Earnings Season: Which Companies Are You Following?

AI bolsters Microsoft's Q3 Azure revenue, which increased by over 30%, but a slowdown in growth is expected for Q4 along with increased AI spending. Meta's revenue slightly exceeded expectations, but AI losses worsened, with warnings of substantial future increases, and a significant rise in capital expenditures is anticipated next year. -------------- How do you view the two giants' earnings? Will you buy the dip as Microsoft dips to $400?

NVIDIA Earnings and Technical Patterns: Can the AI Giant Continue Its Ascent?

Key updates on $NVIDIA Corp(NVDA)$ from the past two weeks: Q3 Earnings (Nov. 20): Revenue surged 82% YoY to $33.07 billion, driven by strong demand for AI chips​ markets Dow Jones Addition: NVIDIA joined the Dow Jones Industrial Average, cementing its blue-chip status​ Investopedia Product Update: Minor issues reported with next-gen Blackwell GPUs, but market impact is expected to be minimal​ NVIDIA experienced mixed developments recently. Initially, the stock reacted positively, trading above $140 (a new all-time high) after Q3 earnings. However, last night’s close fell below the low of the doji mentioned earlier, indicating weakening momentum at this point. As highlighted in the
NVIDIA Earnings and Technical Patterns: Can the AI Giant Continue Its Ascent?

Compare to AMZN, COST, WMT, How Target Lost the Market?

$Target(TGT)$ plunged 21% after its Q3 earnings report, seemingly encountering yet another major challenge since the inflation crisis, with its weaker-than-expected performance, as reflected in its financials, the performance of its various business segments, and its outlook, similarly falling short of the company's own guidance from last quarter.Since Target just raised its guidance last quarter, it failed to meet it again this quarter, further making investors question the ability of the company's management.Financials vs. market expectationsThe company is struggling against the backdrop of weak consumption of non-essential goods.Key financials missed expectations across the boardOverall revenue: $25.67 billion, up 1% (below market expectations o
Compare to AMZN, COST, WMT, How Target Lost the Market?
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11-20

Frencken Profits Surge: How to Capitalize on Semiconductor Growth

Market Overview: Broad Sentiment Stays Cautiously Optimistic Global equity markets are currently balancing a mix of positive corporate earnings and macroeconomic uncertainties. Tech and semiconductor-related sectors are experiencing renewed investor interest, driven by strong earnings reports. Meanwhile, bond markets remain steady as inflation concerns ease, while the U.S. dollar shows signs of softening amidst expectations of a more dovish Federal Reserve. In this environment, selective opportunities in key industries like semiconductors are capturing market attention. Semiconductor Industry: A Growth Engine Frencken Group’s $Frencken(E28.SI)$  Q3 results underscore the resilience of the semiconductor sector.
Frencken Profits Surge: How to Capitalize on Semiconductor Growth

Walmart All time high at Q3 Earnings, any worries for 2025?

$Wal-Mart(WMT)$ reported Q3 2024 earnings, which beat market expectations and remained strong.And it raised its full-year revenue guidance for the third time, confident in its growth momentum for the upcoming holiday shopping season.Financial data and market expectationsOn the revenue front, total revenue was up 5.5% year-over-year to $169.588 billion, beating analysts' expectations of $167.49 billion, with net sales up 5.4% to $168.003 billion.Others, such as membership fees, were up 16%.In terms of profit, Q3 operating profit was US$6,708 million, an increase of 9.8% year-on-year, which was higher than the revenue growth rate, indicating that the overall business mix has improved, while the business efficiency has increased and good profitability
Walmart All time high at Q3 Earnings, any worries for 2025?
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11-19

Keppel's Bold Rig Revamp: Strategic Investment Opportunities

Overview: Global Markets Steady Amid Keppel’s Strategic Shift Global markets showed mixed signals on Monday, as investors navigated corporate updates and macroeconomic concerns. In Singapore, Keppel Corporation’s $Keppel(BN4.SI)$  announcement to acquire 13 legacy rigs and set up a private fund for rig management garnered attention. Keppel's stock rose modestly by 0.3%, reflecting cautious optimism from the market. Elsewhere, U.S. markets remained subdued ahead of economic data releases, while Asian markets showed resilience amidst geopolitical uncertainties. Keppel’s Strategic Move: Strengthening Rig Management Keppel Corporation’s acquisition of 13 legacy rigs via a capital reduction exercise and plans for a
Keppel's Bold Rig Revamp: Strategic Investment Opportunities
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11-19

Walmart Shines: How to Ride the Wave and Benefit from Market Momentum

Overview of the Markets: Signs of Consumer Strength The broader markets continue to show resilience amid mixed economic signals. Recent data highlights steady consumer spending, buoyed by improving economic sentiment. Retail and consumer goods stocks are drawing attention as investors anticipate robust performance from major players like Walmart $Wal-Mart(WMT)$  . The company’s upcoming earnings report and after-hours trading activity signal heightened interest from investors looking to capitalize on positive momentum in the retail sector. Walmart's Performance: Retail Titan in the Spotlight Walmart's ($WMT.US$) shares surged 1.7% in after-hours trading as optimism builds ahead of its earnings release. Analysts p
Walmart Shines: How to Ride the Wave and Benefit from Market Momentum

NVDA Earnings: Consensus is not enough

Today could be a good time to lay out $NVIDIA Corp(NVDA)$ ahead of earnings.NVIDIA plunged 3.26% on Friday's pullback in tech stocks.But woe betide the company, as The information broke a sudden revelation over the weekend that Blackwell processors face overheating issues when installed in high-capacity server racks, raising concerns among customers like Google, Meta, and Microsoft that could impact layout deadlines.If it jumps the gun again and large-scale deployments are pushed back another quarter, it's something that could affect investor expectations.This week is NVIDIA's FY25Q3 earnings report, one of the most important earnings reports of the year, market analysts also appear some differences.Market expectationsGiven that previous quarters
NVDA Earnings: Consensus is not enough
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11-15

Cordlife's Struggles: Opportunities Amidst Challenges

Market Overview Overall, global equity markets are navigating mixed performances as investors digest economic data and corporate earnings reports. Stock markets are experiencing some volatility, with investor sentiment largely influenced by macroeconomic indicators, including inflation figures, interest rates, and geopolitical events. Within this environment, sector-specific developments, like the challenges faced by Cordlife $Cordlife(P8A.SI)$  , provide insights for potential opportunities or risks. Cordlife: A Company in Transition Cordlife, a leading cord-blood bank in Singapore, has faced significant challenges, as reported in its latest financial update. The company recorded a net loss of S$1.6 million for the quarter ending in Septem
Cordlife's Struggles: Opportunities Amidst Challenges
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11-15

Investing Opportunities in Prime US REIT: Analyzing the Impact of Financial Update

Overview of Overall Markets Global markets have experienced mixed performance recently, as investors continue to react to shifting economic data and corporate earnings reports. With inflationary pressures still affecting growth prospects, market participants are carefully weighing the latest financial results and their potential impact on interest rates and investment strategies. In particular, real estate investment trusts (REITs) have become a focal point, with investors looking to assess the stability of income-generating assets amid rising costs and evolving market conditions. Prime US REIT’s Latest Update: A Cautionary Tale Prime US REIT $Prime US ReitUSD(OXMU.SI)$  recently reported a significant declin
Investing Opportunities in Prime US REIT: Analyzing the Impact of Financial Update
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11-15

ComfortDelGro Soars: How to Invest and Benefit from This Growth

Market Overview The global markets are experiencing varied growth, with several sectors benefiting from strong earnings reports. Companies in transportation, particularly those with international expansion plans, are showing strong growth. ComfortDelGro’s $ComfortDelGro(C52.SI)$  recent financial report is a notable example of this trend, reflecting an impressive rise in net profits and revenues. While stock markets globally are facing fluctuations, transportation stocks like ComfortDelGro seem to be gaining momentum, especially with their strategic acquisitions in new markets. ComfortDelGro’s Performance and Growth Drivers ComfortDelGro’s strong financial results for the quarter ending September are a testame
ComfortDelGro Soars: How to Invest and Benefit from This Growth
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11-15

Navigating Investment Opportunities Amid Palm Oil Sector Volatility

Market Overview: Mixed Signals in a Rising-Rate Environment The global market remains volatile as rising interest rates continue to weigh on corporate profits and investor sentiment, especially in sectors with high sensitivity to borrowing costs, like commodities and agriculture. Despite some companies showing resilience with gains from foreign exchange, the overall market sentiment leans cautious, with investors balancing concerns over rising costs and tax pressures against any positive earnings surprises. Segment: Palm Oil Sector in Focus Golden Agri-Res $Golden Agri-Res(E5H.SI)$   – Profit Under Pressure, FX Gains Soften the Impact Golden Agri-Res, a major player in the palm oil industry, reported a mixed quarter. Its underlying pro
Navigating Investment Opportunities Amid Palm Oil Sector Volatility
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11-15

Opportunities in Logistics and REIT Expansion Amidst Global Market Shifts

Overview: Markets Steady but Cautious as Real Estate Investment Expands Global markets are showing mixed sentiment, with a balance of cautious optimism and concerns over potential interest rate adjustments by central banks. Investors are closely watching moves in various sectors, with real estate investment trusts (REITs), logistics, and infrastructure emerging as focal points due to the growing demand for industrial spaces in the U.S. economy. The latest announcement by CapLand Ascendas REIT (CLAR) $CapLand Ascendas REIT(A17U.SI)$  signals potential for stable returns, as the REIT expands its portfolio into U.S. logistics assets. The broader market remains responsive to such real estate developments, as REIT
Opportunities in Logistics and REIT Expansion Amidst Global Market Shifts
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11-15

Nuclear Power’s Next Wave – How to Invest in Oklo’s Energy Vision

Market Overview Oklo's $Oklo Inc.(OKLO)$  latest earnings report reflects the growing interest and investments in nuclear energy as the global demand for reliable, low-carbon energy sources intensifies. Despite a reported third-quarter loss and a nearly 9% drop in after-hours trading, Oklo’s ambitious vision of leading the charge in nuclear power is well supported by strong cash reserves and strategic partnerships. With an operational loss year-to-date, Oklo is committed to meeting its full-year forecast while capitalizing on the booming demand for sustainable energy solutions. Investors are closely watching developments in the energy sector, particularly as global regulatory bodies and influential corporations
Nuclear Power’s Next Wave – How to Invest in Oklo’s Energy Vision
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11-14

Rocketing Potential: Navigating Investment Opportunities with Rocket Lab's Growth

Market Overview The overall market sentiment surrounding Rocket Lab (RKLB) $Rocket Lab USA, Inc.(RKLB)$   is positive, driven by its impressive Q3 revenue growth of 55% year-over-year and an optimistic Q4 guidance, which has fueled investor enthusiasm. However, Rocket Lab’s unprofitability and quarter-over-quarter (QoQ) revenue decline present cautionary signals. The space industry as a whole is becoming a significant area of focus, with increasing investor interest in companies that exhibit both growth potential and competitive positioning within this burgeoning sector. Rocket Lab’s Financial Performance: A Balancing Act of Growth and Risk Rocket Lab’s 55% revenue growth year-over-year indicates strong ope
Rocketing Potential: Navigating Investment Opportunities with Rocket Lab's Growth
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11-14

Disney's Upcoming Earnings: Investing for Growth Potential

Market Overview With Disney $Walt Disney(DIS)$  set to report its fiscal Q4 earnings, the entertainment giant’s performance is anticipated to be a key indicator for the media and streaming sectors. Investors are looking for signs of sustained profitability in Disney's streaming division and potential growth in its theme parks business. The results could impact both Disney’s stock trajectory and investor sentiment across the entertainment and media industries, especially given the fierce competition in streaming and the rising economic pressures on consumer spending. Segment Highlights 1. Streaming Battle Intensifies  Disney's direct-to-consumer streaming division has shown profitability for the first time in
Disney's Upcoming Earnings: Investing for Growth Potential
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11-14

Investment Strategy: Benefiting from GP Industries' Growth Surge

Overall Market Overview Global markets have recently faced a mix of uncertainties, with various economic indicators influencing investor sentiment. As of late, growth-focused sectors are showing resilience, while inflation concerns and regulatory changes continue to weigh on certain industries. In this context, news of GP Industries’ significant profit growth presents an opportunity, especially in light of its ability to navigate economic challenges effectively. GP Industries' Impressive Financial Results GP Industries $GP Industries(G20.SI)$   recently reported a remarkable 62.9% year-on-year increase in its net profit for the first half of FY2025, hitting S$14.5 million. This surge is largely attributed to higher revenue and improved
Investment Strategy: Benefiting from GP Industries' Growth Surge
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11-14

Civmec Secures Major Shiploader Contract: What’s Next for Investors?

Market Overview: Global markets have been experiencing mixed movements as investors continue to react to macroeconomic factors, including central bank policies and inflation concerns. As global trade remains volatile, companies in infrastructure, construction, and industrial sectors are making strategic moves to secure future growth. Civmec's $Civmec(P9D.SI)$  announcement of a major contract win has stirred positive sentiment in the sector, with its stock price showing a rise post-announcement. This provides an interesting investment opportunity for those looking at the infrastructure and construction industries. Civmec’s Latest Win: A Game-Changer for Investors? Civmec has secured a significant design and construction contract for a new s
Civmec Secures Major Shiploader Contract: What’s Next for Investors?
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11-14

Investing in First Resources: How to Benefit from Positive Earnings Amidst Market Volatility

Market Overview Global markets have been navigating a period of uncertainty, marked by fluctuating economic data and mixed investor sentiment. In the backdrop of rising inflationary pressures, investors are increasingly seeking stocks that show resilience and growth potential. One such example is First Resources $First Resources(EB5.SI)$  , a key player in the palm oil sector, which recently posted impressive earnings despite broader market headwinds. First Resources Earnings Boost First Resources reported a solid 19.3% increase in net profit for Q3 2024, climbing to US$61 million from US$51.1 million in the same period last year. The company's performance was driven by stronger average selling prices and improved processing margins. This m
Investing in First Resources: How to Benefit from Positive Earnings Amidst Market Volatility
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11-14

StarHub's Q3 Results: How to Invest and Benefit

Overview of the Markets Global markets are showing a mix of positive and negative sentiment due to a combination of macroeconomic factors, such as inflation concerns and central bank policies. The regional equities market, including Singapore's Straits Times Index $STI(STI.SI)$  , saw slight volatility. Investors are increasingly focusing on individual companies' earnings reports to determine where to allocate capital. StarHub's Q3 Results: Profit Growth Amid Revenue Decline StarHub $StarHub(CC3.SI)$  announced a solid 11.1% increase in net profit for the third quarter, reaching S$40.4 million compared to S$36.4 million in the sam
StarHub's Q3 Results: How to Invest and Benefit
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11-14

Market Update: How to Invest and Benefit from Jardine C&C's Latest Earnings Report

Overview of the Overall Markets Global markets showed mixed performance today, with investors reacting to key earnings reports and economic data. In Asia, major indices saw slight movements as market participants weighed the implications of corporate earnings and currency fluctuations on profitability. In the broader market, concerns about global inflation and interest rate policies kept sentiment somewhat cautious, especially among companies facing foreign exchange headwinds. Jardine C&C Earnings Report Jardine Cycle & Carriage $Jardine C&C(C07.SI)$   reported a slight decline in earnings for the first nine months of the year. This dip, attributed to currency exchange differences, overshadowe
Market Update: How to Invest and Benefit from Jardine C&C's Latest Earnings Report