🚨Major catalysts this week — Share your game plan!
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Markets are heating up — and we want to know what you think.
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Weekly Five Key Areas: Earnings, Macro, Singapore Stocks, Options, Futures
Covering five major market segments this week to help you stay ahead of market trends and plan your trades effectively!
U.S. stocks ended mixed last week. Large-cap tech names led gains on AI optimism, lifting the Nasdaq. Market breadth was narrow as the S&P 500 rose even though most sectors fell, while an equal-weighted index underperformed. Nvidia’s market cap briefly surpassed USD 5 trillion.
Earnings season stayed in focus, with over one-third of S&P 500 firms reporting. About 83% beat forecasts. Reactions to the “Magnificent Seven” were mixed — Microsoft, Apple, and Meta fell after results, while Amazon, Alphabet rose.
The Fed cut rates by 25 bps to 3.75%–4.00%, with officials split on next steps. Powell said another cut in December “is not a foregone conclusion.” Treasury yields climbed on his hawkish tone, while credit markets weakened.
The week ahead: November 3-7
📌【Today’s Question】
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美聯儲降息25個基點至3.75%-4.00%,官員們對下一步措施存在分歧。鮑威爾表示,12月再次降息“並非定局”。美國國債收益率因他的鷹派基調而攀升,而信貸市場則走軟。
Tape is stretched, breadth is thin, and short-term upside appears crowded. A controlled, risk-defined short-vol posture captures premium without naked upside risk.
Example (illustrative only):
Sell SPY call +3% above spot, buy call +5% above spot, expiry ~10 days.
This monetises mean-reversion probability while capping loss if a breakout surprises.
Risk triggers: if SPY closes > short strike → reduce / roll up immediately.
This is a premium-harvest stance — not a top-call.
Catalyst heat is high; conviction chase is low.
Not advice — adjust sizing to risk tolerance.