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01-26

Can SAP Sustain Momentum Following +2% Rally?

$SAP SE(SAP)$ SAP SE(SAP) Rallies +2.09%: Software Giant Rebounds from Support, Eyes $235 Breakout πŸ“ˆ Latest Close Data Closed at $231.07 on 2026-01-26, up +2.09% (+$4.72). The stock is ~26.2% below its 52-week high of $313.28. Core Market Drivers The rebound follows a sharp -3.65% drop earlier in the week, highlighting continued volatility. Positive sentiment is supported by the company's strategic moves, including its venture capital arm investing in AI voice leader Deepgram, reinforcing its focus on next-gen tech. Technical Analysis Volume was active at 4.05M shares (Volume Ratio: 1.54). The RSI(6) at 41.46 has bounced from oversold territory (<30), indicating recovering momentum. However, MACD remains negative (DIF: -4.28, DEA: -2.81), signal
Can SAP Sustain Momentum Following +2% Rally?
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01-26

IBM Consolidates Near $292 Ahead of Q4 Earnings

$IBM(IBM)$ IBM Consolidated Near $292: Technicals Await Q4 Earnings Catalyst 🧐 πŸ“Š Latest Close Data Closed at $292.44 (-0.76%) on Jan 26, 2026, about $32.46 (-9.1%) from its 52-week high of $324.90. πŸš€ Core Market Drivers The market is in a holding pattern ahead of IBM's Q4 FY2025 earnings report scheduled for Jan 28. Recent analyst activity has been bullish, with RBC Capital raising its target to $350 and Evercore ISI adding IBM to its tactical overweight list, highlighting confidence in its high-margin software transition and AI initiatives like the Watsonx platform. πŸ“ˆ Technical Analysis Volume was light at 3.3M shares (Volume Ratio 0.60), indicating consolidation. The MACD histogram is deeply negative at -2.11, signaling bearish momentum persists
IBM Consolidates Near $292 Ahead of Q4 Earnings
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01-26

Oversold Momentum Pushes MA Toward $524 Zone

$MasterCard(MA)$ Mastercard (MA) Retreated -1.52%: Testing Key Support Ahead of Q4 Earnings πŸ“‰ Latest Close Data: Closed at $524.74 (USD) on Jan 26, down -1.52% (-$8.12). The stock is now 12.8% below its 52-week high of $601.77. πŸš€ Core Market Drivers: All eyes are on the upcoming Q4 2025 earnings report (Jan 29). Despite recent headwinds like potential credit card rate caps and regulatory challenges in the UK, J.P. Morgan reiterated an "Overweight" rating with a $685 target, citing resilient fundamentals. The stock is also a key beneficiary of the global shift to digital/contactless payments (e.g., NYC's OMNY system). πŸ“Š Technical Analysis: The daily RSI(6) at 20.46 indicates the stock is in oversold territory, suggesting a potential short-term bounce
Oversold Momentum Pushes MA Toward $524 Zone
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01-26

Danaher Tests Support Before Q4, $261 in Sight

$Danaher(DHR)$ Danaher Corp(DHR) Retreats -2.11%: Key Support Test Ahead of Earnings, Eyes $261 Target πŸ“ˆ Latest Close Data Closed at $235.01 (Jan 26), down -2.11%. Currently ~9% below its 52-week high of $258.23. πŸš€ Core Market Drivers Earnings Anticipation: The stock pulled back ahead of its Q4/FY25 earnings report scheduled for Jan 28. Management had previously guided for results at the high end of expectations. Sector M&A Buzz: News of potential sale talks at peer Qiagen (QGEN) stirred the life sciences sector, reminding investors of the ongoing industry consolidation where Danaher is a key player. πŸ“Š Technical Analysis Volume: 3.07M shares traded, with a volume ratio of 0.80, indicating subdued activity. MACD: Latest reading is -0.36, with DI
Danaher Tests Support Before Q4, $261 in Sight
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01-26

Visa Holds $326 Support Ahead of Earnings

$Visa(V)$ Visa (V) Tests Support at $326: Consolidation Before Earnings, Eyes on $345 Resistance πŸ“Š Latest Close Data πŸ”΅ Closed at $326.18 on 2026-01-26, down -0.06%. Trading near the lower end of its recent range, ~13.1% below its 52-week high of $375.51. Core Market Drivers πŸ“° Regulatory Headwinds: Lingering market concerns over former President Trump's proposal to cap credit card interest rates at 10%. Strategic Expansion: Positive catalysts include the integration of Visa cards into Apple Pay for mainland China users and ongoing initiatives to integrate stablecoins into its payment network. Earnings Anticipation: The company is set to report Q4 earnings after the close on Thursday, Jan 29, with JPMorgan reiterating an Overweight rating and a $430 ta
Visa Holds $326 Support Ahead of Earnings
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01-26

HON Tests $223 Resistance as Investors Eye Q4 Report

$Honeywell(HON)$ Honeywell (HON) Tests $223 Resistance: Earnings Loom as Key Pivot πŸ“Š Latest Close Data As of 01/26/2026 (ET), HON closed at $221.46, down -0.49% (-$1.08). The stock is trading -8.4% below its 52-week high of $241.72. πŸ’‘ Core Market Drivers Investor focus is intensely on the upcoming Q4 earnings report (scheduled for 01/29). Recent news includes the resolution of the $470M Flexjet legal dispute, removing a major overhang, and a bullish target price hike from JPMorgan to $255. The company's "physical AI" initiatives and continued investment in China signal long-term growth strategies. πŸ“ˆ Technical Analysis Volume was light at 3.82M shares (Volume Ratio 0.59), indicating consolidation before earnings. The MACD remains bullish with DIF (6
HON Tests $223 Resistance as Investors Eye Q4 Report
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01-26

APH Consolidates Near All-Time Highs as Earnings Loom

$Amphenol(APH)$ Amphenol Corp. (APH) Tests $151 Resistance After 0.99% Dip, Consolidation Phase Intact πŸ”„ πŸ“ˆ Latest Close Data (2026-01-26) Close: $150.99 (USD) Change: -$1.51 (-0.99%) Distance to 52-Week High ($157.54): -4.2% ⚑ Core Market Drivers The stock is consolidating near its all-time highs after a massive run-up in 2025, partly driven by the AI/data center infrastructure boom where Amphenol is a key "picks and shovels" play πŸ—οΈ. Upcoming Q4 earnings are a key catalyst. Consensus estimates project robust YoY growth (Revenue +39.8%, EPS +59.0%), which could reignite momentum πŸ“Š. πŸ“Š Technical Analysis Volume: 7.33M shares, with a Volume Ratio of 0.78, indicating below-average participation in today's pullback, suggesting a lack of aggressive selli
APH Consolidates Near All-Time Highs as Earnings Loom
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01-26

Boeing Tests 52-Week High at $252 Amid Recovery Buzz

$Boeing(BA)$ Boeing (BA) Closes at $252.15: Testing 52-Week High as Recovery Narrative Gains Steam πŸ›« πŸ“Š Latest Close Data: Boeing closed at $252.15 on Jan 26, 2026, up +0.29%. The stock is now trading just -$1.99 (-0.8%) below its 52-week high of $254.14. πŸ’‘ Core Market Drivers: Investor confidence is rebounding as BA has officially erased all losses since the 2024 door plug incident. Key catalysts include: 1) Strong 2025 orders, surpassing Airbus for the first time since 2018; 2) Growing confidence in delivery timelines (e.g., Ryanair's positive outlook); 3) Anticipation of the company's first annual profit in seven years by 2026. πŸ” Technical Analysis: The daily RSI(6) is at a very high 89.76, signaling overbought conditions and potential for a near-
Boeing Tests 52-Week High at $252 Amid Recovery Buzz
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01-26

KLAC Eyes $1580-1600 as Tech Momentum Builds

$KLA-Tencor(KLAC)$ KLA Corp (KLAC) Edges Higher +0.85%: Tech Giant Holds Firm Above $1500 Ahead of Earnings πŸš€ Latest Close Data πŸ“Š Closed at $1512.78 on 2026-01-26, up +0.85% ($12.78). The stock is trading 4.34% below its 52-week high of $1581.34. Core Market Drivers πŸ—žοΈ Earnings Anticipation: The company is set to report quarterly earnings on Jan 29th, with market expectations for ~10.5% revenue growth. πŸ“ˆ Sector Optimism: Major banks like J.P. Morgan and Bank of America remain bullish on semiconductors for 2026, citing strong AI infrastructure spending and cyclical recovery, with KLAC often listed as a top pick. πŸ’ͺ Technical Rebound: The gain follows a recent -5.21% pullback, suggesting some consolidation and potential renewed buying interest. Techn
KLAC Eyes $1580-1600 as Tech Momentum Builds
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01-26

Shell Rallies +1.84% Reclaims $73 Amid Restructuring

$SHELL PLC SPON ADS EACH REPR 2 ORD SHS(SHEL)$ Shell PLC (SHEL) Rallies +1.84%: Energy Giant Reclaims $73 Amid Restructuring & Oil Project Buzz πŸ“ˆ Latest Close Data πŸ“Š Closed at $73.75 on Jan 26, up +1.84% (+$1.33). Now trading just 4.8% below its 52-week high of $77.47. Core Market Drivers πŸ—žοΈ Strategic Restructuring: The company announced a major reorganization, dissolving its standalone Projects & Technology unit to integrate capabilities directly into core business lines, aiming to boost cost competitiveness and project delivery speed. Growth Project Potential: CEO Ben van Beurden confirmed feasibility studies for the massive $20B Bonga South West oil field project in Nigeria, signaling long-term upstream growth ambitions. Technical Analy
Shell Rallies +1.84% Reclaims $73 Amid Restructuring
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01-26

Can Stryker Hold $355 After Minor Pullback?

$Stryker(SYK)$ Stryker Corporation (SYK) Dipped -1.01%: MedTech Giant Consolidates Near Support, $355 Pivot in Focus πŸ“‰ Latest Close Data Closed at $355.04 (USD) on Jan 26, down -1.01% (-$3.63). Trading ~12.6% below its 52-week high of $406.19. Core Market Drivers 1️⃣ Recent 4.8% dividend hike to $0.88/share signals strong financial confidence and shareholder return commitment. 2️⃣ Sector faces mixed sentiment amid broader market consolidation; stable institutional holdings (Vanguard, BlackRock) provide a floor. Technical Analysis πŸ“Š Volume: 1.85M shares (Volume Ratio 0.96) indicates average participation. πŸ“ˆ MACD: DIF (0.207) remains above DEA (0.341), but MACD histogram turned negative (-0.267), suggesting near-term momentum loss. πŸ“‰ RSI (6, 12, 24):
Can Stryker Hold $355 After Minor Pullback?
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01-26

ServiceNow Surges +3.54% on AI Partnership, Eyes $135 Pivot

$ServiceNow(NOW)$ ServiceNow (NOW) Rebounds +3.54%: AI Collaboration Ignites Reversal, Eyes $135 Pivot πŸ“Š Latest Close Data Closed at $133.11 on Jan 26, 2026, surging +3.54% (+$4.55). The stock is trading ~44% below its 52-week high of $239.62, highlighting a significant discount from recent peaks. πŸš€ Core Market Drivers The rally was fueled by news of a strategic AI Agent partnership with OpenAI, signaling a major push into next-gen enterprise automation. This follows recent investor concerns over the company's $12B+ acquisition spree (e.g., Armis) and its impact on organic growth. The upcoming earnings report (Jan 28) will be critical for validating its AI monetization strategy. πŸ“ˆ Technical Analysis Volume was robust at 16.6M shares (VR=1.0), confi
ServiceNow Surges +3.54% on AI Partnership, Eyes $135 Pivot
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01-26

GEV Eyes $660-$670 Range as AI Power Play Pauses

$GE Vernova Inc.(GEV)$ GE Vernova Inc.(GEV) Dipped -0.59%: AI Power Play Consolidates, Eyes on $660-$670 Range ⚑ πŸ“ˆ Latest Close Data Closed at $657.78 (-0.59%) on 2026-01-26, trading in a $649.00 - $666.13 range. The stock remains ~10% below its 52-week high of $731.00. πŸ” Core Market Drivers The stock is consolidating after a massive run-up driven by its status as a prime "AI Power" beneficiary. Recent catalysts include: 1) Upgraded financial guidance (doubled dividend, increased buyback to $10B, raised FCF outlook) 2) Key contract wins for HVDC technology and gas turbines, directly tied to data center and energy infrastructure demand. 3) The upcoming earnings report on 2026-01-28 is the next major focal point. πŸ“Š Technical Analysis Volume was 2.01M
GEV Eyes $660-$670 Range as AI Power Play Pauses
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01-26

AXP Consolidates at $361 Ahead of Q4 Earnings

$American Express(AXP)$ American Express (AXP) Consolidates at $361.69: Earnings Jitters and Regulatory Overhang Keep Bulls in Check πŸ“‰ πŸ“Š Latest Close Data Closed at $361.69 (Pre-Market) on Jan 26, 2026, down -1.72% from the previous close of $368.02. The price remains ~6.6% below its 52-week high of $387.49. πŸ’‘ Core Market Drivers Regulatory Risk: President Trump's proposal to cap credit card interest rates at 10% continues to weigh on sentiment, despite uncertain legislative prospects. Earnings Focus: All eyes are on the upcoming Q4 2025 earnings report (Jan 30). Consensus expects EPS of $3.54 (+16.45% YoY) and revenue of $18.92B (+10.27% YoY), driven by premium customer spending. Sector Outlook: Analysts (e.g., Deutsche Bank) are scrutinizing 2026
AXP Consolidates at $361 Ahead of Q4 Earnings
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01-26

Thermo Fisher Dips -2.11% as Investors Await Q4 Earnings

$Thermo Fisher Scientific(TMO)$ Thermo Fisher Scientific Inc. (TMO) Consolidates Near Highs: Eyes $653 Target Post-Earnings πŸ“Š Latest Close Data πŸ“… Closed at $625.98 on 2026-01-26 (ET), down -2.11% from the previous close. The stock is trading -2.8% below its 52-week high of $643.99. Core Market Drivers πŸš€ Earnings on the Horizon: The company is scheduled to report Q4 2025 earnings on Jan 29, 2026. Market consensus expects revenue of $11.95B (+5.96% YoY) and adjusted EPS of $6.45 (+8.53% YoY). Strategic AI Partnership: Recent collaboration with NVIDIA to build autonomous lab infrastructure could be a long-term growth catalyst, enhancing R&D efficiency in biopharma. Technical Analysis πŸ“ˆ Volume: Trading volume of 2.85M shares was slightly below aver
Thermo Fisher Dips -2.11% as Investors Await Q4 Earnings
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01-26

MSFT Rebounds +3.3% as AI Momentum Returns

$Microsoft(MSFT)$ Microsoft Corp(MSFT) Surged +3.28%: AI Titan Rebounds from 7-Month Low, $465 Target Reclaimed πŸ”₯ Latest Close Data πŸ“Š Close Price (01/26): $465.95 (+$14.81, +3.28%) 52-Week High: $555.45 (-16.1% from high) Core Market Drivers βš™οΈ The stock rebounded strongly after hitting a 7-month low last week, potentially fueled by oversold technical conditions. Upcoming Q2 FY2026 earnings on Jan 28th are in focus, with AI and cloud business expected to be key growth drivers. Broader market sentiment remains cautious ahead of the Fed meeting and potential government shutdown risks. Technical Analysis πŸ“ˆ Volume: 38M shares, with a volume ratio of 1.29, indicating increased participation in the rally. RSI (6): Jumped to 55.04 from oversold levels (&
MSFT Rebounds +3.3% as AI Momentum Returns
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OptionsAura
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01-26

Options Weekly Review: Why is my account still profitable despite "floating losses"?

1. Options Trader's Weekly Recap of My Three Options Trades last Week : $S&P 7xLongSG260226(SPXW.SI)$ $Alibaba(BABA)$ $Micron Technology(MU)$ Hello everyone, due to the holiday, this week only had 3 trading days, during which I executed 3 options-related strategies. While the number of trades is small, they are highly representative in terms of intraday execution, shorting at high levels, and profit-taking discipline. This article mainly has three structures: my options trading review, how I profited, and a summary of my trading discipline and methodology. 1. S&P 500 (SPXW) Intraday Options Strategy Underlying Asset:
Options Weekly Review: Why is my account still profitable despite "floating losses"?
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TigerPicks
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01-26

Precious Metals Star|Is ASM Fully Valued After the Recent Rally?

On January 26, 2026 (U.S. Eastern Time), $Avino Silver & Gold Mines(ASM)$ closed at USD 9.35, surging 19.41% on the day ✨ Highlights πŸ”Ή Precious Metals in Focus, $Avino Silver & Gold Mines(ASM)$ Selected as a Standout: The precious metals sector led market performance, with $Avino Silver & Gold Mines(ASM)$ chosen as a representative name due to its strong price action and sector leverage. πŸ”Ή Differentiated Silver Exposure: $Avino Silver & Gold Mines(ASM)$ stands out as a primary silver producer with above-average sensitivity to silver prices, supported by a high-quality growth asset and disciplined expansion
Precious Metals Star|Is ASM Fully Valued After the Recent Rally?
TOPIrisJack: ASM's rally is solid! Bullish on silver plays.[ηœ‹ζΆ¨]
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01-26

Will Lam Research Bounce Before Earnings?

$Lam Research(LRCX)$ Lam Research (LRCX) Dipped -1.25%: Tech Giant Consolidates Near Key Support Ahead of Earnings πŸ› οΈ Latest Close Data πŸ“Š Closed at $217.94 on 2026-01-26 (ET), down -1.25%. Currently ~7.7% below its 52-week high of $236.10. Core Market Drivers βš™οΈ The stock is consolidating as the market awaits its upcoming earnings report on Jan 28. Positive sentiment is fueled by strong AI-driven demand for semiconductor equipment, with major banks like BofA and Citi forecasting a new "Phase 2" bull cycle for the sector. The recent pullback is seen as a healthy pause after a strong run. Technical Analysis πŸ“ˆ Volume: Daily volume of 10.16M shares is below average (VR 0.77), suggesting a lack of strong selling conviction during the dip. MACD: The DIF
Will Lam Research Bounce Before Earnings?
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01-26

Pullback Risk Emerges as ASML Tests $1,400 Zone

$ASML Holding NV(ASML)$ ASML Retreats -0.43%: Consolidation Near All-Time High Before Earnings, $1400 Zone in Sight πŸ” πŸ“ˆ Latest Close Data Closed at $1,389.04 on Jan 26, down -0.43% (-$5.96). Currently just -$9.76 (-0.7%) below its 52-week high of $1,398.80. πŸš€ Core Market Drivers Major catalyst is TSMC's aggressive 2026 capex guidance ($520-560B), far exceeding expectations and signaling massive demand for ASML's advanced EUV/High-NA lithography systems. πŸ“ˆ Morgan Stanley projects a "Phase 2 bull cycle" for semiconductor equipment, with ASML potentially seeing 70% upside in an optimistic scenario. πŸ“Š Technical Analysis Volume was light at 1.56M shares (Vol Ratio 0.62), suggesting consolidation, not distribution. πŸ“‰ MACD (68.11, 52.81) remains in a bul
Pullback Risk Emerges as ASML Tests $1,400 Zone
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