The recent pullback in China assets raises concerns that the Hong Kong market may have peaked after a strong rebound. Slowing economic data, regulatory uncertainties, and geopolitical tensions could pressure further gains. However, attractive valuations and potential policy support from Beijing may limit downside risks. If capital inflows stabilize and earnings growth remains intact, the market could consolidate before resuming its uptrend. Monitoring policy signals and global market sentiment will be key to gauging the next move.
$NVIDIA(NVDA)$If Nvidia trades near $120 around GTC 2025, the key focus will be on AI advancements and new product announcements. Strong guidance or breakthrough AI developments could justify holding or adding to positions. However, if growth expectations are already priced in, profit-taking pressure could emerge. Technical support around $115–$118 would be critical for downside protection. A cautious buy-on-dip approach might work if long-term fundamentals remain solid. Watch for market reaction and analyst upgrades post-event.
Time to short Hong Kong stocks? These strategies can be considered
In the past week, the Hong Kong stock market has experienced dramatic waves. At the beginning of the week,$Hang Seng Index (HSI) $It once approached the 25,000-point mark under the optimistic scenario, and then the market sentiment reversed and the index went sharply pullback/retracement. The Hang Seng Technology Index fell by more than 3% for two consecutive trading days on Thursday and Friday, with a cumulative decline of 4.1% last week, while the Hang Seng Index, Hang Seng State-owned Enterprises and MSCI China Index fell by 1.1%, 1.5% and 1.7% respectively, all for two consecutive trading days. Showing a downward trend. In terms of industries, electronics services (-10.4%) and real estate (-7.5%) led the decline, while utilities (+2.1%) and energy
AT&T Is This Dividend Stock Still Attract Investor To Buy?
$AT&T Inc(T)$ AT&T stock provides passive income, offering investors a dividend yield of approximately 4.2%. But does that make it a buy? Not necessarily. Dividend investors should consider more than just yield, as stock price fluctuations can outweigh dividend returns. In this article, I’ll evaluate AT&T using broader financial metrics beyond its dividend yield. While the yield is important, I’ll also analyze the company’s revenue growth, profit margins, return on invested capital, and valuation. Specifically, I’ll assess its forward price-to-earnings (P/E) and price-to-free-cash-flow (P/FCF) ratios. Additionally, I’ll share my proprietary discounted cash flow (DCF) model to determine AT&T’s fair value and conclude whether it’s a buy
THE FUTURE OF WARFARE BELONGS TO THESE FOUR AI COMPANIES
The new age of defense isn’t coming -- it’s already here. The battles of tomorrow won’t be decided by who has the most advanced fighter jets or the largest aircraft carriers, but by who controls the intelligence, who secures the infrastructure, and who dictates the digital battlefield. The Pentagon isn’t just shifting its focus -- it’s rewriting the entire doctrine of warfare, moving from a world of hardware-driven supremacy to one where AI, cyber dominance, and real-time intelligence dictate victory. And while legacy defense contractors are still trying to retrofit their models for this reality, four companies have already positioned themselves as the uncontested monopolies of the new defense landscape -- $Palantir Technologies Inc.(PLTR)$ ,
$Gold - main 2504(GCmain)$$XAU/USD(XAUUSD.FOREX)$ Monday (March 24) Asian morning trading, spot gold narrow oscillation, currently trading at 3025.54 U.S. dollars near. Gold prices fell 0.7% on Friday, due to a stronger U.S. dollar and profit-taking, the plate once touched the 3000 round number mark, but the lingering geopolitical and economic uncertainty, coupled with the Federal Reserve's expected interest rate cuts, the price of gold is still subject to the low buyers and safe-haven buyers to support, on Friday, the price of gold closed at $ 3023.04 near the weekly rise of 1.17% for the third consecutive weekly rise.Survey shows that most analysts and retail investors still tend to bullish
Hello everyone! Today i want to share some option stratgies with you!1.Another week of earnings. Gonna be traveling this week, so just gonna post thoughts on optionselling trades we are thinking of taking. All Mar 28 expiry unless otherwise stated. $Oklo Inc.(OKLO)$ - 20 or 20.5 put strike, cash secured $GameStop(GME)$ - 20 put & 34 call strike, naked strangle $Chewy, Inc.(CHWY)$ - 26P, naked $Bitfarms Ltd.(BITF)$ - 0.5P, cash secured, expiry date tbd (might have to go further out to get a bid) $Lululemon Athletica(LULU)$ - 250 or 255P, naked (might spread it to hedge risk),
1. $Tesla Motors(TSLA)$ Trade idea: TSLA March 28 260CTrigger: 251 ✅ Targets: 265,273 🎯 Stop: 244 🛑 TSLA- closed at 248.71. TSLA dropped 55% from the highs. TSLA has since bounced 30 pts from the lows this month. TSLA through 251 will set up for a move back up to 276. TSLA through 276 can run to 300-311. Calls can work above 251 this week.Image2.. $Meta Platforms, Inc.(META)$ Trade idea: META March 28 610CTrigger: 600 ✅ Targets: 610,623 🎯 Stop: 592 🛑 META- closed at 596.25. META started to show some signs of a breakout last Thursday after moving up to 610. META through 600 this week will retest 610. It's possible we see 633 in the next 2 weeks if META breaks out above 610.Calls can work through 600 or 610
THE FULL BREAKDOWN OF CYBERSECURITY & WHY $CRWD HAS WHAT EVERYONE ELSE IS STILL BUILDING
$CrowdStrike Holdings, Inc.(CRWD)$ The enterprise security landscape isn’t what it used to be -- it’s faster, sharper, and infinitely more complex.. As the threat landscape accelerates and broadens, security buyers are no longer interested in stitching together point solutions. They’re consolidating around platforms that deliver true end-to-end protection, and that pressure is forcing every player in the space to either prove platform integrity or risk being boxed into niche territory. CRWD sits at the center of this convergence because it isn’t merely part of the security stack -- it is the architecture. But to understand why it holds that position, you have to examine the context around it. You have to look at what competitors like
HE FULL $AST SpaceMobile, Inc.(ASTS)$ BULL CASE & WHY IT COULD RESHAPE GLOBAL CONNECTIVITYThe next great leap in global connectivity isn’t happening in server rooms or underground fiber lines -- it’s unfolding in low-Earth orbit. AST SpaceMobile isn’t merely launching satellites -- it’s laying the foundation for a new communications layer that sits above the global telecom grid, not beside it. The company is building a space-based cellular architecture that plugs directly into existing mobile networks, designed not to replace terrestrial infrastructure, but to complete it. That distinction is the key to understanding why AST’s model isn’t just different -- it’s potentially transformative for the telecom industry and the broader connectivity ec
Hello everyone! Today i want to share some trading ideas with you!1.5 Quality Business Patterns: 1. Corporate culture (Cadence Design Systems)2. Recurring revenue ( $Netflix(NFLX)$ )3. Brand Strength ( $Nestle S.A.(NSRGF)$ )4. Pricing power ( $Apple(AAPL)$ )5. Low price ( $Costco(COST)$ ) What would you add?2.Essentials of focus investing:Image3.Shut up and wait: $S&P 500(.SPX)$ Image4.Stocks is the place to be long-term:Image5.5 Secular trends to look for the next multi-baggers: 1. Obesity ( $NOVO NORDISK B(0QIU.UK)$ )2. Digita
Hello everyone! Today i want to share some technical analysis with you!1. $NVIDIA(NVDA)$ Volume shelf setup on the daily candle chart.Image2. $Tesla Motors(TSLA)$ Well, thats interesting...Image3. $Amazon.com(AMZN)$ Finally got the MACD upside cross on Friday.Image4. $SPDR S&P 500 ETF Trust(SPY)$ Worth noting we technically closed below the 200-day SMA offset on March 13th.Image5. $Apple(AAPL)$ Potential big bounce spot at the April VWAP zone.Image
$S&P 500(.SPX)$ thoughts: The ingredients for a bounce remain there— in fairness the mild base and weak bounce are heading into a meaningful resistance block ahead in the 5750-5850 range. How price responds in this range will set the direction for the next move. The message is consistent— (1) rejection lends itself to thoughts of continued downside towards 5250-5400. (2) Holding price above the resistance block range eases bearishness and will suggest the corrective low of March 13 was the low of this decline. Simple.
Hello everyone! Today i want to share some trading analysis with you!1.MPW Bamboo Scroll #164 Posted: (1) yes, it is cooking--up until the bears have doubts of their short position--sometime next week. (2) I reviewed BTC & Mag-7 for its short- to long-term chart, and they confirm my take of broader market. Image2. $S&P 500(.SPX)$ 5638--the mark for a Green or Red weekly candle. Now, it is a few points above this line, let's see how bulls and bears settle for this week. No position, 100% cash.Image3. $S&P 500(.SPX)$ Quarantined by multiple POWERFUL trendlines--no breakthrough whatsoever, just chopping inside a tiny zone, like a trapped animal trying to find a way out. That breakout looks postpo
PLTR, HOOD, TSLA, META& MSTR Enjoy Great Recovery Now!
Hello everyone! Today i want to share some technical analysis with you!1. $Strategy(MSTR)$ Hangin' in there on the weekly. 🪙 Image2. $Meta Platforms, Inc.(META)$ Let's not forget which Mag Seven name started off the hottest this year... 🔥Image3. $Tesla Motors(TSLA)$ Back-to-back weekly hammer candles at the multi-year Volume PoC with RSI flashing oversold...Has the makings of a counter-trend rally if bulls can step upImage4. $Robinhood(HOOD)$ "I don't think people understand there's a 100% correlation between a company's earnings over several years and its stock performance."– Peter LynchImage5.
Social Media Stocks: Navigating the Future of Digital Engagement in 2025
Social media platforms have become an essential part of daily life, transforming the way we communicate, consume content, and shop. In 2025, companies in the social media sector are evolving to monetize digital interactions through innovative advertising, e-commerce integration, and new content formats. This post explores the fundamentals of social media stocks, key market drivers, diverse applications, investment opportunities and risks, and market projections—supported by detailed data and a visual graph. 1. Overview of Social Media Stocks Definition & Significance: Social media stocks represent companies that provide online platforms for content sharing, communication, and networking. These companies leverage user-generated content and data analytics to deliver targeted adverti
🌟🌟🌟Bank of China $BANK OF CHINA(03988)$ $Bank of CN HK SDR 1to1(HBND.SI)$ is scheduled to report its full year 2024 earnings , including its Q4 24 results on March 26 2025. Bank of China (BOC) share price is currently up 17% year to-date and in 2024, it has jumped by 40%. BOC is a state owned Chinese bank and one of the big 4 banks in China. It is the oldest bank established since 1912 and has evolved as a central bank , international exchange bank specialising in foreign trade business. BOC has the most extensive global reach among the Chinese Banks with operations in 64 countries and regions. For Q3 24, BOC's operating income in
$Tiger Brokers(TIGR)$ The stock market is full of opportunities, but it’s just as easy to lose money as it is to make it. Many traders start off strong, only to see their profits disappear due to poor decisions. Here are key lessons that can help you minimize losses and become a more disciplined investor. 1. Cut Losses Early One of the biggest mistakes traders make is holding onto losing positions for too long, hoping for a recovery. The market doesn’t care about your emotions—set stop-losses and stick to them. If a trade goes against you, exit quickly before small losses turn into major ones. 2. Don’t Chase Hype Buying into trending stocks or meme stocks without proper research can lead to devastating losses. Many stocks that surge quickly also c
PCE, PMI and CB consumer confidence - what can they tell us? Economic Calendar for week starting 24 Mar 2025
Public Holidays Singapore, Hong Kong, China & the USA have no public holidays in the coming week. Economic Calendar (24 Mar 2025) Notable Highlights The most watched economic data for the coming week would be the Core PCE price index. This is one of the references used by the Fed for inflation. The result will impact the Fed’s interest rate decision. S&P Global Manufacturing PMI and S&P Global Manufacturing PMI will be released. An amount above 50 would suggest global growth in either sector. This would be a good indication for the global economy. CB Consumer Confidence is an important reference for consumption outlook. Sentiment can have more impact on consumption than statistics. New Home Sales is a good reference for the real estate. Durable Goo