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1.35K
General
Jeong Kim 熔金
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03-19
2
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1.77K
General
叫我發先生
·
03-20
2
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12.74K
Hot
AMDidass
·
03-20
$Advanced Micro Devices(AMD)$  I did ask you guys but this perfect share with me! See what is the profit now! $NVIDIA(NVDA)$  same for this! Let's see where will it fly to tonight! Gogogo!
$Advanced Micro Devices(AMD)$ I did ask you guys but this perfect share with me! See what is the profit now! $NVIDIA(NVDA)$ same for this! Let's se...
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1.28K
General
Option_Movers
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03-20

Option Movers | Tesla's $380 Put Soars 144%; Alibaba Sees 65% Put Options

Wall Street ended lower on Thursday (Mar 19), with declines in Micron Technology and Tesla, as worries about inflation stemming from soaring oil prices left investors pessimistic about the potential for future interest rate cuts. Regarding the options market, a total volume of 70,059,869 contracts was traded on Thursday. Top 10 Option Volumes Top 10: $NVIDIA(NVDA)$, $Tesla Motors(TSLA)$, $Micron Technology(MU)$, $Cboe Volatility Index(VIX)$, $Meta Platforms, Inc.(META)$, $Microsoft(MSFT)$, $Apple(AAPL
Option Movers | Tesla's $380 Put Soars 144%; Alibaba Sees 65% Put Options
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1.04K
General
NAI500
·
03-20

Winners Amid the Energy Crisis: 6 Selected Oil and LNG Stocks

💬 Let’s Discuss: Which energy sector are you bullish on right now—oil or LNG? Share your top picks amid the Strait of Hormuz tensions! The sudden upheaval in the Strait of Hormuz has not only brought global oil prices close to the $100 mark but also triggered a repricing of “safety” and “scarcity” in the energy market. Amid this geopolitical game, the outlines of the winners have become clear: one group consists of U.S. onshore oil and gas giants that can avoid supply disruptions and reap the dividends of rising oil prices; the other includes industry leaders reshaping the global energy trade pattern and benefiting from the structural shortage of liquefied natural gas (LNG). Below are 3 selected oil stocks and 3 LNG stocks. Whether due to geographical advantages or industry barriers, they
Winners Amid the Energy Crisis: 6 Selected Oil and LNG Stocks
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943
General
NAI500
·
03-20

Tesla’s “Flywheel Effect” Kicks In? Robotaxis Touted as Next Growth Engine

💬 Let’s Discuss: Do you believe Tesla’s robotaxis will live up to the hype? Share your take on TSLA’s AI transformation and RIVN’s catch-up chance! Despite a roughly 9% year-on-year drop in 2025 vehicle deliveries—marking the second consecutive year of negative growth— $Tesla Motors(TSLA)$ stock has been on a tear in the capital market. It rose more than 60% in 2024 and has climbed an additional 10% since entering 2025. Against the backdrop of challenges in its electric vehicle (EV) business, the stock’s strong performance has attracted widespread attention. Behind this, a core market expectation is that the company is transitioning from an automaker to an artificial intelligence (AI) enterprise. This does not mean abandoning the EV business, but
Tesla’s “Flywheel Effect” Kicks In? Robotaxis Touted as Next Growth Engine
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1.02K
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NAI500
·
03-20

Bank of Canada Hits Pause—Dividend Giants Become Market “Anchor” with Stable Cash Flow

💬 Let’s Discuss: Are you eyeing Canadian dividend stocks amid BoC’s wait-and-see stance? Share your picks for stable cash flow plays below! Faced with new uncertainties from geopolitical conflicts, the Bank of Canada (BoC) chose to stand pat this week, keeping its benchmark interest rate unchanged at 2.25%. The decision itself came as no surprise—after all, it marks the third consecutive time the central bank has opted for a wait-and-see approach at its monetary policy meeting. But what truly merits attention is the signal from the BoC: oil prices, pushed higher by the Iran war, will lift inflation in the short term, while economic fundamentals are weaker than expected. “The Canadian economy is grappling with many challenges. Right now, we are facing greater volatility,” BoC Governor Tiff
Bank of Canada Hits Pause—Dividend Giants Become Market “Anchor” with Stable Cash Flow
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1.08K
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NAI500
·
03-20

Fed’s “Dovish Actions, Hawkish Rhetoric”? Gold Plummets Below $4,900

💬 Let’s Chime In: Did you expect gold to rally on Fed pause? Share your thoughts on the “hawkish words, dovish moves” and gold’s next move! On Wednesday, the Federal Reserve announced it would keep the federal funds rate unchanged in the 3.5%-3.75% range, in line with market expectations. This marks the second time the Fed has hit the pause button after three consecutive rate cuts at the end of 2025. What truly sparked market interpretation was the simultaneous release of the interest rate dot plot — this quarterly summary of economic projections showed that the median forecast by Fed officials for the interest rate at the end of 2026 is 3.4%, meaning there will be at least one more 25-basis-point rate cut this year. Meanwhile, interest rate expectations for 2027 and 2028 have also continu
Fed’s “Dovish Actions, Hawkish Rhetoric”? Gold Plummets Below $4,900
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1.44K
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XAUUSD Gold Traders
·
03-20

Gold Remains Generally Biased Towards an Uupward Trend

$Gold - main 2604(GCmain)$ $XAU/USD(XAUUSD.FOREX)$ Analysis: Gold remains generally biased towards an upward trend. The 100-day Simple Moving Average (SMA) at $4577 forms a key support level; short-term support lies around $4633. A decisive break below this level could open the door for a test of $4200. The Relative Strength Index (RSI) shows a clear increase in selling momentum, potentially indicating further downside for gold. If gold closes below the 100-day moving average on the daily chart, watch for a test of $4500. A break below this level would target the February 2nd low of $4402, followed by $4200. Further downside would see the 200-day moving average at $4060/oz. Conversely, if gold
Gold Remains Generally Biased Towards an Uupward Trend
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1.14K
Selection
Value_investing
·
03-20

Hermès Drops—Time to Buy Luxury on the Dip?

Yesterday, luxury stocks fell sharply, with $Hermes International SA(HESAF)$ dropping over 5.8%, marking its largest single-day decline since April 7 last year! Although $LVMH-Moet Hennessy Louis Vuitton(LVMHF)$ ’s decline was relatively modest at just 1.77%, it has fallen to recent lows and is now nearly halved from its historical peak! $Compagnie Financiere Richemont AG(CFRHF)$ and $Kering SA(PPRUF)$ both fell by more than 4.5% yesterday. The main driver behind the sharp decline in luxury stocks was the surge in oil prices triggered by Middle East tensions, which intensified market concerns over inflation, interest
Hermès Drops—Time to Buy Luxury on the Dip?
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1.48K
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koolgal
·
03-19
$Schwab US Broad Market ETF(SCHB)$ 🌟🌟🌟I  invest in SCHB because sometimes the smartest move in the market is to stop trying to be a fortune teller and just own everything that actually matters.  While other people are out there squinting at the charts, I am happily holding the entire US market in one clean drama free ETF. I love that its expense ratio is so low - 0.03%.  That is only 3 dollars for every 10,000 dollars invested.  The dividend yield of 1.2% isn't flashy but it shows up consistently.  SCHB goes ex dividend on March 26 2026 which means pay date is just around the corner. Most of all I invest in SCHB because it reflects how I build wealth: with patience, conviction and a healthy sense of humour about the c
SCHB
03-19 04:29
USSchwab US Broad Market ETF
SidePrice | FilledRealized P&L
Buy
Open
25.48
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-0.03%
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Schwab US Broad Market ETF
$Schwab US Broad Market ETF(SCHB)$ 🌟🌟🌟I invest in SCHB because sometimes the smartest move in the market is to stop trying to be a fortune teller a...
TOPjazzyxx: Spot on choice! SCHB's low costs and steady dividends make it a winner. Keep holding![看涨]
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588
General
koolgal
·
03-19
🌟🌟🌟Why did $TENCENT(00700)$ drop 6% after its latest earnings report? One of the main reasons is Tencent signalled higher Capex ahead as it stepped up its investment in AI infrastructure & ecosystem expansion. Markets tend to punish rising capex because it pressures free cash flow in the short term. Another main reason is that Tencent intends to reduce share buybacks.  A slow down in capital buyback is not good because it removes one of the strongest, most reliable support of a stock valuation. For a giant like Tencent, that matters more than people would like. Is this a short term misreading or a long term shift? I believe this is a short term misreading.  Tencent's revenue, gaming, FinTech & AI enhanced advertising all remai

【🎁有獎話題】騰訊業績超預期卻大跌6%,加大AI開支違背HALO交易,帶崩中概股?

@虎港通
小虎們,昨天 $騰訊控股(00700)$ 公佈了業績,其營收業績超預期,然而 $騰訊控股ADR(TCEHY)$ 在業績公佈後沽壓顯著,大跌6%![Surprised]其大跌拖累中概股下行,包括 $阿里巴巴-W(09988)$ 在績前跌超4%,此外 $美團-W(03690)$ , $小米集團ADR(XIACY)$ , $京東集團-SW(09618)$ 也紛紛跟跌![Put]事實上,在今年HALO交易策略盛行的基礎上 $騰訊控股(00700)$ 卻決定加大AI開支,此外公司暫停回購,無法持續抵銷南非大股東配售壓力,引發擔憂![Spurting]那麼你怎麼看待此次財報的大跌,你認為 $阿里巴巴-W(09988)$ 財報能頂住壓力嗎?本次大跌是否預示市場邏輯的長期轉變?[YoYo]港股今日開盤大跌一、HALO交易:2026年市場的「避風港邏輯」要理解騰訊此次下跌的深層原因,必須先了解2026年以來華爾街最火熱的投資策略——HALO交易。HALO是「Heavy Assets, Low Obso
【🎁有獎話題】騰訊業績超預期卻大跌6%,加大AI開支違背HALO交易,帶崩中概股?
🌟🌟🌟Why did $TENCENT(00700)$ drop 6% after its latest earnings report? One of the main reasons is Tencent signalled higher Capex ahead as it stepped...
TOPAmandaViolet: Spot on! Short-term misreading, fundamentals solid. Buy now![看涨]
7
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939
General
koolgal
·
03-19
🌟🌟🌟Is Tencent a HALO stock?  I think $TENCENT(00700)$ is not a pure HALO stock but it does have  some HALO elements. Tencent's HALO elements are a massive entrenched ecosystem. WeChat is more than just an app.  It is an infrastructure.  It is a digital Utility with network effects, high switching costs and essential daily use. Tencent's FinTech arm is deeply embedded in China's financial system.  This is a HALO style moat. With Tencent building more data centers, compute and AI infrastructure.  This leans towards HALO. Where Tencent is not HALO is because it is still fundamentally a tech platform which is fast moving , dependent on innovation cycles.  This is the opposite of HALO's slow, steady, physical asset

【🎁有獎話題】騰訊業績超預期卻大跌6%,加大AI開支違背HALO交易,帶崩中概股?

@虎港通
小虎們,昨天 $騰訊控股(00700)$ 公佈了業績,其營收業績超預期,然而 $騰訊控股ADR(TCEHY)$ 在業績公佈後沽壓顯著,大跌6%![Surprised]其大跌拖累中概股下行,包括 $阿里巴巴-W(09988)$ 在績前跌超4%,此外 $美團-W(03690)$ , $小米集團ADR(XIACY)$ , $京東集團-SW(09618)$ 也紛紛跟跌![Put]事實上,在今年HALO交易策略盛行的基礎上 $騰訊控股(00700)$ 卻決定加大AI開支,此外公司暫停回購,無法持續抵銷南非大股東配售壓力,引發擔憂![Spurting]那麼你怎麼看待此次財報的大跌,你認為 $阿里巴巴-W(09988)$ 財報能頂住壓力嗎?本次大跌是否預示市場邏輯的長期轉變?[YoYo]港股今日開盤大跌一、HALO交易:2026年市場的「避風港邏輯」要理解騰訊此次下跌的深層原因,必須先了解2026年以來華爾街最火熱的投資策略——HALO交易。HALO是「Heavy Assets, Low Obso
【🎁有獎話題】騰訊業績超預期卻大跌6%,加大AI開支違背HALO交易,帶崩中概股?
🌟🌟🌟Is Tencent a HALO stock? I think $TENCENT(00700)$ is not a pure HALO stock but it does have some HALO elements. Tencent's HALO elements are a ma...
TOPpopzy: Spot on! Tencent's hybrid HALO is solid.[开心]
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62.33K
General
Elliottwave_Forecast
·
03-19

SPX Elliott Wave Chart: Larger Decline Resumes

The S&P 500 (SPX) continues to correct the cycle that began from the April 7, 2025 low. The internal subdivision of this correction is unfolding as a double three Elliott Wave structure, which reflects a complex corrective pattern rather than a simple decline. From the January 28, 2026 peak, wave (W) concluded at 6636.04, as illustrated in the 45‑minute chart. Within wave (W), the internal subdivision itself developed as another double three of lesser degree. In this sequence, wave W ended at 6775.5, wave X at 6952.51, and wave Y at 6636.04. This completed wave (W) at the higher degree. Following this, wave (X) produced a corrective rally that terminated at 6884.9. The index has since resumed its downward trajectory in wave (Y). From the peak of wave (X), wave ((a)) ended at 6623.92, w
SPX Elliott Wave Chart: Larger Decline Resumes
TOP1PC: Nice Sharing 😁 @DiAngel @Aqa @Barcode @Shyon @Shernice軒嬣 2000 @JC888 @koolgal
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61.73K
General
Elliottwave_Forecast
·
03-19

Royal Gold Inc (NASDAQ: RGLD), Forecasting Gold path higher into $6000.00

Royal Gold Inc. (NASDAQ: RGLD) is a leading precious metals company that specializes in royalty and streaming financing within the mining sector. Founded in 1981 and headquartered in Denver, Colorado, the company does not operate mines directly. Instead, it provides upfront capital to mining companies in exchange for the right to receive a percentage of the revenue (royalties). Alternatively, it can purchase metal at a fixed, discounted price (streams). This business model allows Royal Gold to benefit from rising gold prices. At the same time, it can minimize the operational risks typically associated with mining activities, such as cost overruns and production disruptions. The long-term price chart of Royal Gold Inc. (RGLD) illustrates a strong bullish trend characterized by a series of i
Royal Gold Inc (NASDAQ: RGLD), Forecasting Gold path higher into $6000.00
TOPpangngk: Spot on! RGLD's leverage to gold makes it a rocket during rallies[看涨]
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850
General
Shyon
·
03-19
I don’t see this as a structural breakdown in gold—it looks more like a liquidity-driven shakeout. The drop in $XAU/USD(XAUUSD.FOREX)$ despite rising geopolitical risk tells me real yields are in control, not fear. With inflation expectations rising, the Fed staying “higher for longer” is capping gold. For now, this feels more like a bear trap than a regime shift. I’m watching oil more closely than gold. The muted move in $WTI Crude Oil - main 2605(CLmain)$ feels artificial given the situation. If the strategic reserve buffer runs out soon, we could see a delayed spike, and that’s where real market stress begins. Positioning-wise, I’m not rushing into gold yet—I want to see yields peak first. I’m more focused on energy and broader risk like $S&P 500(SPY)$, and will look at gold again
I don’t see this as a structural breakdown in gold—it looks more like a liquidity-driven shakeout. The drop in $XAU/USD(XAUUSD.FOREX)$ despite risi...
TOP1PC: Nice Sharing 😁 @Shernice軒嬣 2000 @JC888 @koolgal @Aqa @DiAngel @Barcode
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620
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Lanceljx
·
03-19
Short answer: this looks more like a violent reset than a clean “discount”. I would not rush in aggressively yet. --- What just happened (key drivers) 1) Rates & dollar flipped the narrative Fed signalling “higher for longer” → yields up, USD up Gold (non-yielding) lost relative appeal  2) Oil spike crowded out “safe haven” flows Energy became the primary hedge in this conflict Capital rotated out of gold into oil  3) Positioning was extreme (this is critical) Silver and gold were crowded trades after a parabolic run Unwinding triggered cascade selling  4) Leverage blew up the downside (AGQ effect) Leveraged ETFs must sell into declines AGQ crash amplified the drop mechanically  --- Is silver a “bear trap”? Possible, but too early to confirm. Why it could be: Indust
Short answer: this looks more like a violent reset than a clean “discount”. I would not rush in aggressively yet. --- What just happened (key drive...
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595
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Lanceljx
·
03-19
Your framing is accurate. Both Alibaba Group and Tencent are entering a capex-heavy AI phase, and the market is struggling to price the transition. --- 1) Can Alibaba Cloud price hikes offset margin pressure? Short answer: partially, but not immediately. Why price increases help: 37% cloud growth suggests AI-driven demand is real, not just cyclical Enterprise AI workloads (training + inference) are less price-sensitive Higher-value services (AI, data, security) → structurally better margins But the constraint: AI infra (GPUs, data centres) is front-loaded capex Depreciation + energy costs hit before revenue fully scales China cloud competition (Huawei, state players) caps aggressive pricing 👉 Net effect: Price hikes can slow margin erosion, but unlikely to “fix” next-quarter profits. --- 2
Your framing is accurate. Both Alibaba Group and Tencent are entering a capex-heavy AI phase, and the market is struggling to price the transition....
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1.50K
General
Barcode
·
03-20
$S&P 500(.SPX)$ $Cboe Volatility Index(VIX)$  $SPDR S&P 500 ETF Trust(SPY)$  📉📊📉 S&P 500 Breaks 200DMA: Oil Shock, Negative Gamma Feedback Loop, and Breadth Collapse Signal Regime Shift 📉📊📉 📉 The $SPX has broken its 200-day moving average for the first time since May 2025, signalling a transition from trend support to distribution risk. ⚠️ 6619.11 now defines the inflection. A sustained close below this level historically marks the shift from liquidity-supported dips to rallies that are increasingly sold into strength. 📊 Market breadth continues to deteriorate. Only ~47 % of constituents remain above their own 200DMA, leaving index p
$S&P 500(.SPX)$ $Cboe Volatility Index(VIX)$ $SPDR S&P 500 ETF Trust(SPY)$ 📉📊📉 S&P 500 Breaks 200DMA: Oil Shock, Negative Gamma Feedback Loop, and ...
TOP1PC: Nice Sharing 😁 Critical level & time 🙏 @Aqa @Shernice軒嬣 2000 @koolgal @JC888 @DiAngel @Shyon
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1.71K
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nerdbull1669
·
03-20

Alibaba Watch "CAPEX Trap" Risk vs "Margin Engine". Tencent Better AI Potential.

As of March 20, 2026, both $Alibaba(BABA)$ Alibaba and $TENCENT(00700)$ Tencent have released their latest earnings (Q4 2025/FY 2025), and the market reaction has been telling. While both face headwinds in their legacy businesses—e-commerce for Alibaba and a mix of gaming/ads for Tencent—their AI trajectories are diverging into two distinct models: Infrastructure (Alibaba) vs. Ecosystem Integration (Tencent). AI as the New Growth Engine: Fact or Friction? For both companies, AI is no longer a "future" project; it is actively offsetting the stagnation in their core segments. However, the "miss" in expectations primarily stems from the massive costs required to fuel this engine. Alibaba: AI is the volume d
Alibaba Watch "CAPEX Trap" Risk vs "Margin Engine". Tencent Better AI Potential.
TOP1PC: Nice Sharing 😁 @Barcode @Shyon @Shernice軒嬣 2000 @JC888 @koolgal @Aqa @DiAngel
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