rental Reversion DHLT achieved a weighted average rent reversion of approximately 5% for FY24. Acquisition In July 2024, DHLT completed the acquisition of D Project Tan Duc 2 in Vietnam, marking its first property outside Japan. Related Parties Shareholding REIT Sponsor's Shareholding: Less Favorable REIT Manager's Shareh
China Stimulates Consumption Spending – What It Means for Meituan & Traders
China's State Council has announced a "special action plan" to boost domestic consumption, aiming to increase residents' income and introduce childcare subsidies. This initiative is expected to enhance consumer spending, benefiting companies like $MEITUAN-W(03690)$ , a leading food delivery and local services platform. By increasing disposable income, more consumers may utilize Meituan's services, potentially driving revenue growth. Technical Analysis of Meituan (HKEX: 3690) Uptrend Within an Equidistant Channel Trend Continuation: Meituan's stock has been trading within an equidistant channel, indicating a consistent uptrend. Support Levels: The lower boundary of the channel, around 163.5 HKD, has acted as strong support, reinforced by upward-sl
Overall Market Overview Global markets surged as investor sentiment improved, fueled by easing concerns over a potential U.S. government shutdown. The U.S. led the charge with a strong rally, Europe followed suit on positive fiscal policy developments, and Asia gained despite lingering trade war tensions. Wall Street Rallies on Policy Optimism The Dow Jones $DJIA(.DJI)$ jumped 1.6% (+674.62 pts) to 41,488.19, while the S&P 500 $S&P 500(.SPX)$ climbed 2.1% (+117.42 pts) to 5,638.94. The rebound comes after a sharp selloff earlier in the week, as investor sentiment improved with reduced policy uncertainty. The Nasdaq
The last economic report for the week dropped in on Fri, 14 Mar 2025. According to the University of Michigan’s latest consumer survey, Americans are getting more and more concerned about Trump's escalating and haphazard trade war. As a result, the US Consumer Sentiment fell to a more than 2-year low and long-term inflation expectations jumped by the most since 1993. (see below) Consumer sentiment fell -11% in March 2025, to a preliminary reading of 57.9, down from February’s 64.7 and reaching its lowest level since November 2022. That’s a really sharp retreat from December 2024’s, shortly after US presidential election, when sentiment rose to its highest level of “74” in months. Funnily enough, the disappointing report did not dampen US market sentiments on Friday when US stocks jumped in
The Crypto Fear and Greed Index bounced from the low posted last week. It doesn't guarantee a low is in, since a sequence of lower lows were seen in 2024. But for what is worth, most of the down move may be in for BTC.ImageBitcoin's 20-day moving average (DMA) has proven significant, as evidenced by rejections from this blue line and bounces from the lower Bollinger Band setting lower highs and lower lows. ➡️Will the 20 DMA be breached this time?Rejection again, from the 20DMA, as of now.Image
TOP 10 INTERNATIONAL STOCKS TO OWN DURING TARIFF WARS
1. $Taiwan Semiconductor Manufacturing(TSM)$ • The world’s largest pure-play foundry, producing 90% of leading-edge chips for AI, data centers & consumer electronics -- powering a $600B+ semiconductor supply chain.2. $ASML Holding NV(ASML)$ • The sole provider of extreme ultraviolet (EUV) lithography, the backbone of advanced semiconductor manufacturing -- enabling a $400B+ global chip production market driven by AI, HPC & mobile computing.3. $Alibaba(BABA)$ • Driving China’s digital economy with cloud computing, logistics & e-commerce -- expanding across a $2T+ online retail & enterprise services market.4. $No
THE FULL QUANTUM COMPUTING CHEAT SHEET• $IONQ Inc.(IONQ)$ -- The leader in precision quantum computing, leveraging trapped-ion technology to deliver scalable, high-fidelity systems. IonQ is solving real-world problems today, enabling $AMZN & $MSFT to tackle challenges in logistics, AI & materials science.• $NVIDIA(NVDA)$ -- A cornerstone of quantum innovation, NVIDIA’s CUDA Quantum platform enables developers to simulate quantum algorithms on GPUs, bridging the gap between quantum theory & real-world adoption across industries.• $Rigetti Computing(RGTI)$ -- Focused on superconducting qubits, Rigetti aims to compete with industry leaders but faces chal
Hello everyone! Today i want to share some option stategies with you!1.A stock I NEVER trade is $Goldman Sachs(GS)$ . BUT... it's dropped 150+ pts in the past 4 weeks. If there's a positive reaction to FOMC, GS can bounce 30-40 pts over the next 2 weeks. The risk/reward if favoring the upside if Powell can be nice this week. Here's my trade idea 👇 Trigger: GS above 544✅ Trade idea: GS March 28 560CTargets: 565,573 🎯 After a 150+ pt drop, GS started to show some signs of a bottom above 524. GS managed to have a green day on Friday and closed somewhat near the 544 resistance. GS through 544 can pop up to 557 before FOMC. If there's a positive reaction to FOMC, GS to 573+ is in play. Let's see if Banks can start to rally higher after a 4 week sell off.
ZTO Express (ZTO) Cost Control and Free Cash Flow To Watch
$ZTO Express Inc.(ZTO)$ is expected to report its quarterly earnings for Q4 2024 on 18 March 2025 after the market close. The consensus estimate for revenues is expected to come in at $1.66 billion which indicate an increase of 10.8% compared to same period last year. The earnings per share consensus estimate for ZTO is expected to come in at 45 cents, this is an increase of more than 5% compared to same period one year ago. ZTO Express (ZTO) Last Neutral Earnings Call Saw A Drop Of 5.09% In Share Price ZTO last earnings call on 19 Nov 2024 gave a neutral sentiment and we saw the share price experienced a 5.09% decline since. The earnings call highlighted strong growth in parcel volume and profitability, driven by strategic partnerships and cost ef
KE Holdings (BEKE) Gross Transaction Value (GTV) and Net Income Margin To Watch
$KE Holdings Inc.(BEKE)$ is expected to report its quarterly earnings for period ending 31 Dec 2024 on 18 March 2025 before the market open. BEKE is expected to show a rise in quarterly revenue of 37.1% increase to CNY27.693 billion from CNY20.2 billion a year ago. The consensus EPS estimate is expected for KE Holdings to come in at CNY1.77 per share or 24 cents. KE Holdings (BEKE) Last Positive Earnings Call Gave Investors 20.56% Change KE Holdings gave a positive earnings call on 21 Nov 2024 and investors have enjoyed a 20.56% change. The earnings call was largely positive, with significant growth in revenue, existing and new home transactions, and home rental services. However, there were challenges in gross margin decline and non-GAAP net inco
Will there be a recession in 2025?Are tariffs going to destroy the economy?Is this a dip we should buy or the start of a bigger pullback in the market?There are a lot of unknowns in today’s market and no clear answer about the future from data points like earnings, inflation, and broader economic surveys. Whenever I’m convinced a recession is imminent, another data point shows the opposite.Cash is again extremely important for companies in this land of uncertainty. Those with flexibility on their balance sheets can not only weather a storm, but they can also position themselves to emerge stronger than ever.Today, I’m going to dig into their net cash position and free cash flow this week and why cash should be a focus in today’s market.The market overall had a volatile week and is still dow
5 critical things you need to know about this week SPY and FOMC
The most important day of 2025 is on March 19. JPOW will keep US interest rates unchanged at 4.25%-4.50%But, what he says and how he says it will DETERMINE the course of history.ImageHere's 5 critical things you need to know about this week $SPDR S&P 500 ETF Trust(SPY)$ and FOMC:1. Take a look at my SPY chart now. The SPY is still trading under 200SMA at $572.55. Unless we can cross above this stay above it there will be more downside to go all the way to $540 and then $520.2. President Trump is looking to refinance US debt at a lower interest rate, the only way to get interest rates lowered is to go into an economic SLOWDOWN or recession. Inflation will also drop in this period and debt will be refinanced at lower so it will save US trillions
PayPal 2.0: From Digital Wallet to Fintech Powerhouse?
As I assess PayPal’s current standing in the fintech arena, I can’t help but notice the glaring disparity between market sentiment and the company’s underlying strengths. Once a high-flying growth stock, PayPal has faced a rather humbling correction. Yet, beneath this market pessimism lies a rejuvenated tech player with some serious strategic moves up its sleeve. Beyond payments: PayPal’s AI-driven evolution into a fintech powerhouse AI: The Silent Growth Engine Driving PayPal Forward In an era where every company seems to be dropping ‘AI’ into their investor presentations, $PayPal(PYPL)$ is quietly proving that machine learning can be more than just a marketing gimmick. The company has seamlessly integrated artificial intelligence across its ecos
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