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Hajime819
01-14
[Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser]
Hajime819
01-13
[Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser]
Hajime819
01-12
[Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser]
Hajime819
01-11
[Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser]
Hajime819
01-11
[Miser] [Miser] [Miser] [Miser] [Miser] [Miser]
Hajime819
01-10
[Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile]
Hajime819
01-09
[Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser]
Hajime819
01-09
[Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile]
Hajime819
01-08
[Miser] [Miser] [Miser] [Miser] [Miser] [Miser]
Hajime819
01-07
[Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser]
Hajime819
01-07
[Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy]
Hajime819
01-06
G[Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser]
Hajime819
01-05
[Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [What] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser]
Hajime819
01-05
[Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy]
Hajime819
01-04
[Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser]
Hajime819
01-03
[Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile]
Hajime819
01-02
Good gam[Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy]
Hajime819
01-01
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Hajime819
2023-12-31
Happy new year[Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile]
Hajime819
2023-12-30
Gooooooooooooooooooooooooooood
Go to Tiger App to see more news
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[Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] ","listText":"[Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] ","text":"[Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile] [Smile]","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":0,"commentSize":0,"repostSize":0,"link":"https://ttm.financial/post/258774726852776","isVote":1,"tweetType":1,"viewCount":202,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"EN","totalScore":0},{"id":258552605085872,"gmtCreate":1704157231954,"gmtModify":1704157236211,"author":{"id":"4117085301912742","authorId":"4117085301912742","name":"Hajime819","avatar":"https://community-static.tradeup.com/news/b67bb12f34c998d9fe11c932de89758b","crmLevel":3,"crmLevelSwitch":0,"followedFlag":false,"idStr":"4117085301912742","authorIdStr":"4117085301912742"},"themes":[],"htmlText":"Good gam[Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] ","listText":"Good gam[Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] ","text":"Good gam[Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy] [Happy]","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":0,"commentSize":0,"repostSize":0,"link":"https://ttm.financial/post/258552605085872","isVote":1,"tweetType":1,"viewCount":59,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"EN","totalScore":0},{"id":258082874437832,"gmtCreate":1704042508925,"gmtModify":1704042513314,"author":{"id":"4117085301912742","authorId":"4117085301912742","name":"Hajime819","avatar":"https://community-static.tradeup.com/news/b67bb12f34c998d9fe11c932de89758b","crmLevel":3,"crmLevelSwitch":0,"followedFlag":false,"idStr":"4117085301912742","authorIdStr":"4117085301912742"},"themes":[],"htmlText":"[Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] ","listText":"[Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] ","text":"[Miser] [Miser] [Miser] [Miser] [Miser] [Miser] 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[Smile]","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":0,"commentSize":0,"repostSize":0,"link":"https://ttm.financial/post/258004269629712","isVote":1,"tweetType":1,"viewCount":59,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"EN","totalScore":0},{"id":257366136664336,"gmtCreate":1703867431366,"gmtModify":1703867435185,"author":{"id":"4117085301912742","authorId":"4117085301912742","name":"Hajime819","avatar":"https://community-static.tradeup.com/news/b67bb12f34c998d9fe11c932de89758b","crmLevel":3,"crmLevelSwitch":0,"followedFlag":false,"idStr":"4117085301912742","authorIdStr":"4117085301912742"},"themes":[],"htmlText":"Gooooooooooooooooooooooooooood","listText":"Gooooooooooooooooooooooooooood","text":"Gooooooooooooooooooooooooooood","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":0,"commentSize":0,"repostSize":0,"link":"https://ttm.financial/post/257366136664336","isVote":1,"tweetType":1,"viewCount":76,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"EN","totalScore":0}],"hots":[{"id":9918907326,"gmtCreate":1664294878465,"gmtModify":1676537427820,"author":{"id":"4117085301912742","authorId":"4117085301912742","name":"Hajime819","avatar":"https://community-static.tradeup.com/news/b67bb12f34c998d9fe11c932de89758b","crmLevel":3,"crmLevelSwitch":0,"followedFlag":false,"idStr":"4117085301912742","authorIdStr":"4117085301912742"},"themes":[],"htmlText":"<a href=\"https://ttm.financial/S/SPYG\">$SPDR Portfolio S&P 500 Growth ETF(SPYG)$</a>[What] ","listText":"<a href=\"https://ttm.financial/S/SPYG\">$SPDR Portfolio S&P 500 Growth ETF(SPYG)$</a>[What] ","text":"$SPDR Portfolio S&P 500 Growth ETF(SPYG)$[What]","images":[{"img":"https://community-static.tradeup.com/news/e9479d260b69d7c453900475d3c02d7a","width":"828","height":"1632"}],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":5,"commentSize":1,"repostSize":0,"link":"https://ttm.financial/post/9918907326","isVote":1,"tweetType":1,"viewCount":145,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":1,"langContent":"EN","totalScore":0},{"id":9995827972,"gmtCreate":1661446426700,"gmtModify":1676536520247,"author":{"id":"4117085301912742","authorId":"4117085301912742","name":"Hajime819","avatar":"https://community-static.tradeup.com/news/b67bb12f34c998d9fe11c932de89758b","crmLevel":3,"crmLevelSwitch":0,"followedFlag":false,"idStr":"4117085301912742","authorIdStr":"4117085301912742"},"themes":[],"htmlText":"👍🏻","listText":"👍🏻","text":"👍🏻","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":2,"commentSize":0,"repostSize":0,"link":"https://ttm.financial/post/9995827972","repostId":"2262018006","repostType":4,"repost":{"id":"2262018006","kind":"news","pubTimestamp":1661419523,"share":"https://ttm.financial/m/news/2262018006?lang=&edition=fundamental","pubTime":"2022-08-25 17:25","market":"us","language":"en","title":"Is Tesla's Stock Split Good For Investors?","url":"https://stock-news.laohu8.com/highlight/detail?id=2262018006","media":"Seeking Alpha","summary":"This will be the second time that Tesla splits its stock. Tesla previously did a 5-for-1 stock split on Aug. 31, 2020. Shares have risen over 100% since then.Is Tesla's Stock Split Good For Investors?This is probably the most important question for most investors and also the most difficult to answer.There'ssome evidencethat companies that split their stock outperform in aggregate in the short term, perhaps in part because splitting allows some stocks to be included in indexes like the Dow and i","content":"<html><head></head><body><p><b>Summary</b></p><ul><li>I answer some of the most common questions from investors about stock splits.</li><li>Stock splits don't matter nearly as much as fundamentals, but they're certainly not bad for investors.</li><li>I also recap Tesla's recent Q2 earnings report.</li></ul><p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/ea05668b1422a0e51297e199e4d62ddc\" tg-width=\"1080\" tg-height=\"720\" referrerpolicy=\"no-referrer\"/><span>Ajax9/iStock Editorial via Getty Images</span></p><p><b>Thesis</b></p><p>After Q2 earnings, I updated my price target for Tesla (NASDAQ:TSLA) stock to $765 pre-split, which implies 14% downside from the current price. As I've shared in past articles (1,2), the key assumption inmy model is that Tesla grows at a 25% CAGR over the next decade primarily due to growth in electric vehicle sales. While the upcoming Tesla stock split isn't material to my thesis, investors may have questions about how the split works, and I'll attempt to answer some of the common ones in this article.</p><p><b>Stock Split FAQs</b></p><p>I covered Tesla's stock split in my last article, but I'll recap a few of the key questions and answers about the split here. Those who read my previous article or are experienced with stock splits can skip to the next section.</p><p><b>How Do Stock Splits Impact Your Investment?</b></p><p>The total value of your investment isn't directly impacted by the stock split because a company's market cap is unchanged by stock splits. The decrease in price per share is offset by the increase in the number of shares you own.</p><p>For example, say Tesla is worth $900 before the split and you have one share. After the split, you'll have three shares, but each will be worth $300. Either way, you have $900. Of course, the value of Tesla stock may change as the market rises and falls from day to day, but that happens whether or not there's a split going on.</p><p>It's also worth noting that the price per share and price per options contract will be lower after the split, which will make non-fractional shares and options more accessible to small investors.</p><p><b>What Happens If You Buy Tesla Before The Split?</b></p><p>Buying Tesla stock before the split is not very different from buying it after the split or any other day. You'd buy 3x fewer shares before the split as you would after the split in order to keep the total amount invested the same.</p><p><b>When Will Tesla Stock Split?</b></p><p>You will get two additional shares of Tesla stock for each share you already own on Wednesday, Aug. 24, after the market closes. Shares will trade at their post-split price starting on Thursday, Aug. 25.</p><p><b>How Many Times Has Tesla Stock Split?</b></p><p>This will be the second time that Tesla splits its stock. Tesla previously did a 5-for-1 stock split on Aug. 31, 2020. Shares have risen over 100% since then.</p><p><b>Is Tesla's Stock Split Good For Investors?</b></p><p>In other words, do stock splits impact performance? This is probably the most important question for most investors and also the most difficult to answer.</p><p>There's some evidence that companies that split their stock outperform in aggregate in the short term, perhaps in part because splitting allows some stocks to be included in indexes like the Dow and increases their accessibility to retail investors. However, looking at individual stocks, there are many cases where a stock declines around the time of its split. Thus, I wouldn't recommend betting on short-term price appreciation in a single stock because of its split.</p><p>However, splits certainly aren't bad news. They usually only happen after a stock has increased in value a lot, as Tesla stock has done over the past few years. Winners tend to keep winning, so betting on companies that already have done well can be a successful strategy.</p><p>Also, companies usually won't split their stock unless they believe that their share price will keep increasing. One reason is that there are minimum share price requirements to be listed on the NYSE and Nasdaq exchanges. That said, even at the post-split price of ~$300, Tesla is a long way from falling to the current $1 per share requirement.</p><p>Relative to more important considerations like earnings growth and valuation multiples, stock splits are essentially a neutral event for long-term investors. But in a vacuum, it's clear that stock splits are more positive than negative.</p><p><b>Q2 Earnings</b></p><p>Because the stock split doesn't impact Tesla's fundamentals, I won't adjust my target market cap for Tesla as a result of the split. However, I did update my price target for Tesla since my last article in June as a result of Tesla's Q2 earnings. I shared my updated $767 target with Tech Investing Edge members after Tesla reported.</p><p>I was disappointed by the earnings, mostly because I found slowing revenue growth more disappointing than a 27% EPS beat was impressive. After management constantly talked about Tesla's ability to maintain >50% revenue growth over the coming quarters, growth fell to 42% in Q2. Considering that most Tesla models are heavily backordered, management correctly blamed the slowdown on production issues rather than a lack of demand. Even so, they admitted that 50% growth would be a more difficult target to attain going forward as they work to ramp up production.</p><p>I've never believed Tesla's 50% growth target, and model them growing at a 25% CAGR over the coming decade. Nevertheless, I did expect them to stay above 50% for at least a few more quarters considering management's bullishness and my expectation for slower growth in the back half of the decade.</p><p>Despite the slowdown this quarter, I still think that my long-term 25% CAGR target is attainable, as even 42% growth is well above that level and management guided for a re-acceleration this quarter. Thus, despite being disappointed by the earnings, I raised my price target from $714 to $767 to account for Tesla's now-larger ttm revenue and EPS.</p><p><b>Conclusion</b></p><p>Stock splits tend to get a lot of media coverage, but for long-term investors they're not a big deal. Tesla has been able to split its stock multiple times because the company and Tesla stock have done very well, but that's not a guarantee of future performance.</p><p>If Tesla continues beating analysts' expectations and growing quickly, then the company and its investors will likely continue to do well. However, production issues and competition could stop Tesla from reaching this goal, and the current valuation doesn't leave much room for error. Based on my own growth estimates and profitability model, I think that Tesla is slightly overvalued going into its stock split. Nevertheless, I view Tesla stock as a hold, since ~14% overvaluation isn't extreme.</p><p><i>This article was written by Kennan Mell. </i></p><p><i>This article is for reference only. You can take what is useful to you.</i></p></body></html>","collect":0,"html":"<!DOCTYPE html>\n<html>\n<head>\n<meta http-equiv=\"Content-Type\" content=\"text/html; charset=utf-8\" />\n<meta name=\"viewport\" content=\"width=device-width,initial-scale=1.0,minimum-scale=1.0,maximum-scale=1.0,user-scalable=no\"/>\n<meta name=\"format-detection\" content=\"telephone=no,email=no,address=no\" />\n<title>Is Tesla's Stock Split Good For Investors?</title>\n<style type=\"text/css\">\na,abbr,acronym,address,applet,article,aside,audio,b,big,blockquote,body,canvas,caption,center,cite,code,dd,del,details,dfn,div,dl,dt,\nem,embed,fieldset,figcaption,figure,footer,form,h1,h2,h3,h4,h5,h6,header,hgroup,html,i,iframe,img,ins,kbd,label,legend,li,mark,menu,nav,\nobject,ol,output,p,pre,q,ruby,s,samp,section,small,span,strike,strong,sub,summary,sup,table,tbody,td,tfoot,th,thead,time,tr,tt,u,ul,var,video{ font:inherit;margin:0;padding:0;vertical-align:baseline;border:0 }\nbody{ font-size:16px; line-height:1.5; color:#999; background:transparent; }\n.wrapper{ overflow:hidden;word-break:break-all;padding:10px; }\nh1,h2{ font-weight:normal; line-height:1.35; margin-bottom:.6em; }\nh3,h4,h5,h6{ line-height:1.35; margin-bottom:1em; }\nh1{ font-size:24px; }\nh2{ font-size:20px; }\nh3{ font-size:18px; }\nh4{ font-size:16px; }\nh5{ font-size:14px; }\nh6{ font-size:12px; }\np,ul,ol,blockquote,dl,table{ margin:1.2em 0; }\nul,ol{ margin-left:2em; }\nul{ list-style:disc; }\nol{ list-style:decimal; }\nli,li p{ margin:10px 0;}\nimg{ max-width:100%;display:block;margin:0 auto 1em; }\nblockquote{ color:#B5B2B1; border-left:3px solid #aaa; padding:1em; }\nstrong,b{font-weight:bold;}\nem,i{font-style:italic;}\ntable{ width:100%;border-collapse:collapse;border-spacing:1px;margin:1em 0;font-size:.9em; }\nth,td{ padding:5px;text-align:left;border:1px solid #aaa; }\nth{ font-weight:bold;background:#5d5d5d; }\n.symbol-link{font-weight:bold;}\n/* header{ border-bottom:1px solid #494756; } */\n.title{ margin:0 0 8px;line-height:1.3;color:#ddd; }\n.meta {color:#5e5c6d;font-size:13px;margin:0 0 .5em; }\na{text-decoration:none; color:#2a4b87;}\n.meta .head { display: inline-block; overflow: hidden}\n.head .h-thumb { width: 30px; height: 30px; margin: 0; padding: 0; border-radius: 50%; float: left;}\n.head .h-content { margin: 0; padding: 0 0 0 9px; float: left;}\n.head .h-name {font-size: 13px; color: #eee; margin: 0;}\n.head .h-time {font-size: 11px; color: #7E829C; margin: 0;line-height: 11px;}\n.small {font-size: 12.5px; display: inline-block; transform: scale(0.9); -webkit-transform: scale(0.9); transform-origin: left; -webkit-transform-origin: left;}\n.smaller {font-size: 12.5px; display: inline-block; transform: scale(0.8); -webkit-transform: scale(0.8); transform-origin: left; -webkit-transform-origin: left;}\n.bt-text {font-size: 12px;margin: 1.5em 0 0 0}\n.bt-text p {margin: 0}\n</style>\n</head>\n<body>\n<div class=\"wrapper\">\n<header>\n<h2 class=\"title\">\nIs Tesla's Stock Split Good For Investors?\n</h2>\n\n<h4 class=\"meta\">\n\n\n2022-08-25 17:25 GMT+8 <a href=https://seekingalpha.com/article/4536846-tesla-stock-split-good-for-investors><strong>Seeking Alpha</strong></a>\n\n\n</h4>\n\n</header>\n<article>\n<div>\n<p>SummaryI answer some of the most common questions from investors about stock splits.Stock splits don't matter nearly as much as fundamentals, but they're certainly not bad for investors.I also recap ...</p>\n\n<a href=\"https://seekingalpha.com/article/4536846-tesla-stock-split-good-for-investors\">Web Link</a>\n\n</div>\n\n\n</article>\n</div>\n</body>\n</html>\n","type":0,"thumbnail":"","relate_stocks":{"TSLA":"特斯拉"},"source_url":"https://seekingalpha.com/article/4536846-tesla-stock-split-good-for-investors","is_english":true,"share_image_url":"https://static.laohu8.com/e9f99090a1c2ed51c021029395664489","article_id":"2262018006","content_text":"SummaryI answer some of the most common questions from investors about stock splits.Stock splits don't matter nearly as much as fundamentals, but they're certainly not bad for investors.I also recap Tesla's recent Q2 earnings report.Ajax9/iStock Editorial via Getty ImagesThesisAfter Q2 earnings, I updated my price target for Tesla (NASDAQ:TSLA) stock to $765 pre-split, which implies 14% downside from the current price. As I've shared in past articles (1,2), the key assumption inmy model is that Tesla grows at a 25% CAGR over the next decade primarily due to growth in electric vehicle sales. While the upcoming Tesla stock split isn't material to my thesis, investors may have questions about how the split works, and I'll attempt to answer some of the common ones in this article.Stock Split FAQsI covered Tesla's stock split in my last article, but I'll recap a few of the key questions and answers about the split here. Those who read my previous article or are experienced with stock splits can skip to the next section.How Do Stock Splits Impact Your Investment?The total value of your investment isn't directly impacted by the stock split because a company's market cap is unchanged by stock splits. The decrease in price per share is offset by the increase in the number of shares you own.For example, say Tesla is worth $900 before the split and you have one share. After the split, you'll have three shares, but each will be worth $300. Either way, you have $900. Of course, the value of Tesla stock may change as the market rises and falls from day to day, but that happens whether or not there's a split going on.It's also worth noting that the price per share and price per options contract will be lower after the split, which will make non-fractional shares and options more accessible to small investors.What Happens If You Buy Tesla Before The Split?Buying Tesla stock before the split is not very different from buying it after the split or any other day. You'd buy 3x fewer shares before the split as you would after the split in order to keep the total amount invested the same.When Will Tesla Stock Split?You will get two additional shares of Tesla stock for each share you already own on Wednesday, Aug. 24, after the market closes. Shares will trade at their post-split price starting on Thursday, Aug. 25.How Many Times Has Tesla Stock Split?This will be the second time that Tesla splits its stock. Tesla previously did a 5-for-1 stock split on Aug. 31, 2020. Shares have risen over 100% since then.Is Tesla's Stock Split Good For Investors?In other words, do stock splits impact performance? This is probably the most important question for most investors and also the most difficult to answer.There's some evidence that companies that split their stock outperform in aggregate in the short term, perhaps in part because splitting allows some stocks to be included in indexes like the Dow and increases their accessibility to retail investors. However, looking at individual stocks, there are many cases where a stock declines around the time of its split. Thus, I wouldn't recommend betting on short-term price appreciation in a single stock because of its split.However, splits certainly aren't bad news. They usually only happen after a stock has increased in value a lot, as Tesla stock has done over the past few years. Winners tend to keep winning, so betting on companies that already have done well can be a successful strategy.Also, companies usually won't split their stock unless they believe that their share price will keep increasing. One reason is that there are minimum share price requirements to be listed on the NYSE and Nasdaq exchanges. That said, even at the post-split price of ~$300, Tesla is a long way from falling to the current $1 per share requirement.Relative to more important considerations like earnings growth and valuation multiples, stock splits are essentially a neutral event for long-term investors. But in a vacuum, it's clear that stock splits are more positive than negative.Q2 EarningsBecause the stock split doesn't impact Tesla's fundamentals, I won't adjust my target market cap for Tesla as a result of the split. However, I did update my price target for Tesla since my last article in June as a result of Tesla's Q2 earnings. I shared my updated $767 target with Tech Investing Edge members after Tesla reported.I was disappointed by the earnings, mostly because I found slowing revenue growth more disappointing than a 27% EPS beat was impressive. After management constantly talked about Tesla's ability to maintain >50% revenue growth over the coming quarters, growth fell to 42% in Q2. Considering that most Tesla models are heavily backordered, management correctly blamed the slowdown on production issues rather than a lack of demand. Even so, they admitted that 50% growth would be a more difficult target to attain going forward as they work to ramp up production.I've never believed Tesla's 50% growth target, and model them growing at a 25% CAGR over the coming decade. Nevertheless, I did expect them to stay above 50% for at least a few more quarters considering management's bullishness and my expectation for slower growth in the back half of the decade.Despite the slowdown this quarter, I still think that my long-term 25% CAGR target is attainable, as even 42% growth is well above that level and management guided for a re-acceleration this quarter. Thus, despite being disappointed by the earnings, I raised my price target from $714 to $767 to account for Tesla's now-larger ttm revenue and EPS.ConclusionStock splits tend to get a lot of media coverage, but for long-term investors they're not a big deal. Tesla has been able to split its stock multiple times because the company and Tesla stock have done very well, but that's not a guarantee of future performance.If Tesla continues beating analysts' expectations and growing quickly, then the company and its investors will likely continue to do well. However, production issues and competition could stop Tesla from reaching this goal, and the current valuation doesn't leave much room for error. Based on my own growth estimates and profitability model, I think that Tesla is slightly overvalued going into its stock split. Nevertheless, I view Tesla stock as a hold, since ~14% overvaluation isn't extreme.This article was written by Kennan Mell. This article is for reference only. You can take what is useful to you.","news_type":1},"isVote":1,"tweetType":1,"viewCount":53,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"EN","totalScore":0},{"id":9998411863,"gmtCreate":1661046461153,"gmtModify":1676536443527,"author":{"id":"4117085301912742","authorId":"4117085301912742","name":"Hajime819","avatar":"https://community-static.tradeup.com/news/b67bb12f34c998d9fe11c932de89758b","crmLevel":3,"crmLevelSwitch":0,"followedFlag":false,"idStr":"4117085301912742","authorIdStr":"4117085301912742"},"themes":[],"htmlText":"Ok","listText":"Ok","text":"Ok","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":4,"commentSize":0,"repostSize":0,"link":"https://ttm.financial/post/9998411863","repostId":"1100040327","repostType":4,"repost":{"id":"1100040327","kind":"news","pubTimestamp":1660964725,"share":"https://ttm.financial/m/news/1100040327?lang=&edition=fundamental","pubTime":"2022-08-20 11:05","market":"us","language":"en","title":"Why It’s Time to Believe in Disney Stock Once Again","url":"https://stock-news.laohu8.com/highlight/detail?id=1100040327","media":"TipRanks","summary":"Story HighlightsResort and entertainment giant Disney has suffered some of the worst whiplash effect","content":"<div>\n<p>Story HighlightsResort and entertainment giant Disney has suffered some of the worst whiplash effects of the COVID-19 pandemic, first getting sidelined with the health component of the crisis, then ...</p>\n\n<a href=\"https://www.tipranks.com/news/article/time-to-believe-in-disney-dis-stock-once-again\">Web Link</a>\n\n</div>\n","source":"lsy1606183248679","collect":0,"html":"<!DOCTYPE html>\n<html>\n<head>\n<meta http-equiv=\"Content-Type\" content=\"text/html; charset=utf-8\" />\n<meta name=\"viewport\" content=\"width=device-width,initial-scale=1.0,minimum-scale=1.0,maximum-scale=1.0,user-scalable=no\"/>\n<meta name=\"format-detection\" content=\"telephone=no,email=no,address=no\" />\n<title>Why It’s Time to Believe in Disney Stock Once Again</title>\n<style type=\"text/css\">\na,abbr,acronym,address,applet,article,aside,audio,b,big,blockquote,body,canvas,caption,center,cite,code,dd,del,details,dfn,div,dl,dt,\nem,embed,fieldset,figcaption,figure,footer,form,h1,h2,h3,h4,h5,h6,header,hgroup,html,i,iframe,img,ins,kbd,label,legend,li,mark,menu,nav,\nobject,ol,output,p,pre,q,ruby,s,samp,section,small,span,strike,strong,sub,summary,sup,table,tbody,td,tfoot,th,thead,time,tr,tt,u,ul,var,video{ font:inherit;margin:0;padding:0;vertical-align:baseline;border:0 }\nbody{ font-size:16px; line-height:1.5; color:#999; background:transparent; }\n.wrapper{ overflow:hidden;word-break:break-all;padding:10px; }\nh1,h2{ font-weight:normal; line-height:1.35; margin-bottom:.6em; 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height: 30px; margin: 0; padding: 0; border-radius: 50%; float: left;}\n.head .h-content { margin: 0; padding: 0 0 0 9px; float: left;}\n.head .h-name {font-size: 13px; color: #eee; margin: 0;}\n.head .h-time {font-size: 11px; color: #7E829C; margin: 0;line-height: 11px;}\n.small {font-size: 12.5px; display: inline-block; transform: scale(0.9); -webkit-transform: scale(0.9); transform-origin: left; -webkit-transform-origin: left;}\n.smaller {font-size: 12.5px; display: inline-block; transform: scale(0.8); -webkit-transform: scale(0.8); transform-origin: left; -webkit-transform-origin: left;}\n.bt-text {font-size: 12px;margin: 1.5em 0 0 0}\n.bt-text p {margin: 0}\n</style>\n</head>\n<body>\n<div class=\"wrapper\">\n<header>\n<h2 class=\"title\">\nWhy It’s Time to Believe in Disney Stock Once Again\n</h2>\n\n<h4 class=\"meta\">\n\n\n2022-08-20 11:05 GMT+8 <a href=https://www.tipranks.com/news/article/time-to-believe-in-disney-dis-stock-once-again><strong>TipRanks</strong></a>\n\n\n</h4>\n\n</header>\n<article>\n<div>\n<p>Story HighlightsResort and entertainment giant Disney has suffered some of the worst whiplash effects of the COVID-19 pandemic, first getting sidelined with the health component of the crisis, then ...</p>\n\n<a href=\"https://www.tipranks.com/news/article/time-to-believe-in-disney-dis-stock-once-again\">Web Link</a>\n\n</div>\n\n\n</article>\n</div>\n</body>\n</html>\n","type":0,"thumbnail":"","relate_stocks":{"DIS":"迪士尼"},"source_url":"https://www.tipranks.com/news/article/time-to-believe-in-disney-dis-stock-once-again","is_english":true,"share_image_url":"https://static.laohu8.com/e9f99090a1c2ed51c021029395664489","article_id":"1100040327","content_text":"Story HighlightsResort and entertainment giant Disney has suffered some of the worst whiplash effects of the COVID-19 pandemic, first getting sidelined with the health component of the crisis, then incurring losses from the economic side. However, with the company delivering the goods in the streaming space, DIS stock looks very enticing.Few companies have suffered from the double-barreled shotgun blast of the COVID-19 pandemic quite like theme-park operator and entertainment content provider Disney (DIS). On the cusp of incurring a rags-to-riches style narrative twice in the new normal, the proceedings have been exhausting for stakeholders. Nevertheless, Disney has rewarded their patience with exceptional performance for its streaming unit, Disney+. Therefore, I am bullish on DIS stock.While the Magic Kingdom offers plenty of thrills and spills across its vast portfolio of theme parks and resorts, investors of DIS stock largely prefer a more sedate experience. However, owning an equity stake in Disney has been anything but serene during the two-year-plus journey of the new normal. Indeed, the company has been to perdition and back – twice.First, after Disney posted record revenue for its Fiscal Year ended September 30, 2019, the company soon fell victim to the SARS-CoV-2 virus. When the dust settled in Fiscal Year 2020, the entertainment stalwart posted top-line sales of $65.4 billion, a loss of 6% against 2019’s result.However, most of the attention focused on the staggering net loss of $2.86 billion. In the prior two years, net income averaged $11.8 billion. Unfortunately, Disney incurred a staggering loss of operating income because it was simply unable to open its doors to guests.Second, after DIS stock recovered sharply in late 2020 – stemming from anticipation that the COVID-19 vaccine would spark a return to normal – it continued to make steady gains until around September 2021. A combination of disappointing financial performances combined with rising inflation crimping household spending power took the air out of the Magic Kingdom.Still, the narrative appears to be transitioning favorably once again, this time because of the Disney+ streaming unit.Also, DIS has an 8 out of 10 on the Smart Score rating on TipRanks. This indicates strong potential for the stock to outperform the broader market.Blistering Results Bolster DIS StockNot too long ago, the TipRanks Team labeled DIS stock as an opportunity to place a down payment on the House of Mouse. It’s hard to top such a resounding and succinct call to action like that.Per TipRanks, in Disney’s latest Fiscal Q3-2022 results, it reported that “both sales and (pro forma) profits topped analyst expectations, coming in at $1.09 per share and $21.5 billion respectively. Disney+ subscribers grew 31% year-over-year to 152.1 million, and ESPN+ subscribers grew even faster — up 53% to 22.8 million.”Moreover, even “Hulu grew its subscriber count for Disney, albeit at a more leisurely 8% rate — 46.2 million subscribers. And going forward, Disney projected that its subscriber growth will actually accelerate in the year’s final fiscal quarter.”All in all, across its streaming brands, “Disney now boasts a total of 220 million subscriptions and more than $20 billion in annual revenue from streaming.” By doing so, it snuck past streaming king Netflix (NFLX).Full credit goes to TipRanks contributor Joey Frenette, who headlined (back on July 25) that Disney+ could top Netflix in the so-called streaming wars. The Magic Kingdom did exactly that, lending more credibility to Frenette’s bullish thesis.In particular, the analyst mentioned Disney’s possible recession-resistant profile. By increasingly offering R-rated titles to appeal to its adult consumer base, Disney+ could become even more holistically relevant. In doing so, the company would essentially encroach upon Netflix’s core offerings of gritty, compelling programs.Disney Takes on the Big ScreenWhile the streaming wars may provide most of the drama, it’s important not to forget that Disney also has eyes for the big screen. While the competition remains tight in the home entertainment sector, a good chance exists that the House of Mouse will run away with the box office. Therefore, DIS stock deserves extra attention.To be fair, many analysts and entertainment industry experts warned that the cineplex operator business may no longer align with contemporary consumer interests. Even before the COVID-19 crisis, people could just spend a few bucks a month and stream video on demand. That kind of convenience and low pricing simply doesn’t exist in the modern box office.However, investors may be looking at this narrative incorrectly. As the resounding success of Top Gun: Maverick demonstrated, it’s not so much that watching movies on the big screen is antiquated. Rather, consumers are much more discerning about which type of movies to see in public.As I mentioned earlier this month, “Back in 2000, the top 10 grossing films at the domestic box office featured a wide range of genres. From action movies to comedies to even a biopic of American activist Erin Brockovich, the consumer ecosystem at the time facilitated content diversity. Since people were willing to pay for art, Hollywood studios gave moviegoers exactly what they wanted.”“Fast forward to 2019, and the situation changed dramatically. Here, the top 10 grossing films mostly featured science fiction or comic-book-related films. Stated differently, if Hollywood wants to compete in the modern entertainment arena, it must pump out costly summer blockbusters.”For some companies, pumping out summer blockbusters is too onerous (and risky) of a proposition. However, with Disney acquiring major franchises like Marvel Comics and Star Wars, it has every incentive to milk these pop culture phenomena for all they’re worth.What is the Price Target for DIS Stock?Turning to Wall Street, DIS stock has a Strong Buy consensus rating based on 17 Buys, three Holds, and no Sell ratings. The average DIS price prediction is $139.58, implying 14% upside potential.Conclusion: Disney is Probably Too Big to FailContent purists may not appreciate what Disney has done to the art form of filmmaking. Nevertheless, the reality is that the entertainment sector has changed. If a company wants to survive – let alone thrive – it must have access to the most compelling brands and franchises. That’s DIS stock, in a nutshell, making it a potentially-solid Buy, if only because it’s probably too big to fail.","news_type":1},"isVote":1,"tweetType":1,"viewCount":132,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"EN","totalScore":0},{"id":9902777855,"gmtCreate":1659760639579,"gmtModify":1703766370575,"author":{"id":"4117085301912742","authorId":"4117085301912742","name":"Hajime819","avatar":"https://community-static.tradeup.com/news/b67bb12f34c998d9fe11c932de89758b","crmLevel":3,"crmLevelSwitch":0,"followedFlag":false,"idStr":"4117085301912742","authorIdStr":"4117085301912742"},"themes":[],"htmlText":"<a href=\"https://ttm.financial/S/TDOC\">$Teladoc Health Inc.(TDOC)$</a>have a look","listText":"<a href=\"https://ttm.financial/S/TDOC\">$Teladoc Health Inc.(TDOC)$</a>have a look","text":"$Teladoc Health Inc.(TDOC)$have a look","images":[{"img":"https://community-static.tradeup.com/news/f631ce661d6ae452095ef53aaa0d0b67","width":"828","height":"1632"}],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":2,"commentSize":0,"repostSize":0,"link":"https://ttm.financial/post/9902777855","isVote":1,"tweetType":1,"viewCount":105,"authorTweetTopStatus":1,"verified":2,"comments":[{"author":{"id":"3580011914778910","authorId":"3580011914778910","name":"VivianChua","avatar":"https://static.laohu8.com/default-avatar.jpg","crmLevel":5,"crmLevelSwitch":1,"idStr":"3580011914778910","authorIdStr":"3580011914778910"},"content":"will improve 💚","text":"will improve 💚","html":"will improve 💚"}],"imageCount":1,"langContent":"EN","totalScore":0},{"id":9951826137,"gmtCreate":1673451769429,"gmtModify":1676538839350,"author":{"id":"4117085301912742","authorId":"4117085301912742","name":"Hajime819","avatar":"https://community-static.tradeup.com/news/b67bb12f34c998d9fe11c932de89758b","crmLevel":3,"crmLevelSwitch":0,"followedFlag":false,"idStr":"4117085301912742","authorIdStr":"4117085301912742"},"themes":[],"htmlText":"Ok","listText":"Ok","text":"Ok","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":3,"commentSize":0,"repostSize":0,"link":"https://ttm.financial/post/9951826137","isVote":1,"tweetType":1,"viewCount":99,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"EN","totalScore":0},{"id":9998153998,"gmtCreate":1660958549916,"gmtModify":1676536429926,"author":{"id":"4117085301912742","authorId":"4117085301912742","name":"Hajime819","avatar":"https://community-static.tradeup.com/news/b67bb12f34c998d9fe11c932de89758b","crmLevel":3,"crmLevelSwitch":0,"followedFlag":false,"idStr":"4117085301912742","authorIdStr":"4117085301912742"},"themes":[],"htmlText":"<a href=\"https://ttm.financial/S/SPYG\">$SPDR Portfolio S&P 500 Growth ETF(SPYG)$</a>[Smug] ","listText":"<a href=\"https://ttm.financial/S/SPYG\">$SPDR Portfolio S&P 500 Growth ETF(SPYG)$</a>[Smug] ","text":"$SPDR Portfolio S&P 500 Growth ETF(SPYG)$[Smug]","images":[{"img":"https://community-static.tradeup.com/news/a797c5bc7532ce5f08a34a17a8f5f2da","width":"828","height":"2005"}],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":3,"commentSize":0,"repostSize":0,"link":"https://ttm.financial/post/9998153998","isVote":1,"tweetType":1,"viewCount":19,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":1,"langContent":"EN","totalScore":0},{"id":259941983653904,"gmtCreate":1704472911034,"gmtModify":1704472916067,"author":{"id":"4117085301912742","authorId":"4117085301912742","name":"Hajime819","avatar":"https://community-static.tradeup.com/news/b67bb12f34c998d9fe11c932de89758b","crmLevel":3,"crmLevelSwitch":0,"followedFlag":false,"idStr":"4117085301912742","authorIdStr":"4117085301912742"},"themes":[],"htmlText":"G[Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] ","listText":"G[Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] ","text":"G[Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser] [Miser]","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":2,"commentSize":0,"repostSize":0,"link":"https://ttm.financial/post/259941983653904","isVote":1,"tweetType":1,"viewCount":96,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"EN","totalScore":0},{"id":9933217733,"gmtCreate":1662296170222,"gmtModify":1676537032316,"author":{"id":"4117085301912742","authorId":"4117085301912742","name":"Hajime819","avatar":"https://community-static.tradeup.com/news/b67bb12f34c998d9fe11c932de89758b","crmLevel":3,"crmLevelSwitch":0,"followedFlag":false,"idStr":"4117085301912742","authorIdStr":"4117085301912742"},"themes":[],"htmlText":"Ok","listText":"Ok","text":"Ok","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":2,"commentSize":0,"repostSize":0,"link":"https://ttm.financial/post/9933217733","repostId":"1144536848","repostType":4,"repost":{"id":"1144536848","kind":"news","pubTimestamp":1662258649,"share":"https://ttm.financial/m/news/1144536848?lang=&edition=fundamental","pubTime":"2022-09-04 10:30","market":"us","language":"en","title":"7 Stocks to Buy Ahead of the Next Big Rate Hikes","url":"https://stock-news.laohu8.com/highlight/detail?id=1144536848","media":"InvestorPlace","summary":"These stocks should weather the storm if rates continue rising.Albemarle(ALB): Raised its 2022 guida","content":"<html><head></head><body><ul><li>These stocks should weather the storm if rates continue rising.</li><li><b>Albemarle</b>(<b><u>ALB</u></b>): Raised its 2022 guidance for the third time, driven by significant pricing increases from renegotiated lithium contracts.</li><li><b>Bank of America</b> (<b><u>BAC</u></b>): Q2 net interest income jumped 22% year-over-year to $12.4 billion.</li><li><b>Charles Schwab</b> (<b><u>SCHW</u></b>): Added 1 million new accounts during the second quarter.</li><li><b>CME</b>(<b>CME</b>): The derivatives exchange is expected to benefit from rising interest rates due to increased hedging against market volatility.</li><li><b>Equinix</b>(<b><u>EQIX</u></b>): The data center REIT reported record bookings, fueled by strong capacity demand.</li><li><b>Marathon Petroleum</b> (<b><u>MPC</u></b>): Operating income from the Refining & Marketing segment skyrocketed to $7.1 billion.</li><li><b>T-Mobile</b> (<b><u>TMUS</u></b>): Postpaid subscriber additions in Q2 surpassed the combined subscriber additions of its rivals in the 5G space.</li></ul><p>Wall Street is searching for solid stocks to buy that could shield long-term portfolios from market volatility ahead of the anticipated interest rate hikes.</p><p>While inflation may have peaked in July, it remains well above the Federal Reserve’s (Fed) 2% target. So far in 2022, the central bank has already raised its overnight lending rate by 2.25%.</p><p>Investors will most likely see further interest rate hikes through the rest of the year in the Fed’s bid to bring down inflation.</p><p>Chairman Jerome Powell recently remarked that the Fed aims to utilize its policymaking “tools forcefully to bring demand and supply into better balance.” Thus, the Fed is committed to a more contractionary monetary policy in the months ahead.</p><p>Meanwhile, August ended on a down note, reversing some of the gains seen earlier in the summer. As a result, the benchmark <b>S&P 500</b> index is currently down 17% year-to-date (YTD), compared with the nearly 25% decline in the <b>Nasdaq 100</b> index.</p><p>Against this backdrop, it’s no surprise that investors are increasingly focused on stable stocks to buy in sectors that may outperform the broader market. Among them are the financial, communication services, healthcare and utilities sectors.</p><p>With that information, here are the seven stocks to buy that have significant potential to benefit from rising interest rates.</p><p><b>Albemarle (ALB)</b></p><p>52-week range: $169.93 – $298.17</p><p><b>Albemarle</b>(NYSE:<b>ALB</b>) is the largest lithium producer worldwide, relying on its salt brine deposits in Chile and the U.S., as well as from its joint venture mines in Australia.</p><p>The company is also a global leader in bromine production, used widely in flame retardants.</p><p>The lithium giant released Q2 results on Aug. 3. Revenue soared 91% year over year (YOY) to $1.48 billion. Adjusted earnings per share skyrocketed to $3.45 per diluted share, up 288% from 89 cents in the prior-year quarter. Cash and equivalents ended the quarter at $930.6 million.</p><p>The lithium segment continues to benefit from growth in the electric vehicle (EV) space. This segment achieved 178% year-over-year revenue growth, driven by a significant increase in pricing from renegotiated lithium contracts.</p><p>Meanwhile, the Inflation Reduction Act that specifically addresses EV batteries and energy storage should also offer further tailwinds for long-term growth.</p><p>Meanwhile, management raised its 2022 guidance for the third time. It now projects revenue to grow by at least 110% to a range of $7.1 billion to $7.5 billion.</p><p>ALB stock is up almost 15% YTD. Shares are trading at 14.2 times forward earnings and 7.7 times sales.</p><p>Analysts’ 12-month median price forecast for Albemarle stock stands at $300. Investors could regard dips in ALB stock as an opportunity to enter the lithium leader.</p><p><b>Bank of America (BAC)</b></p><p>52-week range: $29.67 – $50.11</p><p><b>Bank of America</b> (NYSE:<b><u>BAC</u></b>) is the second-largest bank in the U.S., with more than $2 trillion in assets. It offers consumer banking, wealth management, investment management and global banking services.</p><p>The bank announced Q2 financials on Jul. 18. Revenue increased 6% year over year to $22.7 billion. Diluted earnings came in at 73 cents per diluted share, down 29% from $1.03 in the prior-year quarter.</p><p>The financial giant is extremely sensitive to changes in interest rates. For instance, in Q2, net interest income soared 22% year over year to $12.4 billion.</p><p>The bank revealed that another 1% increase in interest rates would cause net interest income to jump by roughly $5 billion over the next 12 months.</p><p>Meanwhile, average loan and lease balances jumped 12% year over year to $1 trillion. The bank boasts a significant commercial loan base with floating-rate loans. Management anticipates an additional $1 billion net interest income in the third quarter.</p><p>So far in 2022, BAC stock is down 24.5%, making it one of the best banking stocks to buy on the dip.</p><p>It currently generates a 2.6% dividend yield. Shares look like a great value at 10.7 times forward earnings and 1.1 times book value. The 12-month median price forecast for BAC stock stands at $42.</p><p><b>Charles Schwab (SCHW)</b></p><p>52-week range: $59.35 – $96.24</p><p><b>Charles Schwab</b> (NYSE:<b><u>SCHW</u></b>) is the largest brokerage firm in the U.S. It offers securities brokerage, asset management, and banking services. Client assets exceeded $8 trillion at the end of 2021.</p><p>The brokerage name released Q2 results on Jul. 18. Revenue soared 13% year over year to $5.1 billion, driven primarily by a 31% increase in net interest income. Adjusted earnings per share came in at 97 cents, up 39% from 70 cents a year ago.</p><p>The company added 1 million new accounts during the quarter. It currently has roughly 34 million active accounts, representing 5% year-over-year growth.</p><p>Given its banking business with over $400 billion of deposits, Schwab is expected to deliver substantial earnings growth driven by rising interest rates. Interest rate-related revenue currently accounts for more than 50% of net revenue.</p><p>SCHW stock is down almost 16% year to date, making it among the better stocks to buy on the dip. It supports a 1.2% dividend yield at the current price level. Shares trade at18.4 times forward earnings and 4 times book value. Wall Street’s 12-month median price forecast for Charles Schwab stock stands at$86.5.</p><p><b>CME Group (CME)</b></p><p>52-week range: $183.15 – $256.94</p><p><b>CME Group</b>(NASDAQ:<b>CME</b>) is the largest derivatives exchange in the U.S. It operates the <b>Chicago Board of Trade</b>, the <b>Chicago Mercantile Exchange</b> and the <b>New York Mercantile Exchange</b>.</p><p>The exchange reportedQ2 results in late July. The company reported revenue of $1.24 billion, compared to $1.18 billion a year ago. Adjusted net income increased to $1.97 per diluted share, up from $1.64 in the prior-year quarter. Cash and equivalents ended the quarter at $1.9 billion.</p><p>The derivatives exchange is well-known for its interest rate products. These instruments allow investors to lock in borrowing costs to hedge the interest rates on assets and liabilities.</p><p>Rising interest rates imply that more and more investors will be interested in hedging various risks and looking for stock to buy that accomplish that.</p><p>Meanwhile, CME pays a quarterly dividend plus a variable dividend at the end of the year based on the company’s earnings. The current dividend yield stands at 2%.</p><p>CME stock is down more than 14% year to date. Shares are trading at 24.9 times forward earnings and 2.5 times book value.</p><p>The 12-month median price forecast for CME stock stands at $216.</p><p><b>Equinix(EQIX)</b></p><p>52-week range: $606.12 – $885.26</p><p><b>Equinix</b> (NASDAQ:<b><u>EQIX</u></b>) is one of the largest data center real estate investment trusts (REITs) worldwide.</p><p>It specializes in digital infrastructure and global interconnection services and serves a diversified base of global enterprises in 31 countries.</p><p>The data center giant issued Q2 metrics on Jul. 27. Revenue increased 10% year over year to $1.8 billion, marking the REIT’s 78th consecutive quarter of revenue growth.</p><p>Adjusted funds from operations (“AFFO”) stood at $7.58 per share, a 6% increase over the previous quarter. Cash and equivalents ended the period at $1.9 billion.</p><p>Equinix enjoyed record bookings, driven by robust capacity demand. Strong bookings are expected to add an incremental $62 million to full-year revenue numbers.</p><p>Meanwhile, Equinix continues to expand its global platform, with close to 50 major ongoing projects in 21 countries. In 2022, management anticipates roughly 9% – 10% revenue growth along with 8% – 9% AFFO growth, making it one of the fast-growing stocks to buy for the future.</p><p>The market selloff in growth stocks has pulled EQIX stock down 22% year to date, and the dividend yield currently stands at 1.9%. The 12-month median price forecast for Equinix stock is $805. Such a move would mean an upside of over 23%.</p><p><b>Marathon Petroleum</b> <b>(MPC)</b></p><p>52-week range: $56.08 – $114.35</p><p><b>Marathon Petroleum</b> (NYSE:<b><u>MPC</u></b>) refines, produces, transports, and sells petroleum products. The company ranks as the third-largest crude oil refining company stateside, boasting total throughput of 3.1 million barrels per day.</p><p>The oil refiner announced Q2 financials on Aug. 2. Revenue jumped 82% year over year to $54.2 billion. Adjusted net income skyrocketed to $10.61 per diluted share, up from 67 cents a year ago. Cash, equivalents, and short-term investments ended the quarter at $13.3 billion.</p><p>The refiner continues to benefit from increased fuel prices, making it one of the more intriguing energy stocks to buy now.</p><p>The Refining & Marketing segment delivered an operating income of $7.1 billion, up from $224 million in the prior-year quarter. The impressive increase reflects higher margins and throughput.</p><p>The company repurchased shares worth $4.1 billion through the quarter. Meanwhile, management recently announced a new $5 billion repurchase program with no expiration date.</p><p>MPC stock is up more than 57% YTD. Shares are trading at 5.4 times forward earnings and 0.4 times sales. The 12-month median price forecast for Marathon Petroleum stands at $120.</p><p><b>T-Mobile US (TMUS)</b></p><p>52-week range: $101.51 – $148.04</p><p><b>T-Mobile</b> (NASDAQ:<b><u>TMUS</u></b>), the leading B2C wireless communications service provider, offers services via its flagship brands, T-Mobile, Metro by T-Mobile, and Sprint. In terms of wireless subscriptions, it holds third place in the U.S.</p><p>The wireless service provider announced Q2 results in late July. Revenue grew 6% year over year to $15.3 billion.</p><p>T-Mobile reported a $108 million net loss due to merger-related costs and other special expense items amounting to $1.9 billion.</p><p>Net loss per diluted share stood at 9 cents, compared to diluted earnings per share of 78 cents a year ago. Free cash flow grew 5% year over year to $1.8 billion.</p><p>In recent years, T-Mobile has achieved industry-leading growth in postpaid and broadband customers, becoming a clear leader in 5G coverage.</p><p>T-Mobile added 1.7 million postpaid customers during the quarter, including 723,000 postpaid phone customers. Postpaid subscriber additions surpassed <b>Verizon</b> (NYSE:<b>VZ</b>) and <b>AT&T</b>‘s (NYSE:<b>T</b>) additions combined.</p><p>Meanwhile, T-Mobile’s 5G wireless broadband offering added 560,000 net new customers, ending the quarter with over 1.5 million home internet subscribers.</p><p>Management anticipates adding between 6 million and 6.3 million postpaid net customers in 2022, up from a previous forecast for 5.3 million to 5.8 million subscriber additions.</p><p>TMUS stock is up 24% year to date, making it one of the telecom stocks to buy now. Shares are changing hands at 59 forward earnings and 2.3 times sales. Finally, the 12-month median price forecast for T-Mobile stock stands at$169.</p></body></html>","source":"investorplace","collect":0,"html":"<!DOCTYPE html>\n<html>\n<head>\n<meta http-equiv=\"Content-Type\" content=\"text/html; charset=utf-8\" />\n<meta name=\"viewport\" content=\"width=device-width,initial-scale=1.0,minimum-scale=1.0,maximum-scale=1.0,user-scalable=no\"/>\n<meta name=\"format-detection\" content=\"telephone=no,email=no,address=no\" />\n<title>7 Stocks to Buy Ahead of the Next Big Rate Hikes</title>\n<style type=\"text/css\">\na,abbr,acronym,address,applet,article,aside,audio,b,big,blockquote,body,canvas,caption,center,cite,code,dd,del,details,dfn,div,dl,dt,\nem,embed,fieldset,figcaption,figure,footer,form,h1,h2,h3,h4,h5,h6,header,hgroup,html,i,iframe,img,ins,kbd,label,legend,li,mark,menu,nav,\nobject,ol,output,p,pre,q,ruby,s,samp,section,small,span,strike,strong,sub,summary,sup,table,tbody,td,tfoot,th,thead,time,tr,tt,u,ul,var,video{ font:inherit;margin:0;padding:0;vertical-align:baseline;border:0 }\nbody{ font-size:16px; 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}\n.meta {color:#5e5c6d;font-size:13px;margin:0 0 .5em; }\na{text-decoration:none; color:#2a4b87;}\n.meta .head { display: inline-block; overflow: hidden}\n.head .h-thumb { width: 30px; height: 30px; margin: 0; padding: 0; border-radius: 50%; float: left;}\n.head .h-content { margin: 0; padding: 0 0 0 9px; float: left;}\n.head .h-name {font-size: 13px; color: #eee; margin: 0;}\n.head .h-time {font-size: 11px; color: #7E829C; margin: 0;line-height: 11px;}\n.small {font-size: 12.5px; display: inline-block; transform: scale(0.9); -webkit-transform: scale(0.9); transform-origin: left; -webkit-transform-origin: left;}\n.smaller {font-size: 12.5px; display: inline-block; transform: scale(0.8); -webkit-transform: scale(0.8); transform-origin: left; -webkit-transform-origin: left;}\n.bt-text {font-size: 12px;margin: 1.5em 0 0 0}\n.bt-text p {margin: 0}\n</style>\n</head>\n<body>\n<div class=\"wrapper\">\n<header>\n<h2 class=\"title\">\n7 Stocks to Buy Ahead of the Next Big Rate Hikes\n</h2>\n\n<h4 class=\"meta\">\n\n\n2022-09-04 10:30 GMT+8 <a href=https://investorplace.com/2022/09/7-stocks-to-buy-ahead-of-the-next-big-rate-hikes/><strong>InvestorPlace</strong></a>\n\n\n</h4>\n\n</header>\n<article>\n<div>\n<p>These stocks should weather the storm if rates continue rising.Albemarle(ALB): Raised its 2022 guidance for the third time, driven by significant pricing increases from renegotiated lithium contracts....</p>\n\n<a href=\"https://investorplace.com/2022/09/7-stocks-to-buy-ahead-of-the-next-big-rate-hikes/\">Web Link</a>\n\n</div>\n\n\n</article>\n</div>\n</body>\n</html>\n","type":0,"thumbnail":"","relate_stocks":{"EQIX":"易昆尼克斯","ALB":"美国雅保","BAC":"美国银行","TMUS":"T-Mobile US Inc","CME":"芝加哥商品交易所","MPC":"马拉松原油","SCHW":"嘉信理财"},"source_url":"https://investorplace.com/2022/09/7-stocks-to-buy-ahead-of-the-next-big-rate-hikes/","is_english":true,"share_image_url":"https://static.laohu8.com/e9f99090a1c2ed51c021029395664489","article_id":"1144536848","content_text":"These stocks should weather the storm if rates continue rising.Albemarle(ALB): Raised its 2022 guidance for the third time, driven by significant pricing increases from renegotiated lithium contracts.Bank of America (BAC): Q2 net interest income jumped 22% year-over-year to $12.4 billion.Charles Schwab (SCHW): Added 1 million new accounts during the second quarter.CME(CME): The derivatives exchange is expected to benefit from rising interest rates due to increased hedging against market volatility.Equinix(EQIX): The data center REIT reported record bookings, fueled by strong capacity demand.Marathon Petroleum (MPC): Operating income from the Refining & Marketing segment skyrocketed to $7.1 billion.T-Mobile (TMUS): Postpaid subscriber additions in Q2 surpassed the combined subscriber additions of its rivals in the 5G space.Wall Street is searching for solid stocks to buy that could shield long-term portfolios from market volatility ahead of the anticipated interest rate hikes.While inflation may have peaked in July, it remains well above the Federal Reserve’s (Fed) 2% target. So far in 2022, the central bank has already raised its overnight lending rate by 2.25%.Investors will most likely see further interest rate hikes through the rest of the year in the Fed’s bid to bring down inflation.Chairman Jerome Powell recently remarked that the Fed aims to utilize its policymaking “tools forcefully to bring demand and supply into better balance.” Thus, the Fed is committed to a more contractionary monetary policy in the months ahead.Meanwhile, August ended on a down note, reversing some of the gains seen earlier in the summer. As a result, the benchmark S&P 500 index is currently down 17% year-to-date (YTD), compared with the nearly 25% decline in the Nasdaq 100 index.Against this backdrop, it’s no surprise that investors are increasingly focused on stable stocks to buy in sectors that may outperform the broader market. Among them are the financial, communication services, healthcare and utilities sectors.With that information, here are the seven stocks to buy that have significant potential to benefit from rising interest rates.Albemarle (ALB)52-week range: $169.93 – $298.17Albemarle(NYSE:ALB) is the largest lithium producer worldwide, relying on its salt brine deposits in Chile and the U.S., as well as from its joint venture mines in Australia.The company is also a global leader in bromine production, used widely in flame retardants.The lithium giant released Q2 results on Aug. 3. Revenue soared 91% year over year (YOY) to $1.48 billion. Adjusted earnings per share skyrocketed to $3.45 per diluted share, up 288% from 89 cents in the prior-year quarter. Cash and equivalents ended the quarter at $930.6 million.The lithium segment continues to benefit from growth in the electric vehicle (EV) space. This segment achieved 178% year-over-year revenue growth, driven by a significant increase in pricing from renegotiated lithium contracts.Meanwhile, the Inflation Reduction Act that specifically addresses EV batteries and energy storage should also offer further tailwinds for long-term growth.Meanwhile, management raised its 2022 guidance for the third time. It now projects revenue to grow by at least 110% to a range of $7.1 billion to $7.5 billion.ALB stock is up almost 15% YTD. Shares are trading at 14.2 times forward earnings and 7.7 times sales.Analysts’ 12-month median price forecast for Albemarle stock stands at $300. Investors could regard dips in ALB stock as an opportunity to enter the lithium leader.Bank of America (BAC)52-week range: $29.67 – $50.11Bank of America (NYSE:BAC) is the second-largest bank in the U.S., with more than $2 trillion in assets. It offers consumer banking, wealth management, investment management and global banking services.The bank announced Q2 financials on Jul. 18. Revenue increased 6% year over year to $22.7 billion. Diluted earnings came in at 73 cents per diluted share, down 29% from $1.03 in the prior-year quarter.The financial giant is extremely sensitive to changes in interest rates. For instance, in Q2, net interest income soared 22% year over year to $12.4 billion.The bank revealed that another 1% increase in interest rates would cause net interest income to jump by roughly $5 billion over the next 12 months.Meanwhile, average loan and lease balances jumped 12% year over year to $1 trillion. The bank boasts a significant commercial loan base with floating-rate loans. Management anticipates an additional $1 billion net interest income in the third quarter.So far in 2022, BAC stock is down 24.5%, making it one of the best banking stocks to buy on the dip.It currently generates a 2.6% dividend yield. Shares look like a great value at 10.7 times forward earnings and 1.1 times book value. The 12-month median price forecast for BAC stock stands at $42.Charles Schwab (SCHW)52-week range: $59.35 – $96.24Charles Schwab (NYSE:SCHW) is the largest brokerage firm in the U.S. It offers securities brokerage, asset management, and banking services. Client assets exceeded $8 trillion at the end of 2021.The brokerage name released Q2 results on Jul. 18. Revenue soared 13% year over year to $5.1 billion, driven primarily by a 31% increase in net interest income. Adjusted earnings per share came in at 97 cents, up 39% from 70 cents a year ago.The company added 1 million new accounts during the quarter. It currently has roughly 34 million active accounts, representing 5% year-over-year growth.Given its banking business with over $400 billion of deposits, Schwab is expected to deliver substantial earnings growth driven by rising interest rates. Interest rate-related revenue currently accounts for more than 50% of net revenue.SCHW stock is down almost 16% year to date, making it among the better stocks to buy on the dip. It supports a 1.2% dividend yield at the current price level. Shares trade at18.4 times forward earnings and 4 times book value. Wall Street’s 12-month median price forecast for Charles Schwab stock stands at$86.5.CME Group (CME)52-week range: $183.15 – $256.94CME Group(NASDAQ:CME) is the largest derivatives exchange in the U.S. It operates the Chicago Board of Trade, the Chicago Mercantile Exchange and the New York Mercantile Exchange.The exchange reportedQ2 results in late July. The company reported revenue of $1.24 billion, compared to $1.18 billion a year ago. Adjusted net income increased to $1.97 per diluted share, up from $1.64 in the prior-year quarter. Cash and equivalents ended the quarter at $1.9 billion.The derivatives exchange is well-known for its interest rate products. These instruments allow investors to lock in borrowing costs to hedge the interest rates on assets and liabilities.Rising interest rates imply that more and more investors will be interested in hedging various risks and looking for stock to buy that accomplish that.Meanwhile, CME pays a quarterly dividend plus a variable dividend at the end of the year based on the company’s earnings. The current dividend yield stands at 2%.CME stock is down more than 14% year to date. Shares are trading at 24.9 times forward earnings and 2.5 times book value.The 12-month median price forecast for CME stock stands at $216.Equinix(EQIX)52-week range: $606.12 – $885.26Equinix (NASDAQ:EQIX) is one of the largest data center real estate investment trusts (REITs) worldwide.It specializes in digital infrastructure and global interconnection services and serves a diversified base of global enterprises in 31 countries.The data center giant issued Q2 metrics on Jul. 27. Revenue increased 10% year over year to $1.8 billion, marking the REIT’s 78th consecutive quarter of revenue growth.Adjusted funds from operations (“AFFO”) stood at $7.58 per share, a 6% increase over the previous quarter. Cash and equivalents ended the period at $1.9 billion.Equinix enjoyed record bookings, driven by robust capacity demand. Strong bookings are expected to add an incremental $62 million to full-year revenue numbers.Meanwhile, Equinix continues to expand its global platform, with close to 50 major ongoing projects in 21 countries. In 2022, management anticipates roughly 9% – 10% revenue growth along with 8% – 9% AFFO growth, making it one of the fast-growing stocks to buy for the future.The market selloff in growth stocks has pulled EQIX stock down 22% year to date, and the dividend yield currently stands at 1.9%. The 12-month median price forecast for Equinix stock is $805. Such a move would mean an upside of over 23%.Marathon Petroleum (MPC)52-week range: $56.08 – $114.35Marathon Petroleum (NYSE:MPC) refines, produces, transports, and sells petroleum products. The company ranks as the third-largest crude oil refining company stateside, boasting total throughput of 3.1 million barrels per day.The oil refiner announced Q2 financials on Aug. 2. Revenue jumped 82% year over year to $54.2 billion. Adjusted net income skyrocketed to $10.61 per diluted share, up from 67 cents a year ago. Cash, equivalents, and short-term investments ended the quarter at $13.3 billion.The refiner continues to benefit from increased fuel prices, making it one of the more intriguing energy stocks to buy now.The Refining & Marketing segment delivered an operating income of $7.1 billion, up from $224 million in the prior-year quarter. The impressive increase reflects higher margins and throughput.The company repurchased shares worth $4.1 billion through the quarter. Meanwhile, management recently announced a new $5 billion repurchase program with no expiration date.MPC stock is up more than 57% YTD. Shares are trading at 5.4 times forward earnings and 0.4 times sales. The 12-month median price forecast for Marathon Petroleum stands at $120.T-Mobile US (TMUS)52-week range: $101.51 – $148.04T-Mobile (NASDAQ:TMUS), the leading B2C wireless communications service provider, offers services via its flagship brands, T-Mobile, Metro by T-Mobile, and Sprint. In terms of wireless subscriptions, it holds third place in the U.S.The wireless service provider announced Q2 results in late July. Revenue grew 6% year over year to $15.3 billion.T-Mobile reported a $108 million net loss due to merger-related costs and other special expense items amounting to $1.9 billion.Net loss per diluted share stood at 9 cents, compared to diluted earnings per share of 78 cents a year ago. Free cash flow grew 5% year over year to $1.8 billion.In recent years, T-Mobile has achieved industry-leading growth in postpaid and broadband customers, becoming a clear leader in 5G coverage.T-Mobile added 1.7 million postpaid customers during the quarter, including 723,000 postpaid phone customers. Postpaid subscriber additions surpassed Verizon (NYSE:VZ) and AT&T‘s (NYSE:T) additions combined.Meanwhile, T-Mobile’s 5G wireless broadband offering added 560,000 net new customers, ending the quarter with over 1.5 million home internet subscribers.Management anticipates adding between 6 million and 6.3 million postpaid net customers in 2022, up from a previous forecast for 5.3 million to 5.8 million subscriber additions.TMUS stock is up 24% year to date, making it one of the telecom stocks to buy now. Shares are changing hands at 59 forward earnings and 2.3 times sales. Finally, the 12-month median price forecast for T-Mobile stock stands at$169.","news_type":1},"isVote":1,"tweetType":1,"viewCount":72,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"EN","totalScore":0},{"id":9939168280,"gmtCreate":1662077768143,"gmtModify":1676536801040,"author":{"id":"4117085301912742","authorId":"4117085301912742","name":"Hajime819","avatar":"https://community-static.tradeup.com/news/b67bb12f34c998d9fe11c932de89758b","crmLevel":3,"crmLevelSwitch":0,"followedFlag":false,"idStr":"4117085301912742","authorIdStr":"4117085301912742"},"themes":[],"htmlText":"<a href=\"https://ttm.financial/S/SPYG\">$SPDR Portfolio S&P 500 Growth ETF(SPYG)$</a>[Smile] ","listText":"<a href=\"https://ttm.financial/S/SPYG\">$SPDR Portfolio S&P 500 Growth ETF(SPYG)$</a>[Smile] ","text":"$SPDR Portfolio S&P 500 Growth ETF(SPYG)$[Smile]","images":[{"img":"https://community-static.tradeup.com/news/6e2b6818727442d8ea1d4a11c4e36389","width":"828","height":"1632"}],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":2,"commentSize":0,"repostSize":0,"link":"https://ttm.financial/post/9939168280","isVote":1,"tweetType":1,"viewCount":161,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":1,"langContent":"EN","totalScore":0},{"id":9939048435,"gmtCreate":1662033684732,"gmtModify":1676536650624,"author":{"id":"4117085301912742","authorId":"4117085301912742","name":"Hajime819","avatar":"https://community-static.tradeup.com/news/b67bb12f34c998d9fe11c932de89758b","crmLevel":3,"crmLevelSwitch":0,"followedFlag":false,"idStr":"4117085301912742","authorIdStr":"4117085301912742"},"themes":[],"htmlText":"Ok","listText":"Ok","text":"Ok","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":2,"commentSize":0,"repostSize":0,"link":"https://ttm.financial/post/9939048435","repostId":"1160870826","repostType":4,"repost":{"id":"1160870826","kind":"news","pubTimestamp":1662045526,"share":"https://ttm.financial/m/news/1160870826?lang=&edition=fundamental","pubTime":"2022-09-01 23:18","market":"us","language":"en","title":"Billionaires Have Been Buying These 7 Stocks as the Market Plunges","url":"https://stock-news.laohu8.com/highlight/detail?id=1160870826","media":"Motley Fool","summary":"KEY POINTSThe broad-based S&P 500 produced its worst first-half return in 52 years.Rather than being","content":"<html><head></head><body><p>KEY POINTS</p><ul><li>The broad-based S&P 500 produced its worst first-half return in 52 years.</li><li>Rather than being chased to the sideline, billionaire investors have stood their ground and put their money to work.</li><li>These seven stocks have been the apple of select billionaires' eyes.</li></ul><p>Although you probably don't need the reminder, it's been a rough year on Wall Street. The benchmark S&P 500 produced its worst first-half return since 1970. Meanwhile, the growth-centric Nasdaq Composite plunged 34% on a peak-to-trough basis since hitting its all-time closing high in November. Everything from weak economic growth and historically high inflation to Russia's invasion of Ukraine further upsetting the global energy supply chain has contributed to this challenging year.</p><p>Yet, in spite of the stock market plunging throughout much of the year, billionaire investors have stood their ground. Billionaire money managers are well aware that every notable pullback in the market has proved to be a buying opportunity over the long run.</p><p>Based on recent 13F filings with the Securities and Exchange Commission, it's become clear that billionaire fund managers have been buyers as the market plunges. Here's what seven prominent billionaires have been buying.</p><h3>1. Paul Singer: <a href=\"https://laohu8.com/S/PYPL\">PayPal Holdings</a></h3><p>Billionaire activist investor Paul Singer of Elliott Investment Management has been a busy bee in 2022. Most notably, he's taken a roughly $2 billion stake in fintech stock PayPal Holdings (PYPL), which was disclosed by PayPal in its second-quarter earnings release.</p><p>What's interesting about this position is that Singer often invests in struggling companies. Although PayPal's share price has taken a big hit as pandemic-related valuations deflate, PayPal's operating performance shows a company that's clearly not hurting. Even with U.S. gross domestic product falling in back-to-back quarters, PayPal has maintained double-digit total payment volume growth on a constant-currency basis.</p><p>More importantly, user engagement hasn't slowed down. When 2020 came to a close, the average active account completed just shy of 41 transactions over the trailing year. As of June 30, 2022, this average active account hadcompleted nearly 49 transactions over the trailing 12 months. With engagement trends headed in the right direction and digital payment growth still in its very early innings, I'd be surprised if Singer's investment ultimately ended up in the red.</p><h3>2. Philippe Laffont: <a href=\"https://laohu8.com/S/UPST\">Upstart Holdings</a></h3><p>Philippe Laffont may not be a household name among billionaire money managers, but he successfully oversees Coatue Management, a hedge fund with almost $8.3 billion in assets under management. In the latest quarter, Laffont added almost $75 million in shares of cloud-based lending platform Upstart Holdings (UPST).</p><p>Upstart aims to completely turn the traditional loan-vetting process on its head. It uses artificial intelligence (AI) to completely automate and approve about three-quarters of all loans processed. Not only is this saving the roughly six dozen financial institutions Upstart is partnered with time and money, but it's giving loan applicants who might otherwise be denied through the traditional vetting process an opportunity. Upstart-vetted loans have produced similar loan delinquency rates as traditional loans, despite a lower average credit score for Upstart-approved applicants.</p><p>The other lure for Upstart is its potential for expansion. Until last year, Upstart almost exclusively focused on personal loans. With the company now expanding into auto loans and small business loans, its addressable market has increased tenfold.</p><h3>3. Warren Buffett: <a href=\"https://laohu8.com/S/OXY\">Occidental Petroleum</a></h3><p>The Oracle of Omaha, who's been CEO of Berkshire Hathaway since 1965, probably needs no introduction. Among the16 stocks Warren Buffett has purchased this year, none has raised more eyebrows than oil stock Occidental Petroleum. Berkshire has acquired nearly 188.4 million shares of Occidental this year, as of Aug. 8.</p><p>Why Occidental Petroleum? The best guess is that Buffett strongly believes crude oil and natural gas prices will remain elevated for years to come. This is a forecast that can certainly be supported by reduced capital investments in the wake of the pandemic, as well as Russia's aforementioned invasion of Ukraine. With no quick fixes to global supply woes, oil and natural gas could very easily support above-average spot prices for years.</p><p>But what makes Occidental such an odd Buffett stockis its balance sheet. The Oracle of Omaha normally buys stakes in businesses with strong brand names, exceptional leadership, and rock-solid balance sheets. Occidental is more highly levered than most integrated oil and gas companies. In other words, this is a riskier investment than we're used to seeing from Buffett.</p><h3>4. Steve Cohen: <a href=\"https://laohu8.com/S/CRWD\">CrowdStrike Holdings</a></h3><p>Billionaire Steve Cohen, who's known just as much for owning baseball's New York Mets as he is for running Point72 Asset Management, has been an active buyer of cybersecurity stock CrowdStrike Holdings as the market plunges. Cohen's fund bought close to 820,000 shares of CrowdStrike during the second quarter.</p><p>Aside from the fact that cybersecurity solutions have evolved into a basic necessity service in any economic environment, what allows CrowdStrike to stand out is its AI-driven Falcon platform. Falcon oversees about 1 trillion events daily and has proved superior to the on-premises competition at identifying and responding to potential threats.</p><p>Although CrowdStrike has had no trouble growing its subscriber base over the years, what's far more impressive is how the company has been able to encourage existing clients to spend more. A little over five years ago, just 9% of the company's clients had purchased four or more cloud-module subscriptions. As of the end of April 2022, 71% of existing clients had purchased four or more cloud-module subscriptions. This is CrowdStrike's not-so-subtle key to superior operating margins and its amazing revenue retention rate.</p><h3>5. Jim Simons: <a href=\"https://laohu8.com/S/SHOP\">Shopify</a></h3><p>Billionaire Jim Simons of Renaissance Technologies has thousands upon thousands of positions. However, cloud-based e-commerce platform Shopify (SHOP 0.93%) became one of Renaissance's largest positions during the second quarter, with a greater than 14-million-share aggregate buy.</p><p>Despite shares coming under heavy selling pressure due to the company's nosebleed valuation and recent weakness in retail sales as a whole, Shopify looks like a giant in the making. Aided by the pandemic, the gross merchandise value transacted on Shopify's platforms (as of the June-ended quarter) has grown by an annual average of 50% over the past three years. What's more, the company believes it has a $153 billion addressable market just with small businesses. This doesn't even factor in the inroads the company has made with larger companies.</p><p>Innovation should also be key for Shopify's long-term outlook. The introduction of Shop Pay, a buy now, pay later service designed to help merchants serve more customers, should benefit nicely during long-winded periods of economic expansion.</p><h3>6. Ray Dalio: <a href=\"https://laohu8.com/S/CVS\">CVS Health</a></h3><p>Bridgewater Associates' billionaire money manager Ray Dalio has also been an active buyer. Dalio chose to pile into CVS Health (CVS -0.66%) as the market plunged. Bridgewater bought close to 1.94 million shares during the second quarter, which increased the fund's stake by 159% from the March-ended quarter.</p><p>The beauty of healthcare stocks is that they're defensive. People can't control when they get sick, which means there's always demand for prescription drugs, medical devices, and healthcare services.</p><p>On a more company-specific basis, CVS Health has benefited from its vertical integration. Its acquisition of health insurer Aetna in 2018 lifted its organic growth rate, provided ample cost synergies, and gave more than 20 million insured Aetna members a reason to stay within the CVS Health network.</p><p>Additionally, CVS has been reaping the rewards of its HealthHUB health clinics. In the wake of the COVID-19 pandemic, consumers have demonstrated they're eager for quick solutions to minor illnesses and injuries, as well as supplemental care for chronic conditions. The roughly 1,500 HealthHUBs CVS operates are facilitating these interactions, which have the potential to boost customer loyalty and drive repeat visits.</p><h3>7. Jeff Yass: <a href=\"https://laohu8.com/S/AMZN\">Amazon</a></h3><p>Last but not least, billionaire Jeff Yass of Susquehanna International has been buying FAANG stock Amazon as the market plunges. Susquehanna added close to 6.6 million shares of Amazon during the second quarter, which increased its stake to approximately 15.2 million shares.</p><p>Although Amazon is best known for its dominant online marketplace, which is estimated to bring in 40% of U.S. retail sales in 2022, per eMarketer, it's the company's considerably higher-margin ancillary operations that make it such an ideal buy.</p><p>For instance, Amazon's online marketplace has helped attract more than 200 million global Prime subscribers. With almost $35 billion in annual run-rate sales from subscription services, Amazon is able to divert plenty of capital to its fast-growing logistics network and other supercharged growth projects.</p><p>However, Amazon's future is undeniably linked to cloud infrastructure segment Amazon Web Services (AWS). AWS brought in 31% of cloud spending during the second quarter, according to estimates from Canalys. More importantly, AWS is responsible for generating the bulk of Amazon's operating cash flow despite accounting for just a sixth of the company's net sales. As AWS grows into a larger percentage of total sales, Amazon's cash flow can soar.</p></body></html>","source":"fool_stock","collect":0,"html":"<!DOCTYPE html>\n<html>\n<head>\n<meta http-equiv=\"Content-Type\" content=\"text/html; charset=utf-8\" />\n<meta name=\"viewport\" content=\"width=device-width,initial-scale=1.0,minimum-scale=1.0,maximum-scale=1.0,user-scalable=no\"/>\n<meta name=\"format-detection\" content=\"telephone=no,email=no,address=no\" />\n<title>Billionaires Have Been Buying These 7 Stocks as the Market Plunges</title>\n<style type=\"text/css\">\na,abbr,acronym,address,applet,article,aside,audio,b,big,blockquote,body,canvas,caption,center,cite,code,dd,del,details,dfn,div,dl,dt,\nem,embed,fieldset,figcaption,figure,footer,form,h1,h2,h3,h4,h5,h6,header,hgroup,html,i,iframe,img,ins,kbd,label,legend,li,mark,menu,nav,\nobject,ol,output,p,pre,q,ruby,s,samp,section,small,span,strike,strong,sub,summary,sup,table,tbody,td,tfoot,th,thead,time,tr,tt,u,ul,var,video{ font:inherit;margin:0;padding:0;vertical-align:baseline;border:0 }\nbody{ font-size:16px; line-height:1.5; color:#999; background:transparent; }\n.wrapper{ overflow:hidden;word-break:break-all;padding:10px; }\nh1,h2{ font-weight:normal; line-height:1.35; margin-bottom:.6em; }\nh3,h4,h5,h6{ line-height:1.35; margin-bottom:1em; }\nh1{ font-size:24px; }\nh2{ font-size:20px; }\nh3{ font-size:18px; }\nh4{ font-size:16px; }\nh5{ font-size:14px; }\nh6{ font-size:12px; }\np,ul,ol,blockquote,dl,table{ margin:1.2em 0; }\nul,ol{ margin-left:2em; }\nul{ list-style:disc; }\nol{ list-style:decimal; }\nli,li p{ margin:10px 0;}\nimg{ max-width:100%;display:block;margin:0 auto 1em; }\nblockquote{ color:#B5B2B1; border-left:3px solid #aaa; padding:1em; }\nstrong,b{font-weight:bold;}\nem,i{font-style:italic;}\ntable{ width:100%;border-collapse:collapse;border-spacing:1px;margin:1em 0;font-size:.9em; }\nth,td{ padding:5px;text-align:left;border:1px solid #aaa; }\nth{ font-weight:bold;background:#5d5d5d; }\n.symbol-link{font-weight:bold;}\n/* header{ border-bottom:1px solid #494756; } */\n.title{ margin:0 0 8px;line-height:1.3;color:#ddd; }\n.meta {color:#5e5c6d;font-size:13px;margin:0 0 .5em; }\na{text-decoration:none; color:#2a4b87;}\n.meta .head { display: inline-block; overflow: hidden}\n.head .h-thumb { width: 30px; height: 30px; margin: 0; padding: 0; border-radius: 50%; float: left;}\n.head .h-content { margin: 0; padding: 0 0 0 9px; float: left;}\n.head .h-name {font-size: 13px; color: #eee; margin: 0;}\n.head .h-time {font-size: 11px; color: #7E829C; margin: 0;line-height: 11px;}\n.small {font-size: 12.5px; display: inline-block; transform: scale(0.9); -webkit-transform: scale(0.9); transform-origin: left; -webkit-transform-origin: left;}\n.smaller {font-size: 12.5px; display: inline-block; transform: scale(0.8); -webkit-transform: scale(0.8); transform-origin: left; -webkit-transform-origin: left;}\n.bt-text {font-size: 12px;margin: 1.5em 0 0 0}\n.bt-text p {margin: 0}\n</style>\n</head>\n<body>\n<div class=\"wrapper\">\n<header>\n<h2 class=\"title\">\nBillionaires Have Been Buying These 7 Stocks as the Market Plunges\n</h2>\n\n<h4 class=\"meta\">\n\n\n2022-09-01 23:18 GMT+8 <a href=https://www.fool.com/investing/2022/09/01/billionaires-buying-7-stocks-as-the-market-plunges/><strong>Motley Fool</strong></a>\n\n\n</h4>\n\n</header>\n<article>\n<div>\n<p>KEY POINTSThe broad-based S&P 500 produced its worst first-half return in 52 years.Rather than being chased to the sideline, billionaire investors have stood their ground and put their money to work....</p>\n\n<a href=\"https://www.fool.com/investing/2022/09/01/billionaires-buying-7-stocks-as-the-market-plunges/\">Web Link</a>\n\n</div>\n\n\n</article>\n</div>\n</body>\n</html>\n","type":0,"thumbnail":"","relate_stocks":{"CRWD":"CrowdStrike Holdings, Inc.","UPST":"Upstart Holdings, Inc.","AMZN":"亚马逊","PYPL":"PayPal","OXY":"西方石油","CVS":"西维斯健康","SHOP":"Shopify Inc"},"source_url":"https://www.fool.com/investing/2022/09/01/billionaires-buying-7-stocks-as-the-market-plunges/","is_english":true,"share_image_url":"https://static.laohu8.com/e9f99090a1c2ed51c021029395664489","article_id":"1160870826","content_text":"KEY POINTSThe broad-based S&P 500 produced its worst first-half return in 52 years.Rather than being chased to the sideline, billionaire investors have stood their ground and put their money to work.These seven stocks have been the apple of select billionaires' eyes.Although you probably don't need the reminder, it's been a rough year on Wall Street. The benchmark S&P 500 produced its worst first-half return since 1970. Meanwhile, the growth-centric Nasdaq Composite plunged 34% on a peak-to-trough basis since hitting its all-time closing high in November. Everything from weak economic growth and historically high inflation to Russia's invasion of Ukraine further upsetting the global energy supply chain has contributed to this challenging year.Yet, in spite of the stock market plunging throughout much of the year, billionaire investors have stood their ground. Billionaire money managers are well aware that every notable pullback in the market has proved to be a buying opportunity over the long run.Based on recent 13F filings with the Securities and Exchange Commission, it's become clear that billionaire fund managers have been buyers as the market plunges. Here's what seven prominent billionaires have been buying.1. Paul Singer: PayPal HoldingsBillionaire activist investor Paul Singer of Elliott Investment Management has been a busy bee in 2022. Most notably, he's taken a roughly $2 billion stake in fintech stock PayPal Holdings (PYPL), which was disclosed by PayPal in its second-quarter earnings release.What's interesting about this position is that Singer often invests in struggling companies. Although PayPal's share price has taken a big hit as pandemic-related valuations deflate, PayPal's operating performance shows a company that's clearly not hurting. Even with U.S. gross domestic product falling in back-to-back quarters, PayPal has maintained double-digit total payment volume growth on a constant-currency basis.More importantly, user engagement hasn't slowed down. When 2020 came to a close, the average active account completed just shy of 41 transactions over the trailing year. As of June 30, 2022, this average active account hadcompleted nearly 49 transactions over the trailing 12 months. With engagement trends headed in the right direction and digital payment growth still in its very early innings, I'd be surprised if Singer's investment ultimately ended up in the red.2. Philippe Laffont: Upstart HoldingsPhilippe Laffont may not be a household name among billionaire money managers, but he successfully oversees Coatue Management, a hedge fund with almost $8.3 billion in assets under management. In the latest quarter, Laffont added almost $75 million in shares of cloud-based lending platform Upstart Holdings (UPST).Upstart aims to completely turn the traditional loan-vetting process on its head. It uses artificial intelligence (AI) to completely automate and approve about three-quarters of all loans processed. Not only is this saving the roughly six dozen financial institutions Upstart is partnered with time and money, but it's giving loan applicants who might otherwise be denied through the traditional vetting process an opportunity. Upstart-vetted loans have produced similar loan delinquency rates as traditional loans, despite a lower average credit score for Upstart-approved applicants.The other lure for Upstart is its potential for expansion. Until last year, Upstart almost exclusively focused on personal loans. With the company now expanding into auto loans and small business loans, its addressable market has increased tenfold.3. Warren Buffett: Occidental PetroleumThe Oracle of Omaha, who's been CEO of Berkshire Hathaway since 1965, probably needs no introduction. Among the16 stocks Warren Buffett has purchased this year, none has raised more eyebrows than oil stock Occidental Petroleum. Berkshire has acquired nearly 188.4 million shares of Occidental this year, as of Aug. 8.Why Occidental Petroleum? The best guess is that Buffett strongly believes crude oil and natural gas prices will remain elevated for years to come. This is a forecast that can certainly be supported by reduced capital investments in the wake of the pandemic, as well as Russia's aforementioned invasion of Ukraine. With no quick fixes to global supply woes, oil and natural gas could very easily support above-average spot prices for years.But what makes Occidental such an odd Buffett stockis its balance sheet. The Oracle of Omaha normally buys stakes in businesses with strong brand names, exceptional leadership, and rock-solid balance sheets. Occidental is more highly levered than most integrated oil and gas companies. In other words, this is a riskier investment than we're used to seeing from Buffett.4. Steve Cohen: CrowdStrike HoldingsBillionaire Steve Cohen, who's known just as much for owning baseball's New York Mets as he is for running Point72 Asset Management, has been an active buyer of cybersecurity stock CrowdStrike Holdings as the market plunges. Cohen's fund bought close to 820,000 shares of CrowdStrike during the second quarter.Aside from the fact that cybersecurity solutions have evolved into a basic necessity service in any economic environment, what allows CrowdStrike to stand out is its AI-driven Falcon platform. Falcon oversees about 1 trillion events daily and has proved superior to the on-premises competition at identifying and responding to potential threats.Although CrowdStrike has had no trouble growing its subscriber base over the years, what's far more impressive is how the company has been able to encourage existing clients to spend more. A little over five years ago, just 9% of the company's clients had purchased four or more cloud-module subscriptions. As of the end of April 2022, 71% of existing clients had purchased four or more cloud-module subscriptions. This is CrowdStrike's not-so-subtle key to superior operating margins and its amazing revenue retention rate.5. Jim Simons: ShopifyBillionaire Jim Simons of Renaissance Technologies has thousands upon thousands of positions. However, cloud-based e-commerce platform Shopify (SHOP 0.93%) became one of Renaissance's largest positions during the second quarter, with a greater than 14-million-share aggregate buy.Despite shares coming under heavy selling pressure due to the company's nosebleed valuation and recent weakness in retail sales as a whole, Shopify looks like a giant in the making. Aided by the pandemic, the gross merchandise value transacted on Shopify's platforms (as of the June-ended quarter) has grown by an annual average of 50% over the past three years. What's more, the company believes it has a $153 billion addressable market just with small businesses. This doesn't even factor in the inroads the company has made with larger companies.Innovation should also be key for Shopify's long-term outlook. The introduction of Shop Pay, a buy now, pay later service designed to help merchants serve more customers, should benefit nicely during long-winded periods of economic expansion.6. Ray Dalio: CVS HealthBridgewater Associates' billionaire money manager Ray Dalio has also been an active buyer. Dalio chose to pile into CVS Health (CVS -0.66%) as the market plunged. Bridgewater bought close to 1.94 million shares during the second quarter, which increased the fund's stake by 159% from the March-ended quarter.The beauty of healthcare stocks is that they're defensive. People can't control when they get sick, which means there's always demand for prescription drugs, medical devices, and healthcare services.On a more company-specific basis, CVS Health has benefited from its vertical integration. Its acquisition of health insurer Aetna in 2018 lifted its organic growth rate, provided ample cost synergies, and gave more than 20 million insured Aetna members a reason to stay within the CVS Health network.Additionally, CVS has been reaping the rewards of its HealthHUB health clinics. In the wake of the COVID-19 pandemic, consumers have demonstrated they're eager for quick solutions to minor illnesses and injuries, as well as supplemental care for chronic conditions. The roughly 1,500 HealthHUBs CVS operates are facilitating these interactions, which have the potential to boost customer loyalty and drive repeat visits.7. Jeff Yass: AmazonLast but not least, billionaire Jeff Yass of Susquehanna International has been buying FAANG stock Amazon as the market plunges. Susquehanna added close to 6.6 million shares of Amazon during the second quarter, which increased its stake to approximately 15.2 million shares.Although Amazon is best known for its dominant online marketplace, which is estimated to bring in 40% of U.S. retail sales in 2022, per eMarketer, it's the company's considerably higher-margin ancillary operations that make it such an ideal buy.For instance, Amazon's online marketplace has helped attract more than 200 million global Prime subscribers. With almost $35 billion in annual run-rate sales from subscription services, Amazon is able to divert plenty of capital to its fast-growing logistics network and other supercharged growth projects.However, Amazon's future is undeniably linked to cloud infrastructure segment Amazon Web Services (AWS). AWS brought in 31% of cloud spending during the second quarter, according to estimates from Canalys. More importantly, AWS is responsible for generating the bulk of Amazon's operating cash flow despite accounting for just a sixth of the company's net sales. As AWS grows into a larger percentage of total sales, Amazon's cash flow can soar.","news_type":1},"isVote":1,"tweetType":1,"viewCount":35,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"EN","totalScore":0},{"id":9995830839,"gmtCreate":1661438917124,"gmtModify":1676536518855,"author":{"id":"4117085301912742","authorId":"4117085301912742","name":"Hajime819","avatar":"https://community-static.tradeup.com/news/b67bb12f34c998d9fe11c932de89758b","crmLevel":3,"crmLevelSwitch":0,"followedFlag":false,"idStr":"4117085301912742","authorIdStr":"4117085301912742"},"themes":[],"htmlText":"Ok","listText":"Ok","text":"Ok","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":2,"commentSize":0,"repostSize":0,"link":"https://ttm.financial/post/9995830839","repostId":"1155224332","repostType":4,"repost":{"id":"1155224332","kind":"news","pubTimestamp":1661413530,"share":"https://ttm.financial/m/news/1155224332?lang=&edition=fundamental","pubTime":"2022-08-25 15:45","market":"us","language":"en","title":"Apple Stock: Is It Overvalued?","url":"https://stock-news.laohu8.com/highlight/detail?id=1155224332","media":"TheStreet","summary":"One of the main pillars of the bearish thesis on Apple stock is the rich valuation. But compared to ","content":"<html><head></head><body><p>One of the main pillars of the bearish thesis on Apple stock is the rich valuation. But compared to the peer group, maybe AAPL is not so pricey after all.</p><p><b>Apple</b> stock is considered a buy by the majority of analysts that cover the name. According to TipRanks, more than 80% of Wall Street experts think that owning shares is a good idea, while only one analyst has a sell rating on the stock.</p><p>Among skeptics, one of the main arguments against owning AAPL is the elevated P/E ratio. But a closer look at the peer comparison suggests that Apple stock may be more affordable than many seem to believe.</p><p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/43a857803961118aaec24d329afbb569\" tg-width=\"1240\" tg-height=\"827\" width=\"100%\" height=\"auto\"/><span>Figure 1: Is Apple Stock Overvalued? What The Peer Comparison Says</span></p><p><b>Apple’s valuations: fair, too rich, or a bargain?</b></p><p>The following graph probably explains why so many value investors are cautious about Apple stock today. Notice what has happened to AAPL’s price-to-earnings (or P/E) ratio over the past 10 years:</p><p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/0553c50e1e51280c4e0a5f50a0ab7313\" tg-width=\"1000\" tg-height=\"485\" width=\"100%\" height=\"auto\"/><span>Figure 2: Apple's valuation.</span></p><p>Starting a couple of years after the launch of the original iPad, Apple’s P/E fluctuated between 10 and 20 times for a few years. Then, beginning in 2019, the valuation multiple skyrocketed to as high as 44 times early last year, settling now to just below 30 times.</p><p>The multiple expansion happened for a few reasons, the most relevant of which was probably Apple’s business model shift to higher-margin and more predictable services. The post-iPhone X success of Apple’s smartphone segment, along with the company’s generous cash return policy, probably helped too.</p><p>But tech companies, especially those in high growth stages of their lifecycles or whose “moats” are considered wide, tend to command high P/Es. Take a look at the following table comparing some of Apple’s key valuation metrics with those of peers selected by Stock Rover:</p><p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/a113f08e69b46e338f58200da166c3f0\" tg-width=\"1002\" tg-height=\"278\" width=\"100%\" height=\"auto\"/><span>Figure 3: Apple peers key valuation metrics selected by Stock Rover.</span></p><p>Starting with P/E, in the sixth column, notice how AAPL’s 27.6 times is actually much lower than NVIDIA’s 46.1 and Adobe’s 40.1 times, for example. Part of the reason for AAPL’s more de-risked valuation is the growth profile: while the Cupertino company is expected to increase EPS by 6% next year, NVIDIA and Adobe should deliver growth of 17% instead.</p><p>The only companies on the list with substantially lower P/E vs. Apple are Intel and Cisco, possibly Broadcom. But considering these companies and their industries’ much less encouraging growth profile, it is understandable that these stocks would trade more cheaply.</p><p>Let’s look beyond P/E. On a price-to-FCF (free cash flow) basis, Apple’s 25.6 times multiple seems even cheaper compared to the peer group. Only Broadcom and Cisco, at about 16 times, look substantially more de-risked.</p><p>Apple’s cash flow-based valuation metrics look good because the Cupertino company is particularly competent at turning earnings into hard cash. Tight control of working capital and capex is probably what best supports the argument.</p><p>Lastly, notice how Apple looks quite overvalued on a price-to-book basis. A multiple of 46.1 times, in fact, is an eye sore compared to Salesforce.com’s 3.0 times and Intel’s 1.4 times.</p><p>But here, the metric is deceivingly distorted. Because Apple buys so many of its shares via stock buybacks, the company’s equity size has been shrinking quickly over the years – which is not a bad thing at all. Since equity is the denominator in the P/B ratio, the multiple understandably looks too rich, on the surface.</p><p><b>My views on AAPL’s valuation</b></p><p>I still believe that Apple’s valuations are far from being a bargain. But at the same time, once I look at the peer group comparison, I find it hard to side with the bears as well. To me, AAPL’s P/E is fair and consistent with the robust business fundamentals of the company.</p></body></html>","collect":0,"html":"<!DOCTYPE html>\n<html>\n<head>\n<meta http-equiv=\"Content-Type\" content=\"text/html; charset=utf-8\" />\n<meta name=\"viewport\" content=\"width=device-width,initial-scale=1.0,minimum-scale=1.0,maximum-scale=1.0,user-scalable=no\"/>\n<meta name=\"format-detection\" content=\"telephone=no,email=no,address=no\" />\n<title>Apple Stock: Is It Overvalued?</title>\n<style type=\"text/css\">\na,abbr,acronym,address,applet,article,aside,audio,b,big,blockquote,body,canvas,caption,center,cite,code,dd,del,details,dfn,div,dl,dt,\nem,embed,fieldset,figcaption,figure,footer,form,h1,h2,h3,h4,h5,h6,header,hgroup,html,i,iframe,img,ins,kbd,label,legend,li,mark,menu,nav,\nobject,ol,output,p,pre,q,ruby,s,samp,section,small,span,strike,strong,sub,summary,sup,table,tbody,td,tfoot,th,thead,time,tr,tt,u,ul,var,video{ font:inherit;margin:0;padding:0;vertical-align:baseline;border:0 }\nbody{ font-size:16px; line-height:1.5; color:#999; background:transparent; }\n.wrapper{ overflow:hidden;word-break:break-all;padding:10px; }\nh1,h2{ font-weight:normal; line-height:1.35; margin-bottom:.6em; }\nh3,h4,h5,h6{ line-height:1.35; margin-bottom:1em; }\nh1{ font-size:24px; }\nh2{ font-size:20px; }\nh3{ font-size:18px; }\nh4{ font-size:16px; }\nh5{ font-size:14px; }\nh6{ font-size:12px; }\np,ul,ol,blockquote,dl,table{ margin:1.2em 0; }\nul,ol{ margin-left:2em; }\nul{ list-style:disc; }\nol{ list-style:decimal; }\nli,li p{ margin:10px 0;}\nimg{ max-width:100%;display:block;margin:0 auto 1em; }\nblockquote{ color:#B5B2B1; border-left:3px solid #aaa; padding:1em; }\nstrong,b{font-weight:bold;}\nem,i{font-style:italic;}\ntable{ width:100%;border-collapse:collapse;border-spacing:1px;margin:1em 0;font-size:.9em; }\nth,td{ padding:5px;text-align:left;border:1px solid #aaa; }\nth{ font-weight:bold;background:#5d5d5d; }\n.symbol-link{font-weight:bold;}\n/* header{ border-bottom:1px solid #494756; } */\n.title{ margin:0 0 8px;line-height:1.3;color:#ddd; }\n.meta {color:#5e5c6d;font-size:13px;margin:0 0 .5em; }\na{text-decoration:none; color:#2a4b87;}\n.meta .head { display: inline-block; overflow: hidden}\n.head .h-thumb { width: 30px; height: 30px; margin: 0; padding: 0; border-radius: 50%; float: left;}\n.head .h-content { margin: 0; padding: 0 0 0 9px; float: left;}\n.head .h-name {font-size: 13px; color: #eee; margin: 0;}\n.head .h-time {font-size: 11px; color: #7E829C; margin: 0;line-height: 11px;}\n.small {font-size: 12.5px; display: inline-block; transform: scale(0.9); -webkit-transform: scale(0.9); transform-origin: left; -webkit-transform-origin: left;}\n.smaller {font-size: 12.5px; display: inline-block; transform: scale(0.8); -webkit-transform: scale(0.8); transform-origin: left; -webkit-transform-origin: left;}\n.bt-text {font-size: 12px;margin: 1.5em 0 0 0}\n.bt-text p {margin: 0}\n</style>\n</head>\n<body>\n<div class=\"wrapper\">\n<header>\n<h2 class=\"title\">\nApple Stock: Is It Overvalued?\n</h2>\n\n<h4 class=\"meta\">\n\n\n2022-08-25 15:45 GMT+8 <a href=https://www.thestreet.com/apple/stock/is-apple-stock-overvalued-what-the-peer-comparison-says><strong>TheStreet</strong></a>\n\n\n</h4>\n\n</header>\n<article>\n<div>\n<p>One of the main pillars of the bearish thesis on Apple stock is the rich valuation. But compared to the peer group, maybe AAPL is not so pricey after all.Apple stock is considered a buy by the ...</p>\n\n<a href=\"https://www.thestreet.com/apple/stock/is-apple-stock-overvalued-what-the-peer-comparison-says\">Web Link</a>\n\n</div>\n\n\n</article>\n</div>\n</body>\n</html>\n","type":0,"thumbnail":"","relate_stocks":{"AAPL":"苹果"},"source_url":"https://www.thestreet.com/apple/stock/is-apple-stock-overvalued-what-the-peer-comparison-says","is_english":true,"share_image_url":"https://static.laohu8.com/e9f99090a1c2ed51c021029395664489","article_id":"1155224332","content_text":"One of the main pillars of the bearish thesis on Apple stock is the rich valuation. But compared to the peer group, maybe AAPL is not so pricey after all.Apple stock is considered a buy by the majority of analysts that cover the name. According to TipRanks, more than 80% of Wall Street experts think that owning shares is a good idea, while only one analyst has a sell rating on the stock.Among skeptics, one of the main arguments against owning AAPL is the elevated P/E ratio. But a closer look at the peer comparison suggests that Apple stock may be more affordable than many seem to believe.Figure 1: Is Apple Stock Overvalued? What The Peer Comparison SaysApple’s valuations: fair, too rich, or a bargain?The following graph probably explains why so many value investors are cautious about Apple stock today. Notice what has happened to AAPL’s price-to-earnings (or P/E) ratio over the past 10 years:Figure 2: Apple's valuation.Starting a couple of years after the launch of the original iPad, Apple’s P/E fluctuated between 10 and 20 times for a few years. Then, beginning in 2019, the valuation multiple skyrocketed to as high as 44 times early last year, settling now to just below 30 times.The multiple expansion happened for a few reasons, the most relevant of which was probably Apple’s business model shift to higher-margin and more predictable services. The post-iPhone X success of Apple’s smartphone segment, along with the company’s generous cash return policy, probably helped too.But tech companies, especially those in high growth stages of their lifecycles or whose “moats” are considered wide, tend to command high P/Es. Take a look at the following table comparing some of Apple’s key valuation metrics with those of peers selected by Stock Rover:Figure 3: Apple peers key valuation metrics selected by Stock Rover.Starting with P/E, in the sixth column, notice how AAPL’s 27.6 times is actually much lower than NVIDIA’s 46.1 and Adobe’s 40.1 times, for example. Part of the reason for AAPL’s more de-risked valuation is the growth profile: while the Cupertino company is expected to increase EPS by 6% next year, NVIDIA and Adobe should deliver growth of 17% instead.The only companies on the list with substantially lower P/E vs. Apple are Intel and Cisco, possibly Broadcom. But considering these companies and their industries’ much less encouraging growth profile, it is understandable that these stocks would trade more cheaply.Let’s look beyond P/E. On a price-to-FCF (free cash flow) basis, Apple’s 25.6 times multiple seems even cheaper compared to the peer group. Only Broadcom and Cisco, at about 16 times, look substantially more de-risked.Apple’s cash flow-based valuation metrics look good because the Cupertino company is particularly competent at turning earnings into hard cash. Tight control of working capital and capex is probably what best supports the argument.Lastly, notice how Apple looks quite overvalued on a price-to-book basis. A multiple of 46.1 times, in fact, is an eye sore compared to Salesforce.com’s 3.0 times and Intel’s 1.4 times.But here, the metric is deceivingly distorted. Because Apple buys so many of its shares via stock buybacks, the company’s equity size has been shrinking quickly over the years – which is not a bad thing at all. Since equity is the denominator in the P/B ratio, the multiple understandably looks too rich, on the surface.My views on AAPL’s valuationI still believe that Apple’s valuations are far from being a bargain. But at the same time, once I look at the peer group comparison, I find it hard to side with the bears as well. To me, AAPL’s P/E is fair and consistent with the robust business fundamentals of the company.","news_type":1},"isVote":1,"tweetType":1,"viewCount":11,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"EN","totalScore":0},{"id":9996503555,"gmtCreate":1661182015978,"gmtModify":1676536469036,"author":{"id":"4117085301912742","authorId":"4117085301912742","name":"Hajime819","avatar":"https://community-static.tradeup.com/news/b67bb12f34c998d9fe11c932de89758b","crmLevel":3,"crmLevelSwitch":0,"followedFlag":false,"idStr":"4117085301912742","authorIdStr":"4117085301912742"},"themes":[],"htmlText":"Ok","listText":"Ok","text":"Ok","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":2,"commentSize":0,"repostSize":0,"link":"https://ttm.financial/post/9996503555","repostId":"1193710083","repostType":4,"repost":{"id":"1193710083","kind":"news","pubTimestamp":1661157878,"share":"https://ttm.financial/m/news/1193710083?lang=&edition=fundamental","pubTime":"2022-08-22 16:44","market":"us","language":"en","title":"How Option Prices Can Help Predict Future Stock Prices","url":"https://stock-news.laohu8.com/highlight/detail?id=1193710083","media":"StockNews","summary":"Using an implied volatility based methodolgy to better time the best time to sell the QQQ.shuttersto","content":"<html><head></head><body><p>Using an implied volatility based methodolgy to better time the best time to sell the QQQ.</p><p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/382ffd9f9f0fe50d305e3a87f41eef1d\" tg-width=\"675\" tg-height=\"380\" referrerpolicy=\"no-referrer\"/><span>shutterstock.com - StockNews</span></p><p>I highlighted last week some reasons why I thought stocks, and particularly QQQ, had finally formed a significant top in my latest commentary for POWR Options. One of the biggest reasons why the NASDAQ looks tired and toppy was complacency-which was reflected in the form of option prices.</p><p>Most of you are probably very familiar with the VIX-sometimes called the “Fear Index”. The VIX is a general measure of 30-day option prices on the S&P 500. It tends to spike when stock prices fall sharply and usually falls when stock prices rise.</p><p>VXN, or Vixen, is a similar measure of 30-day option prices using the NASDAQ 100 (QQQ) instead of the S&P 500 (SPY). Let’s take a look at how using the VXN as a market timing tool can help call significant short-term tops in the market. It is the equivalent of the Warren Buffett adage that says to “Be Fearful When Others Are Greedy.”</p><p>VXN sell signals are generated when VXN makes at least a 33% pullback from the previous high and then makes a reversal off the lows. Over the past 12 months there have been 6 such sell signals generated (highlighted in aqua on the chart below)</p><p><img src=\"https://static.tigerbbs.com/25f6afcb6b3bf3286f2be21e26d220a3\" tg-width=\"1870\" tg-height=\"921\" referrerpolicy=\"no-referrer\"/></p><p>Below is the same time period 1 year chart of the QQQ. Note how the bottoms in VXN correspond precisely with the tops in QQQ (highlighted in red) .</p><p><img src=\"https://static.tigerbbs.com/5af4d1834e97c6ad003e8fde0c9aab8a\" tg-width=\"1870\" tg-height=\"921\" referrerpolicy=\"no-referrer\"/></p><p>I put together a quick snapshot summary of the VXN based sell signal methodology over the past year shown in the table below.</p><p><img src=\"https://static.tigerbbs.com/71113db715db08930c7994ce57643370\" tg-width=\"1136\" tg-height=\"471\" referrerpolicy=\"no-referrer\"/></p><p>The average pullback over the past six sell signals has been just over 11%. It has taken about a month (29.83 days on average) for stocks to find a subsequent bottom after the sell signal was generated.</p><p>Just as importantly, the sell signals never really were too early or wrong in calling a short-term top. None of the prior six signals would have caused any subsequent angst by using the VXN methodology as a market timing tool. Indeed, only one of the signals had a minor unrealized loss after taking a short position in the QQQ. The other five were pretty much spot on in calling the top.</p><p>Using the VXN methodology means the market will tell you when it is time to act. This can be important as many time fundamental analysis and technical analysis can be way too early…which in this market environment makes it difficult to hang on to a losing position for too long.</p><p>That’s not to say that fundamentals and other factors aren’t important as confirming indicators to take a bearish stance.</p><p>Both valuations and seasonality are also pointing to the probabilities favoring a pullback.</p><p>The two biggest market cap stocks in the NASDAQ 100 (QQQ) are Apple (AAPL) and Microsoft (MSFT). Both reached the highest multiples on a Price/Sales basis over the past three months before softening. Plus having 2 trillion-dollar plus market cap companies trading at such lofty valuations seems extreme unto itself. Further upside seems limited at best.</p><p><img src=\"https://static.tigerbbs.com/8557da441cea424c21a1cd8a26f4970a\" tg-width=\"1088\" tg-height=\"451\" referrerpolicy=\"no-referrer\"/><img src=\"https://static.tigerbbs.com/9233f0d95638aff532f271087c4cf67d\" tg-width=\"1103\" tg-height=\"445\" referrerpolicy=\"no-referrer\"/></p><p>Seasonality supports the bearish argument as well.</p><p><img src=\"https://static.tigerbbs.com/58bfcb90c1290833b291c5e478c81d19\" tg-width=\"853\" tg-height=\"613\" referrerpolicy=\"no-referrer\"/></p><p>Over the past twelve years September has been the only down month for QQQ. Shares have shown gains less than half the time with an average loss of 1%. Every other month is positive on both performance and number of up months versus down months.</p><p>Comparative performance is also favoring a bigger pullback for QQQ versus SPY. Normally QQQ and SPY tend to be highly correlated. Over the past few months, however, QQQ has out-performed SPY to a large degree. Look for this correlation to revert back to the mean with QQQ beginning to under-perform to close that gap.</p><p><img src=\"https://static.tigerbbs.com/f5edd1d60d62394eb94a34bc2af40b83\" tg-width=\"1845\" tg-height=\"712\" referrerpolicy=\"no-referrer\"/></p><p>Comparative lows in the VXN also means option prices on the QQQ are comparatively cheap. This favors buying puts to take a defined risk short position. Exactly the type of strategy we use week-in and week-out in the POWR Options Portfolio.</p><p>So, traders looking to take a short position for the short-term would be best served buying puts versus shorting QQQ outright. Limited risk with potentially explosive returns. Plus an increase in implied volatility generally will be a benefit to the long put position as well.</p><p>Tim Biggam</p><p>QQQ shares closed at $322.86 on Friday, down $-6.42 (-1.95%). Year-to-date, QQQ has declined -18.59%, versus a -10.46% rise in the benchmark S&P 500 index during the same period.</p></body></html>","source":"lsy1661150310718","collect":0,"html":"<!DOCTYPE html>\n<html>\n<head>\n<meta http-equiv=\"Content-Type\" content=\"text/html; charset=utf-8\" />\n<meta name=\"viewport\" content=\"width=device-width,initial-scale=1.0,minimum-scale=1.0,maximum-scale=1.0,user-scalable=no\"/>\n<meta name=\"format-detection\" content=\"telephone=no,email=no,address=no\" />\n<title>How Option Prices Can Help Predict Future Stock Prices</title>\n<style type=\"text/css\">\na,abbr,acronym,address,applet,article,aside,audio,b,big,blockquote,body,canvas,caption,center,cite,code,dd,del,details,dfn,div,dl,dt,\nem,embed,fieldset,figcaption,figure,footer,form,h1,h2,h3,h4,h5,h6,header,hgroup,html,i,iframe,img,ins,kbd,label,legend,li,mark,menu,nav,\nobject,ol,output,p,pre,q,ruby,s,samp,section,small,span,strike,strong,sub,summary,sup,table,tbody,td,tfoot,th,thead,time,tr,tt,u,ul,var,video{ font:inherit;margin:0;padding:0;vertical-align:baseline;border:0 }\nbody{ font-size:16px; line-height:1.5; color:#999; background:transparent; }\n.wrapper{ overflow:hidden;word-break:break-all;padding:10px; }\nh1,h2{ font-weight:normal; line-height:1.35; margin-bottom:.6em; }\nh3,h4,h5,h6{ line-height:1.35; margin-bottom:1em; }\nh1{ font-size:24px; }\nh2{ font-size:20px; }\nh3{ font-size:18px; }\nh4{ font-size:16px; }\nh5{ font-size:14px; }\nh6{ font-size:12px; }\np,ul,ol,blockquote,dl,table{ margin:1.2em 0; }\nul,ol{ margin-left:2em; }\nul{ list-style:disc; }\nol{ list-style:decimal; }\nli,li p{ margin:10px 0;}\nimg{ max-width:100%;display:block;margin:0 auto 1em; }\nblockquote{ color:#B5B2B1; border-left:3px solid #aaa; padding:1em; }\nstrong,b{font-weight:bold;}\nem,i{font-style:italic;}\ntable{ width:100%;border-collapse:collapse;border-spacing:1px;margin:1em 0;font-size:.9em; }\nth,td{ padding:5px;text-align:left;border:1px solid #aaa; }\nth{ font-weight:bold;background:#5d5d5d; }\n.symbol-link{font-weight:bold;}\n/* header{ border-bottom:1px solid #494756; } */\n.title{ margin:0 0 8px;line-height:1.3;color:#ddd; }\n.meta {color:#5e5c6d;font-size:13px;margin:0 0 .5em; }\na{text-decoration:none; color:#2a4b87;}\n.meta .head { display: inline-block; overflow: hidden}\n.head .h-thumb { width: 30px; height: 30px; margin: 0; padding: 0; border-radius: 50%; float: left;}\n.head .h-content { margin: 0; padding: 0 0 0 9px; float: left;}\n.head .h-name {font-size: 13px; color: #eee; margin: 0;}\n.head .h-time {font-size: 11px; color: #7E829C; margin: 0;line-height: 11px;}\n.small {font-size: 12.5px; display: inline-block; transform: scale(0.9); -webkit-transform: scale(0.9); transform-origin: left; -webkit-transform-origin: left;}\n.smaller {font-size: 12.5px; display: inline-block; transform: scale(0.8); -webkit-transform: scale(0.8); transform-origin: left; -webkit-transform-origin: left;}\n.bt-text {font-size: 12px;margin: 1.5em 0 0 0}\n.bt-text p {margin: 0}\n</style>\n</head>\n<body>\n<div class=\"wrapper\">\n<header>\n<h2 class=\"title\">\nHow Option Prices Can Help Predict Future Stock Prices\n</h2>\n\n<h4 class=\"meta\">\n\n\n2022-08-22 16:44 GMT+8 <a href=https://stocknews.com/news/qqq-aapl-msft-vxn-vix-how-option-prices-can-help-predict-future-stock-prices/><strong>StockNews</strong></a>\n\n\n</h4>\n\n</header>\n<article>\n<div>\n<p>Using an implied volatility based methodolgy to better time the best time to sell the QQQ.shutterstock.com - StockNewsI highlighted last week some reasons why I thought stocks, and particularly QQQ, ...</p>\n\n<a href=\"https://stocknews.com/news/qqq-aapl-msft-vxn-vix-how-option-prices-can-help-predict-future-stock-prices/\">Web Link</a>\n\n</div>\n\n\n</article>\n</div>\n</body>\n</html>\n","type":0,"thumbnail":"","relate_stocks":{".IXIC":"NASDAQ Composite","QQQ":"纳指100ETF",".DJI":"道琼斯",".SPX":"S&P 500 Index"},"source_url":"https://stocknews.com/news/qqq-aapl-msft-vxn-vix-how-option-prices-can-help-predict-future-stock-prices/","is_english":true,"share_image_url":"https://static.laohu8.com/e9f99090a1c2ed51c021029395664489","article_id":"1193710083","content_text":"Using an implied volatility based methodolgy to better time the best time to sell the QQQ.shutterstock.com - StockNewsI highlighted last week some reasons why I thought stocks, and particularly QQQ, had finally formed a significant top in my latest commentary for POWR Options. One of the biggest reasons why the NASDAQ looks tired and toppy was complacency-which was reflected in the form of option prices.Most of you are probably very familiar with the VIX-sometimes called the “Fear Index”. The VIX is a general measure of 30-day option prices on the S&P 500. It tends to spike when stock prices fall sharply and usually falls when stock prices rise.VXN, or Vixen, is a similar measure of 30-day option prices using the NASDAQ 100 (QQQ) instead of the S&P 500 (SPY). Let’s take a look at how using the VXN as a market timing tool can help call significant short-term tops in the market. It is the equivalent of the Warren Buffett adage that says to “Be Fearful When Others Are Greedy.”VXN sell signals are generated when VXN makes at least a 33% pullback from the previous high and then makes a reversal off the lows. Over the past 12 months there have been 6 such sell signals generated (highlighted in aqua on the chart below)Below is the same time period 1 year chart of the QQQ. Note how the bottoms in VXN correspond precisely with the tops in QQQ (highlighted in red) .I put together a quick snapshot summary of the VXN based sell signal methodology over the past year shown in the table below.The average pullback over the past six sell signals has been just over 11%. It has taken about a month (29.83 days on average) for stocks to find a subsequent bottom after the sell signal was generated.Just as importantly, the sell signals never really were too early or wrong in calling a short-term top. None of the prior six signals would have caused any subsequent angst by using the VXN methodology as a market timing tool. Indeed, only one of the signals had a minor unrealized loss after taking a short position in the QQQ. The other five were pretty much spot on in calling the top.Using the VXN methodology means the market will tell you when it is time to act. This can be important as many time fundamental analysis and technical analysis can be way too early…which in this market environment makes it difficult to hang on to a losing position for too long.That’s not to say that fundamentals and other factors aren’t important as confirming indicators to take a bearish stance.Both valuations and seasonality are also pointing to the probabilities favoring a pullback.The two biggest market cap stocks in the NASDAQ 100 (QQQ) are Apple (AAPL) and Microsoft (MSFT). Both reached the highest multiples on a Price/Sales basis over the past three months before softening. Plus having 2 trillion-dollar plus market cap companies trading at such lofty valuations seems extreme unto itself. Further upside seems limited at best.Seasonality supports the bearish argument as well.Over the past twelve years September has been the only down month for QQQ. Shares have shown gains less than half the time with an average loss of 1%. Every other month is positive on both performance and number of up months versus down months.Comparative performance is also favoring a bigger pullback for QQQ versus SPY. Normally QQQ and SPY tend to be highly correlated. Over the past few months, however, QQQ has out-performed SPY to a large degree. Look for this correlation to revert back to the mean with QQQ beginning to under-perform to close that gap.Comparative lows in the VXN also means option prices on the QQQ are comparatively cheap. This favors buying puts to take a defined risk short position. Exactly the type of strategy we use week-in and week-out in the POWR Options Portfolio.So, traders looking to take a short position for the short-term would be best served buying puts versus shorting QQQ outright. Limited risk with potentially explosive returns. Plus an increase in implied volatility generally will be a benefit to the long put position as well.Tim BiggamQQQ shares closed at $322.86 on Friday, down $-6.42 (-1.95%). Year-to-date, QQQ has declined -18.59%, versus a -10.46% rise in the benchmark S&P 500 index during the same period.","news_type":1},"isVote":1,"tweetType":1,"viewCount":30,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"EN","totalScore":0},{"id":9998159360,"gmtCreate":1660958517351,"gmtModify":1676536429902,"author":{"id":"4117085301912742","authorId":"4117085301912742","name":"Hajime819","avatar":"https://community-static.tradeup.com/news/b67bb12f34c998d9fe11c932de89758b","crmLevel":3,"crmLevelSwitch":0,"followedFlag":false,"idStr":"4117085301912742","authorIdStr":"4117085301912742"},"themes":[],"htmlText":"<a href=\"https://ttm.financial/S/SPY\">$SPDR S&P 500 ETF Trust(SPY)$</a>[Smile] ","listText":"<a href=\"https://ttm.financial/S/SPY\">$SPDR S&P 500 ETF Trust(SPY)$</a>[Smile] ","text":"$SPDR S&P 500 ETF Trust(SPY)$[Smile]","images":[{"img":"https://community-static.tradeup.com/news/90abfdd974f810296444cf985c742a59","width":"828","height":"1632"}],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":2,"commentSize":0,"repostSize":0,"link":"https://ttm.financial/post/9998159360","isVote":1,"tweetType":1,"viewCount":38,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":1,"langContent":"EN","totalScore":0},{"id":9999584859,"gmtCreate":1660553531673,"gmtModify":1676534342537,"author":{"id":"4117085301912742","authorId":"4117085301912742","name":"Hajime819","avatar":"https://community-static.tradeup.com/news/b67bb12f34c998d9fe11c932de89758b","crmLevel":3,"crmLevelSwitch":0,"followedFlag":false,"idStr":"4117085301912742","authorIdStr":"4117085301912742"},"themes":[],"htmlText":"<a href=\"https://ttm.financial/S/TDOC\">$Teladoc Health Inc.(TDOC)$</a>[Glance] ","listText":"<a href=\"https://ttm.financial/S/TDOC\">$Teladoc Health Inc.(TDOC)$</a>[Glance] ","text":"$Teladoc Health Inc.(TDOC)$[Glance]","images":[{"img":"https://community-static.tradeup.com/news/4d9805aad95e80063bcfd2a0e4c743ce","width":"828","height":"2005"}],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":2,"commentSize":0,"repostSize":0,"link":"https://ttm.financial/post/9999584859","isVote":1,"tweetType":1,"viewCount":96,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":1,"langContent":"EN","totalScore":0},{"id":9907491992,"gmtCreate":1660228337318,"gmtModify":1703496466361,"author":{"id":"4117085301912742","authorId":"4117085301912742","name":"Hajime819","avatar":"https://community-static.tradeup.com/news/b67bb12f34c998d9fe11c932de89758b","crmLevel":3,"crmLevelSwitch":0,"followedFlag":false,"idStr":"4117085301912742","authorIdStr":"4117085301912742"},"themes":[],"htmlText":"<a href=\"https://ttm.financial/S/TDOC\">$Teladoc Health Inc.(TDOC)$</a>[Surprised] ","listText":"<a href=\"https://ttm.financial/S/TDOC\">$Teladoc Health Inc.(TDOC)$</a>[Surprised] ","text":"$Teladoc Health Inc.(TDOC)$[Surprised]","images":[{"img":"https://community-static.tradeup.com/news/6901f6cd8462bba85f5a0b97c8f94d45","width":"828","height":"1632"}],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":2,"commentSize":0,"repostSize":0,"link":"https://ttm.financial/post/9907491992","isVote":1,"tweetType":1,"viewCount":59,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":1,"langContent":"EN","totalScore":0},{"id":9901379610,"gmtCreate":1659143287630,"gmtModify":1676536263707,"author":{"id":"4117085301912742","authorId":"4117085301912742","name":"Hajime819","avatar":"https://community-static.tradeup.com/news/b67bb12f34c998d9fe11c932de89758b","crmLevel":3,"crmLevelSwitch":0,"followedFlag":false,"idStr":"4117085301912742","authorIdStr":"4117085301912742"},"themes":[],"htmlText":"<a href=\"https://ttm.financial/S/SPYG\">$SPDR Portfolio S&P 500 Growth ETF(SPYG)$</a>Good ","listText":"<a href=\"https://ttm.financial/S/SPYG\">$SPDR Portfolio S&P 500 Growth ETF(SPYG)$</a>Good ","text":"$SPDR Portfolio S&P 500 Growth ETF(SPYG)$Good","images":[{"img":"https://community-static.tradeup.com/news/4710d751360af7b089e86af4260a7996","width":"828","height":"1792"}],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":2,"commentSize":0,"repostSize":0,"link":"https://ttm.financial/post/9901379610","isVote":1,"tweetType":1,"viewCount":33,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":1,"langContent":"EN","totalScore":0},{"id":254516520972568,"gmtCreate":1703174478460,"gmtModify":1703174482602,"author":{"id":"4117085301912742","authorId":"4117085301912742","name":"Hajime819","avatar":"https://community-static.tradeup.com/news/b67bb12f34c998d9fe11c932de89758b","crmLevel":3,"crmLevelSwitch":0,"followedFlag":false,"idStr":"4117085301912742","authorIdStr":"4117085301912742"},"themes":[],"htmlText":"Good game! 😊😊😊😊😊😊😊😊😊😊😊😊😊😊😊","listText":"Good game! 😊😊😊😊😊😊😊😊😊😊😊😊😊😊😊","text":"Good game! 😊😊😊😊😊😊😊😊😊😊😊😊😊😊😊","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":1,"commentSize":0,"repostSize":0,"link":"https://ttm.financial/post/254516520972568","isVote":1,"tweetType":1,"viewCount":61,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"EN","totalScore":0},{"id":9946324866,"gmtCreate":1680871775755,"gmtModify":1680871779680,"author":{"id":"4117085301912742","authorId":"4117085301912742","name":"Hajime819","avatar":"https://community-static.tradeup.com/news/b67bb12f34c998d9fe11c932de89758b","crmLevel":3,"crmLevelSwitch":0,"followedFlag":false,"idStr":"4117085301912742","authorIdStr":"4117085301912742"},"themes":[],"htmlText":"Good game, let's join and get rewards [Happy] ","listText":"Good game, let's join and get rewards [Happy] ","text":"Good game, let's join and get rewards [Happy]","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":1,"commentSize":0,"repostSize":0,"link":"https://ttm.financial/post/9946324866","isVote":1,"tweetType":1,"viewCount":140,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"EN","totalScore":0},{"id":9948729587,"gmtCreate":1680795112250,"gmtModify":1680795115841,"author":{"id":"4117085301912742","authorId":"4117085301912742","name":"Hajime819","avatar":"https://community-static.tradeup.com/news/b67bb12f34c998d9fe11c932de89758b","crmLevel":3,"crmLevelSwitch":0,"followedFlag":false,"idStr":"4117085301912742","authorIdStr":"4117085301912742"},"themes":[],"htmlText":"Let's join the game!","listText":"Let's join the game!","text":"Let's join the game!","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":1,"commentSize":0,"repostSize":0,"link":"https://ttm.financial/post/9948729587","isVote":1,"tweetType":1,"viewCount":73,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"EN","totalScore":0},{"id":9948720290,"gmtCreate":1680794979810,"gmtModify":1680794983801,"author":{"id":"4117085301912742","authorId":"4117085301912742","name":"Hajime819","avatar":"https://community-static.tradeup.com/news/b67bb12f34c998d9fe11c932de89758b","crmLevel":3,"crmLevelSwitch":0,"followedFlag":false,"idStr":"4117085301912742","authorIdStr":"4117085301912742"},"themes":[],"htmlText":"Great game! Join asap!!","listText":"Great game! Join asap!!","text":"Great game! Join asap!!","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":1,"commentSize":0,"repostSize":0,"link":"https://ttm.financial/post/9948720290","isVote":1,"tweetType":1,"viewCount":19,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"EN","totalScore":0}],"lives":[]}