Crypto Chaos and Tech Titans: Risky Stocks to Watch in 2025
The stock market in July 2025 is a high-stakes arena, with risky stocks like Coinbase ( $Coinbase Global, Inc.(COIN)$ ), Palantir ( $Palantir Technologies Inc.(PLTR)$ ), and Tesla ( $Tesla Motors(TSLA)$ ) stealing the spotlight amid groundbreaking developments and volatile market conditions. Bitcoin’s surge past $110,000, AI-driven growth, and electric vehicle (EV) innovations are fueling these stocks, but high valuations, regulatory uncertainties, and geopolitical tensions create a minefield for investors. The S&P 500’s recent dip to 6,135 and potential 5-10% pullback to 5,800-6,000 underscore the need for caution. This report explores the latest market-movi
$QAF(Q01.SI)$ 5th July 2025: 1st Half of 2025 expect to report a significant fall in Net profit. Chart wise, the classical way for being pumped and dumped scenario. The price collapsed from 91.5 cents to close at 86 cents. It went down to touch 84 cents before bargain hunters coming in to support. Few days before the releasing of this profit guidance saw company director bought some share. Is this a way to push up the price to cushion the impact of the price falling. I think SGX should investigate! If 84 cents cannot hold, Next, she may go down to test 82 than 80 cents. PLS DYODD. Q8 August 2024: QAF - 1st Half Results is out! NET Profit is up 150 percent 12.4m versus 4.9m last year! Gross Revenue is up 3 percent to 309m versus 301m
📉 $CRCL: Is Sub-$100 Fair Value Realistic? Or Just Fear Talking?
$Circle Internet Corp.(CRCL)$ Circle ($CRCL) is under heavy fire after Goldman Sachs slapped a $83 PT, citing structural pressure from falling interest rates. With $USDC revenue pegged to yield spreads, the logic is simple: as rates fall, so do returns on reserves. But let's take a trader's view — not just a macro theorist's. 🔍 What's weighing on Circle: 🏦 Lower Fed rates = lower yield on Circle’s $30B+ reserves 🧊 No clear moat: Competition from PayPal stablecoin, CBDCs, and on-chain treasuries ⚖️ Regulatory limbo: Stablecoin Act delayed = less clarity = less inflow 🚀 But here's the bull case: 🔁 Return of risk-on sentiment as BTC reclaims $65k 🔐 Circle's partnerships with Visa, Coinbase, BlackRock still in place 🪙 If stablecoin adoption jum
“Big Ugly Bill”: What It Means for the Economy, Stock Market, and Key Industrie
$S&P 500(.SPX)$ In what could be one of the most consequential pieces of U.S. legislation in years, the so-called “Big Beautiful Bill” passed through Congress this week and is headed to the president’s desk for signature. The bill—championed by President Donald Trump—promises sweeping economic changes with wide-ranging implications for U.S. consumers, corporations, and investors. While some pundits are already calling it a historic milestone, others warn of potential unintended consequences. For market participants, the question now is clear: What does the Big Beautiful Bill mean for the economy, the stock market, and key industries? Let’s unpack the legislation, analyze the implications for growth, inflation, monetary policy, and earnings, an
🚀 $NVIDIA(NVDA)$ at $3.98 Trillion: Bubble Brewing or Backbone of the AI Economy? In just over a year, Nvidia has added more to its market cap than most tech giants have ever been worth. With its share price now sitting at US$129 and market value approaching a jaw-dropping US$3.98 trillion, investors are split: is this AI-fueled rally overheating, or is Nvidia just getting started? 🤖 Let’s break it down — fundamentals, risks, and strategy — to help make sense of the momentum behind the world’s most important chipmaker. 💡 Investment Thesis I’m cautiously optimistic on Nvidia. The numbers are phenomenal — no question — but the valuation premium leaves little room for error. This post argues that while Nvidia is still structurally strong a
📌 My Top 3 Watchlist Stocks for 2H 2025 — Quality, Growth, and One Dark Horse As Q3 kicks off, volatility is back — but so are opportunities hiding in plain sight. The AI wave has matured, energy themes are rotating, and tech isn’t the only game in town anymore. In this environment, I’m leaning into fundamentals, macro-aligned sectors, and one surprisingly overlooked player. Here are the three stocks I’m watching closest this July — a blend of scale, momentum, and strategic inflection. Let’s dive in. 1. $NVIDIA(NVDA)$ – Still the AI Infrastructure Backbone 🤖 Yes, it's already up massively — but Nvidia remains a stock I can’t afford to ignore. Despite a forward P/E near 74, its Q1 FY25 revenue of US$26 billion and 86% share from the data
Tech Titans and Crypto Kings: Stocks Poised to Shape the Future
The stock market in July 2025 is a hotbed of opportunity, with tech and crypto stocks stealing the spotlight amid groundbreaking innovations and seismic shifts. Nvidia’s AI dominance, Circle’s stablecoin surge, and Tesla’s Robotaxi ambitions are driving headlines, while geopolitical tensions and regulatory uncertainties keep investors on edge. The S&P 500’s recent dip to 6,135 and potential 5-10% pullback to 5,800-6,000 signal volatility, but selective bets on future-focused stocks could yield big rewards. This report explores the latest market-moving news, highlights top stocks to watch, and outlines strategic investment approaches to capitalize on 2025’s biggest trends. Market Landscape: Innovation Meets Volatility The market is navigating a complex backdrop: AI Revolution: JPMorgan’
$Strategy(MSTR)$$CME Bitcoin - main 2507(BTCmain)$$MICROSTRATEGY 8.00% SERIES A PERPETUAL STRIKE PFD(STRK)$ 🤖🚀📈 Bitcoin’s Power Play: Why I’m Riding the MicroStrategy Breakout Toward $543 📈🚀🤖 The return of Bitcoin above $110K hasn’t just reignited digital assets; it’s thrown high-octane fuel on the stocks that hold it. I’m not here to speculate on memes or passive ETF flows, I’m positioning for amplified upside. That’s why I’ve zeroed in on MicroStrategy ($MSTR). It isn’t just a proxy for Bitcoin; it’s Bitcoin with a balance sheet, a leveraged treasury, and a technical setup that demands attention. 📊 MicroStrategy: Breakout Setup with Technical Tailwinds I
$Tesla Motors(TSLA)$$T-REX 2X INVERSE TESLA DAILY TARGET ETF(TSLZ)$$Direxion Daily TSLA Bull 2X Shares(TSLL)$ 📉🚗🗳️ Musk’s New Party, Tesla’s Old Volatility: A 2025 Inflection Point for $TSLA 🗳️🚗📉 When the world’s richest man declares political war on the most powerful man in the U.S., traders don’t just watch; they hedge. Elon Musk’s formation of the “America Party” and his break from Trump over the controversial “big, beautiful” tax bill isn’t just political theatre. For Tesla investors, it’s a live-fire test of how narrative, capital, and political risk collide. As of the latest post-market close, $TSLA sits at $312.70, down -0.84% on the day. But that barely
$Oscar Health, Inc.(OSCR)$$Centene(CNC)$$UnitedHealth(UNH)$ 💹⚕️🌀 A thick knot of volume has curled around $16 to $17, and price just pulled back into that nest. I’m seeing echoes of the March liftoff. The rhythm feels familiar; if history rhymes again, the next stanza could be punchy. ⚕️🔥🚀 Oscar’s Echo Trade, Rhymes and Rallies in the Health Lane 🎯💥🌟 This setup isn’t just about momentum. It’s about the structure, the sentiment unwind, and the shape of what’s been left behind after the recent +100% rally. Here’s the full diagnostic. 📰 Fundamental Health Check Total revenue rose to $3.05 billion in Q1 2025, up 64% year on year. The medical loss ratio eased to 75.4%
🚀 CRWV Surges 8% on GB300 Launch — Is This Nvidia's Best Kept Secret? While $NVIDIA(NVDA)$ grabs the spotlight with every chip drop, it's the enablers quietly gaining ground. Case in point: CRWV jumped 8% Thursday after launching a new AI cloud platform powered by Nvidia’s GB300 — in partnership with Dell. So… is this a breakout worth chasing? Or just another flash in the AI hype pan? $CoreWeave, Inc.(CRWV)$ Explained in Plain English 🧠 CRWV isn’t trying to out-chip Nvidia or out-hardware Dell. Instead, it’s positioning itself as a “compute arms dealer” — offering cloud access to cutting-edge AI systems for businesses that want the power but not the o
TSMC: The Silent Architect Behind the AI Supercycle
The chipmaker fuelling the AI boom—quietly, precisely, and profitably. When I think about the AI revolution, I’m less interested in the splashy names and more intrigued by who’s quietly powering the party behind the curtain. Everyone knows Nvidia’s dominance in the world of AI chips. But fewer realise that without $Taiwan Semiconductor Manufacturing(TSM)$, or TSMC, even Nvidia’s most advanced silicon would remain just a clever design on paper. That, in my view, is what makes TSMC one of the most strategically essential companies in the global AI stack—and a long-term compounder worth serious investor attention. Let’s not kid ourselves. This is no high-flying moonshot stock promising future greatness. This is a behemoth worth $1.218 trillion, with d
🔥 Stocks to Watch on July 7, 2025: Your Ticket to Big Gains!
The market is buzzing with action on July 7, 2025, as global events, earnings reports, and sector shifts create a playground for traders and investors. From crypto stocks riding Bitcoin’s $110,000 wave to defensive plays gaining traction, today offers a mix of high-octane opportunities and safe bets. Let’s dive into the key news, pinpoint the stocks to watch, and lay out trading strategies to maximize your profits. Market Movers: What’s Driving the Action? Crypto Surge: Bitcoin’s breakout above $110,000 is fueling a rally in crypto-related stocks, with premarket gains signaling strong momentum. Geopolitical Tensions: The Israel-Iran conflict, pushing oil prices to $75 per barrel, is boosting energy and defense stocks while pressuring tech and consumer sectors. Earnings Buzz: Early Q2 earni
$Tiger Brokers(TIGR)$ One word to describe my first half year trade? Learning... As posted previously, I have embarked on my options learning journey not long ago, with the help of 🐯 learning materials and platform. I started with selling put options, collecting relatively safe premiums. However, one very big problem for me is that my investing amount would be locked out during this duration while waiting for the option expiry dates. The problem arises because of my limited funds that I have allocated for this learning journey. That is when I started exploring buying calls and puts. What I discovered has been a totally different world compared to sell puts. Since I am now paying instead of "earning" premiums, the "safety" trades have been replace
Options puppy 2nd S’pore holding update Keppel dc reit
Jpy latest update for Keppel DC REIT (AJBU.SI) with consolidated Q1 updates: ⸻ 📊 Q1 2025 Earnings & Distributable Income • Revenue up 22.6% YoY to S$102.2 M • Net Property Income (NPI) rose 24.1% YoY to S$88.1 M • Boosted by contributions from SGP DC7, DC8, Tokyo DC1 and positive rental reversions (+7%)  • Distributable income surged 59.4% YoY to S$61.8 M, fueling higher payouts  Summary Table: Q1 2025 vs Q1 2024 Metric Q1 2025 YoY Change Revenue S$102.2 M +22.6% NPI S$88.1 M +24.1% Distributable Income S$61.8 M +59.4% DPU 2.503 ¢ +14.2% ⸻ 🧾 Distribution Per Unit (DPU) & Dividend Payouts in 2025 Keppel DC REIT has adopted a quarterly distribution cycle. Here’s the recent breakdown for FY 2025: • Period: 1 Jan – 30 Jun 2024 • Total DPU: 4.549 ¢, paid on 23 Sep 2024   • Per
$Tiger Brokers(TIGR)$ When markets close, many investors and market participants use the time strategically rather than idly. Depending on one’s goals and commitments, here are a few productive and balanced approaches that could be taken: 1. Review and Reflect Post-market review: Analyse the day’s performance—both personal trades and market movers. Journal: Document what worked, what didn’t, and identify patterns in behaviour or market responses. 2. Planning Ahead Set alerts and entry points: Use after-hours time to plan trades or investments based on upcoming economic data, earnings reports, or technical levels. Sector rotation study: Research which sectors may lead or lag based on current macroeconomic trends. 3. Continuous Learning Read financ
$Tiger Brokers(TIGR)$ As we move into the second half (H2) of the year, the outlook appears cautiously optimistic, albeit with nuanced undercurrents that call for both vigilance and adaptability. Here's a structured perspective on how H2 may shape up and how one might consider positioning: --- 🔍 Market Outlook: H2 2025 1. Macroeconomic Environment Interest Rates: If the Fed signals cuts or holds steady, risk assets may continue to rally. However, sticky inflation or renewed geopolitical shocks could delay easing. Growth Trajectory: Signs of a soft landing or mild reacceleration in the US, combined with selective global recovery (e.g., Asia ex-China), could support equities. Earnings: After a strong Q1/Q2, expectations for earnings growth in Q3/Q4