CommunityConnect with experts, uncover more opportunities
2.00K
Selection
Blinkfans
·
03-09

Trading NVIDIA Puts – A Fast Korean-Style Rhythm Strategy

Last week I focused on trading options on NVIDIA Corporation, but instead of simply selling long-dated cash-secured puts and waiting weeks, I used a faster approach: selling puts first and then buying them back at a lower price. This style of trading is very active and dynamic. Rather than waiting passively for options to expire, I monitor the price movement closely and close positions once a reasonable profit appears. $NVDA 20260327 170.0 PUT$  The rhythm is quick, disciplined, and precise—almost like a Korean-style performance rhythm, where timing and speed matter. The goal is simple: collect premium, close early, and repeat multiple times. Last week, using this method across several trades, the total profit added up to
Trading NVIDIA Puts – A Fast Korean-Style Rhythm Strategy
TOPAgxm: A quick question, did you cut loss or hold if the put go the other way?
1
Report
1.16K
Selection
Blinkfans
·
03-07

Sea is a comeback ! Trio power SGD 688 Cash Vouchers* up for grabs

 #SEA’s 16% Drop — Don’t Panic, BLINKs! The Comeback Stage Is Coming 🎤🖤💖 ⸻ 1. The Market Reaction: When the Crowd Panics 😱📉 The latest earnings from Sea Limited caused quite a dramatic reaction in the market. Despite delivering strong revenue of US$6.9 billion, up 38.4% year-over-year, the company reported EPS of $0.63, missing expectations of $0.80. And just like a concert crowd that suddenly hears a wrong note, investors panicked. The stock plunged more than 16% after the announcement. 📉 But sometimes markets behave like overly emotional fans. One small mistake and suddenly everyone screams “It’s over!” even though the performance is still amazing. In reality, the fundamentals behind Sea’s ecosystem are still strong. ⸻ 2. Why I Bought Sea at $85.71 💸🛒 When the stock dropped sharply,
Sea is a comeback ! Trio power SGD 688 Cash Vouchers* up for grabs
TOPShernice軒嬣 2000: Been off Shopee for a bit, prices are looking pretty steep now
1
Report
2.27K
Selection
Dividend_Earnings_Tracker
·
03-09

🎁Weekly Higher EPS Estimates: ORCL, ADBE, WPM, FNV, HPE & More

😀Hi Tigers, We invite you to take a closer look at the possible winners by EPS in the Q4 earnings season. In this post, we have highlighted the top 20 stocks by market capitalization with an estimated higher EPS ahead of their earnings in the period from March 9 to March 13. 1. Why EPS Matters? Earnings per share(EPS) refer to the income per share brought to investors/shareholders in the open market. EPS is calculated as a company's profit divided by the outstanding shares of its common stock. The resulting number serves as an indicator of a company's profitability. Investors like companies with high profitability, and the market always rewards those earnings results that beat the estimates. Hope the following content helps you learn more about good companies. 2. Weekly List of Stocks
🎁Weekly Higher EPS Estimates: ORCL, ADBE, WPM, FNV, HPE & More
TOPTigerAI: Weekly Higher EPS Estimates: March 9 to March 13, 2026 Conclusion: The upcoming earnings reports for major companies such as Oracle (ORCL), Adobe (ADBE), and several others indicate an anticipatory trend of higher earnings per share (EPS) estimates. These trends can attract investor interest as companies post their quarterly results. Key Companies and EPS Estimates Here’s a snapshot of companies along with their estimated EPS for the upcoming earnings period: | Company | Stock Symbol | Current Stock Price | EPS (TTM) | Market Cap | 52-Week Range | Analyst Recommendations ||--------------------------------------|------------------|-------------------------|--------------|------------------|-------------------|-------------------------------------------|| Oracle | ORCL | $152.96 | $5.33 | $439.47B | $118.86 - $345.72 | 37 recommend, 19 buy, 10 hold || Adobe | ADBE | $283.62 | $16.70 | $115.61B | $244.28 - $353.28 | 34 recommend, 12 buy, 7 hold || Wheaton Precious Metals | WPM | $146.85 | $0.31 | $66.55B | $68.03 - $165.76 | 5 recommend, 12 buy, 1 hold || Franco-Nevada | FNV | TBD | TBD | TBD | TBD | TBD || Hewlett Packard Enterprise | HPE | $21.13 | -$0.04 | $27.72B | $11.96 - $24.02 | 5 recommend, 11 buy, 1 hold || Casey's General | CASY | $664.60 | $2.20 | $24.56B | $372.08 - $690.00 | 5 recommend, 6 buy, 7 hold || NIO Inc. | NIO | $4.78 | -$1.45 | $8.55B | $3.02 - $8.02 | 6 recommend, 9 buy, 11 hold || AeroVironment | AVAV | $229.80 | TBD | TBD | TBD | TBD || Rubrik Inc. | RBRK | TBD | TBD | TBD | TBD | TBD || New Gold | NGD | $11.21 | $0.31 | $8.54B | $2.73 - $13.63 | TBD | Supporting Points EPS Significance: EPS serves as a critical indicator for investors assessing a company's profitability. A higher EPS than expected can positively influence stock prices and attract investment [citation:1]. Market Movements: Historical patterns show that stocks with stronger-than-expected earnings often see positive price movements, influencing investor sentiment significantly. Markets are anticipated to react favorably if these companies meet or exceed EPS estimates in their forthcoming releases [citation:2]. Company Analysis: Oracle (ORCL) and Adobe (ADBE) have shown robust performance metrics over the past quarters, making them reliable candidates for projected positive EPS results. Hewlett Packard Enterprise (HPE), while currently posting a negative EPS, is expected to refocus on profitability in upcoming quarters. Conclusion Investors should closely monitor the earnings report releases of these highlighted companies between March 9 and March 13, 2026. Previous analyst sentiment and the projected increase in EPS could bode well for market performance, creating potential buying opportunities. Disclaimer: TigerAI is provided solely as a tool to assist with investment research. Any content generated is for informational purposes only and does not take into account your personal objectives, financial situation, or needs. It does not constitute any investment advice, offer, solicitation, or recommendation regarding any financial products or strategies. We do not guarantee the accuracy or completeness of the content and past performance is not indicative of future results. You should not make any investment decisions based solely on the output. Always conduct your own research and consult a licensed financial advisor where appropriate.
2
Report
738
General
KYHBKO
·
03-08

(Part 3 of 5) S&P500 outlook for the week 09Mar2026

Market Outlook of S&P500 (09Mar2026) Technical Analysis Overview MACD Indicator The Moving Average Convergence Divergence (MACD) indicator is on a downtrend, implying a bearish outlook. Moving Averages The price action, as depicted by the candlesticks, is currently situated below the 50-day and 200-day moving average (MA) lines. This positioning indicates a bearish trend in the short term, and a bullish long-term outlook. Both the 50 MA and the 200 MA lines are trending upward, reinforcing the positive trend. Exponential Moving Averages (EMAs) The three Exponential Moving Averages (EMA) lines are showing a bearish outlook. The 3 lines have converged, and we may see a trend change. Chaikin Money Flow (CMF) The Chaikin Money Flow (CMF) currently registers at 0.23
(Part 3 of 5) S&P500 outlook for the week 09Mar2026
Comment
Report
682
General
KYHBKO
·
03-08

(Part 5 of 5) My investing muse - of layoffs, Dubai, war and private credit (09Mar2026)

My Investing Muse Layoffs, closures and Delinquencies U.S. layoffs are now at numbers worse than the 2008 Great Financial Crisis. - X user The Patriotic Blonde South Korean battery maker SK On lays off 958 US employees - Reuters 92,000 people just lost their jobs in one month in The US. Just a regular Tuesday in 2026. And Anthropic released a report this morning saying the jobs AI can't kill are plumbers, farmers, and electricians. Your office job is not safe. The economy is confirming what AI companies already told you. The guy who learned to fix pipes in 6 months has more job security than you. - X user Tuki Morgan Stanley laying off 2,500 employees across all divisions amid economic challenges - MacroEdge Amazon cuts jobs in robotics division - MacroEdge Kuehne+Nagel to layoff 2,000 wor
(Part 5 of 5) My investing muse - of layoffs, Dubai, war and private credit (09Mar2026)
Comment
Report
458
General
KYHBKO
·
03-08

(Part 4 of 5) News and my muse (09Mar2026)

News and my thoughts from the past week (09Mar2026) Two of the world's largest funds are limiting the amount you can withdraw. BlackRock froze requests for withdrawals of $1.2 billion from its private credit fund. Investors in the BlackRock fund with assets of $26 billion requested the withdrawal of 9.3% of their funds. BlackRock refused, limiting the withdrawal to 5%. The Blackstone fund with assets of $82 billion recorded a record number of requests for withdrawals in the same week. Blackstone had to invest $400 million of its own funds to cover the costs of withdrawals. Similar problems exist with the Blue Owl OBDC II fund, where withdrawals have been suspended. - X user Cha Bowes Kuwait Petroleum declares force majeure on oil sales - MacroEdge Insider sales continue Deutsche warns the
(Part 4 of 5) News and my muse (09Mar2026)
Comment
Report
451
Selection
Dividend_Earnings_Tracker
·
03-09

🎁Capturing Top 10 Ex_dividend: CME, HD, UNH, SPG, ELV...

1. Which High Ex-dividend Stock (on 9 March ~ 13 March) do You Like the Most? Be Sure To Check Out the Last Chance to Buy the Top 10 High dividend stocks going to Ex-dividends This Week: many companies like $CME$ and $HD$ showing below are about to give decent dividends into "your pocket". Editor's notes: A dividend-paying stock ex-dividend date, or ex-date, is very important to investors. In a nutshell, if you buy a dividend stock before the ex-dividend date, then you will receive the next upcoming dividend payment. If you purchase the stock on or after the ex-dividend date, you will not receive the dividend. Some investors utilize strategies whereby they will purchase stocks just prior to an ex-dividend date and sell shortly thereafter. 2. YTD26 of the Above 10 Stocks are as Below: Accor
🎁Capturing Top 10 Ex_dividend: CME, HD, UNH, SPG, ELV...
Comment
Report
836
Selection
Optionspuppy
·
03-09

🐶 Options Puppy Weekly plan going forward – 9 March SGD 688 Cash Vouchers* up for grabs

Three Trades Last Week & The Plan Going Forward Another week in the options playground has passed, and as always the Options Puppy strategy stays simple: sell fear, collect premium, and keep a safety buffer. Instead of chasing fast-moving stocks like an excited puppy chasing a tennis ball, I prefer to position trades where probability is on my side. Last week I made three trades involving KraneShares CSI China Internet ETF and iShares Gold Trust. These trades were small, tactical, and focused on collecting option premium rather than predicting the exact market direction. Let’s break down the thinking behind them. ⸻ 🐕 Trade 1 – Selling casg secured put options east kweb Tech Trade: Cash-secured sell put on KraneShares CSI China Internet ETF Strike: $25 Expiry: 27 March 2026 Premium coll
🐶 Options Puppy Weekly plan going forward – 9 March SGD 688 Cash Vouchers* up for grabs
TOPShernice軒嬣 2000: $Hims & Hers Health Inc.(HIMS)$ and $United States Oil Fund LP(USO)$ [Miser] [Miser]
2
Report
50.28K
General
欧洲期货交易所Eurex
·
03-09

Axioma ROOF™ Score Highlights: Week of March 9, 2026

Investor sentiment continued to slide this week, as hopes for clarity in the Middle East once again gave way to thicker and more oily fog. Investors are now decisively bearish in eight of the ten markets we track, with the remaining two - the US and China - clinging stubbornly to negative territory. And this snapshot was taken before oil reminded everyone of its geopolitical résumé by vaulting back above $100 over the weekend for the first time since Russia’s invasion of Ukraine. A bearish signal simply means that caution has won the popularity contest. Risk‑averse investors now vastly outnumber those still willing to take risk, leaving plenty of sellers and very few buyers at current prices. The adjustment mechanism is neither subtle nor new: sellers accept discounts to entice the shrinki
Axioma ROOF™ Score Highlights: Week of March 9, 2026
Comment
Report
654
Selection
Option_Movers
·
03-09

Option Movers|Tesla's Volume Jumps 67%; USO's $120 Call Rockets 277%

Wall Street's three main indexes closed down ​on Friday(Mar 6) amid a sudden setback in the U.S. labor market and a 12% spike in U.S. oil ‌prices due to the escalating conflict in the Middle East. Regarding the options market, a total volume of 68,491,663 contracts was traded on Friday. Top 10 Option Volumes Source: Tiger Trade App $Tesla(TSLA)$ stock fell Friday, failing to eke out a gain for the week. An energy report from William Blair didn't give the shares a needed boost. Shares of the electric-vehicle maker dropped 2.2%, closing at $396.73, while the S&P 500 and Dow Jones Industrial Average lost 1.3% and 1%, respectively. Most stocks were down because of rising oil prices and a weak U.S. jobs report. There are 3.3M
Option Movers|Tesla's Volume Jumps 67%; USO's $120 Call Rockets 277%
Comment
Report
820
Selection
Tiger_James Ooi
·
03-09

The Case for Gold in Investment Portfolios

Many investors today view gold purely as a speculative asset due to its recent strong rally. In reality, gold plays a much broader role in portfolio construction. Rather than being solely a growth asset, gold can also serve as a defensive allocation that enhances portfolio resilience across different economic environments. Below are several reasons why gold may deserves a place in a diversified investment portfolio. 1. Gold Has Delivered Good Long-Term Returns Although gold is often categorized as a defensive asset, its long-term performance has been surprisingly strong. Gold outperformed the STI in 7 of the past 10 years and the S&P 500 in 4 of the past 10 years, based on annual returns. Gold has delivered strong performance over 3-year, 5-year and 10-year annualised periods. For exam
The Case for Gold in Investment Portfolios
Comment
Report
548
Selection
SGX_Stars
·
03-09

UI Boustead REIT: A New Entrant in Singapore’s Industrial REIT Space

UI Boustead REIT is expected to commence trading on the SGX Mainboard on 12 March. The REIT has a mandate to invest in logistics, general industrial, hi‑specs industrial and business space properties across the Asia Pacific region. The IPO portfolio comprises 23 properties, of which 21 are leasehold assets located in Singapore and two are freehold properties in Japan. The total agreed property valuation stands at S$1.9 billion, with a total gross floor area of 5.9 million square feet and a net lettable area of 5.3 million square feet. The portfolio is well diversified across the various property types, with no single property type contributing more than 30 per cent of the agreed property value. The REIT’s portfolio currently has an occupancy rate of 89.4%. Key properties include Razer’s So
UI Boustead REIT: A New Entrant in Singapore’s Industrial REIT Space
Comment
Report
577
Selection
SGX_Stars
·
03-09

Weekly: Centurion, Raffles Medical, Nam Cheong, & Aoxin Q & M directors see Huge Acquisitions

Over the five sessions, more than 130 director interests and substantial shareholdings were filed for more than 50 primary-listed stocks. Directors or CEOs reported 25 acquisitions and five disposals, while substantial shareholders recorded nine acquisitions and 10 disposals. This included CEO or director acquisitions filed for ASTI Holdings, Avi‑Tech Holdings, CapitaLand China Trust, Centurion Corporation, Duty Free International, Far East Orchard, Hyphens Pharma International, IFS Capital, Megachem, Nam Cheong, and Raffles Medical Group. On March 4, Silchester International Investors also increased their interest in ComfortDelGro Corporation from 6.86% to 7.05%, following the acquisition of 4 million shares at an average price of S$1.46 each. This followed Silchester re-establishing itse
Weekly: Centurion, Raffles Medical, Nam Cheong, & Aoxin Q & M directors see Huge Acquisitions
Comment
Report
1.04K
General
JC888
·
03-09

Inflation kills US Market tis week, like US Jobs ?

The escalation of US-Iran conflict and subsequent spike in oil prices have been, the primary causes for US market's volatility last week. (see below) For week ending 06 Mar 2026: Dow: -2.87% (-1,403.28 to 47,501.55). Its biggest decline since early April 2025. S&P 500: -2.06% (-141.60 to 6,740.02). Its biggest weekly percentage loss since mid-October 2025. Nasdaq: -1.59% (-361.18 to 22,387.68). Objectively speaking, there were other underlying economic and technical factors that ‘aided’ to exacerbate the decline. (see below) Other Reports. Below were US economic reports for last week: (1) Jobless Claims. (a) Weekly claims. For week ending 28 Feb 2026, US weekly jobless claims came in ‘flat’ at 213,000 vs market consensus of 215,000 vs previous week claims of 213,000. (see below) Despit
Inflation kills US Market tis week, like US Jobs ?
TOP1PC: Nice Sharing 😊 @Shernice軒嬣 2000 @Shyon @Barcode @koolgal @DiAngel @Aqa
3
Report
1.10K
General
Optionspuppy
·
03-09

🐶💾 Options Puppy View: SanDisk Up 120% — Super-Cycle or Supply Mirage

🐶💾 Options Puppy View: SanDisk Up 120% — Super-Cycle or Supply Mirage? Memory stocks are famous for one thing: big booms and brutal busts. Now that SanDisk has surged more than 120% year-to-date, the debate is heating up. Some bulls believe we are entering a NAND memory super-cycle, while bears like Andrew Left from Citron Research argue the rally may be built on a fragile foundation. So is this the beginning of a long bull run — or a classic semiconductor cycle peak? The Options Puppy thinks the answer may lie somewhere in the middle. 🐶 ⸻ 🧠📈 The Bull Case: Why Memory Stocks Can Explode Supporters of SanDisk believe the current rally is driven by strong structural demand. NAND flash memory is used everywhere: • AI servers • Cloud storage • Smartphones • Data centers • Gaming systems As glo
🐶💾 Options Puppy View: SanDisk Up 120% — Super-Cycle or Supply Mirage
Comment
Report
672
General
Optionspuppy
·
03-09

Cute puppy relax moves while S&P sell off how we navigate to keep the damage lesser SGD 688 Cash Vouchers* up for grabs

🐶📉 Options Puppy Weekly: Is a Sell-Off Coming After the S&P 500 Failed 6800? Markets love drama. And this week the stage is full: missiles in the Middle East, oil prices jumping, inflation whispers returning, and traders wondering whether the rally just ran out of fuel. The Options Puppy doesn’t panic though. 🐶 Let’s sniff through the macro bones and see what might happen next week. ⸻ 🛢️🔥 Middle East Tension: The Oil Shock Bone The biggest headline shaking markets right now is the escalating conflict involving the US, Israel, and Iran. The scale of attacks and retaliation surprised many investors, and the market’s first reaction was simple: oil spiked. Why? Because roughly 25–30% of global oil trade passes through the Strait of Hormuz. If that route is disrupted, the world suddenly wor
Cute puppy relax moves while S&P sell off how we navigate to keep the damage lesser SGD 688 Cash Vouchers* up for grabs
Comment
Report
674
General
Optionspuppy
·
03-09

🐶💰 Love, Money & The Options Puppy: Do They Follow the Same Logic? SGD 688 Cash Vouchers* up for grabs

🐶💰 Love, Money & The Options Puppy: Do They Follow the Same Logic? ❤️🐶 Emotional Stability Is the Entry Ticket When people think about investing, they often imagine intelligence, complex analysis, or secret strategies. But in reality, the true entry ticket to markets is emotional stability. The same rule applies to love. In relationships, emotions can swing wildly—joy, fear, jealousy, excitement. In markets, it’s the same story: greed during rallies and panic during crashes. So when a crazy week arrives with geopolitical drama, market drops, and headlines screaming doom, the real question becomes: Do you panic and break up with the market, or do you ride it out together? The investors who succeed long-term are usually the calm ones. The same is true in relationships. Stability beats dr
🐶💰 Love, Money & The Options Puppy: Do They Follow the Same Logic? SGD 688 Cash Vouchers* up for grabs
Comment
Report
1.52K
Selection
Daily_Discussion
·
03-09

🚨 Inflation Data Could Move Everything – What’s Your Game Plan for the Week?

Great minds think alike — but great ideas stand out. 💡Share your trade setup and let your strategy shine.Catch up fast:These events rocked the markets today.More NewsTiger Community TOP10 Tickers🎯 S&P500 Most Active Today 👉@TigerObserverWeekly Five Key Areas: Macro, Singapore Stocks, Options, Futures, EarningsCovering five major market segments this week to help you stay ahead of market trends and plan your trades effectively!🌍 Monday — Macro EconomyU.S. stocks fell sharply amid escalating Middle East conflict and rising oil prices. The S&P MidCap 400 dropped 4.61%, while the Nasdaq held up best, declining 1.24%. Treasury yields rose as investors reassessed infla
🚨 Inflation Data Could Move Everything – What’s Your Game Plan for the Week?
TOPdaz999999999: Former United States trade representative Robert Lighthizer resigned from Trump Media & Technology Group's DJT.O board of directors, effective Friday, an SEC filing showed. During U.S. President Donald Trump's first term, Lighthizer played a crucial role as trade chief in the imposition of hefty tariffs on Chinese imports and the renegotiation of the North American Free Trade Agreement, or NAFTA, with Mexico and Canada. His departure from the board and its committees was not due to any disagreements with the company's management or the board, the filing said. Founded by Trump and known for its Truth Social platform aimed at conservative audiences, TMTG had a strategic pivot in December, the company agreed to merge with California-based TAE Technologies in an all-stock deal valued at over $6 billion, shifting its focus to fusion energy and forming a publicly traded company developing utility-scale power plants to meet rising electricity demand, including from AI data centers.
11
Report
977
General
Michael Esther
·
03-09

SPY Distribution Confirmed Below $680 Support

$SPDR S&P 500 ETF Trust(SPY)$ distribution on break $680 and $676 rejection is confirmed. Distribution happens after a strong move up when smart money begin selling to late buyers. Price stops trending up past $697 moves sideways near the highs, forming a range between resistance $697 and support $677. Many traders believe the market is simply consolidating before another breakout, but institutions are actually selling into the buying pressure. 3 key signs of distribution: #1. Failed breakouts. Price may briefly push above resistance but quickly falls back into the range. This means buyers tried to push higher, but sellers absorbed the demand. #2. Momentum weakens. Even within the range, price struggles to make strong new highs and starts formi
SPY Distribution Confirmed Below $680 Support
Comment
Report
1.19K
General
Michael Esther
·
03-09

$SPY Breakdown Signals Risk as Energy and AI Supply Chains Face Pressure

2 weeks ago analysts thought this war was about missiles. It isn’t. It’s about energy, materials, and the invisible infrastructure of AI (chips). $SPDR S&P 500 ETF Trust(SPY)$ broke distribution finally after 3 months so key support levels to are at $650 now and then below that $625-$630 area for a big bounce. Oil was the first signal. Nearly 20% of global oil flows through the Strait of Hormuz. When conflict threatens that area, energy prices spike immediately and inflation follows. But the real danger isn’t just oil. It’s the AI supply chain. The Middle East supplies critical materials used in semiconductor manufacturing including helium used to cool chip fabrication systems. Disruptions there could slow production for companies that produce
$SPY Breakdown Signals Risk as Energy and AI Supply Chains Face Pressure
Comment
Report
 
 
 
 

Most Discussed

 
 
 
 
 

7x24