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06-24
$SanDisk Corp.(SNDK)$ $NVIDIA(NVDA)$  $Micron Technology(MU)$  🚨 $SNDK SanDisk’s AI Memory Supercycle Faces Its First Major Reality Check 🚨 SanDisk $SNDK is on track for its 2nd worst trading day of 2026, plunging more than 12% intraday as memory semiconductor stocks come under heavy selling pressure. After an extraordinary rally, $SNDK is still holding an incredible 739% return for 2026, but today’s move highlights the biggest question facing AI infrastructure investors: Has the market simply taken profits, or is it starting to question the sustainability of the AI spending cycle? The semiconductor ecosystem is feeling the pressure. Memory weak
$SanDisk Corp.(SNDK)$ $NVIDIA(NVDA)$ $Micron Technology(MU)$ 🚨 $SNDK SanDisk’s AI Memory Supercycle Faces Its First Major Reality Check 🚨 SanDisk $...
TOPAlanBright: Memory names ran way ahead of proof. If hyperscaler cash flow is rolling over, SNDK and MU getting hit here makes sense — does NVDA dodge that test for long?
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D45
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06-24
$ProShares UltraPro QQQ(TQQQ)$ 定投項目 論「猜頂」這門虧錢的玄學:2026市場迷因圖鑑 投資市場裡總有一種奇景,比八點檔還精彩:只要大盤連漲三天、市場出現三個紅K,你就會看到各路「K線仙」從四面八方湧出,彷彿集體中邪。有人拿著麥克筆在螢幕上畫線,畫得比交通標線還複雜;有人拿出估值模型,算出本益比已經高到火星去;還有人掐指一算,說「午時三刻,大盤必崩」。 但在2026年的今天,我越來越覺得,**精準預測市場頂部,不是專業,而是一種行為藝術**——而且是一種虧錢速度最快的行為藝術。 #### **第一幕:白宮發推文,牛熊都失神** 以前的總經分析,至少像看氣象預報,雖然偶爾不準,但多少有個衛星雲圖。現在的美股,完全是一場**「即興脫口秀」**,而主持人就是川普(或任何掌權者)。 現在的市場邏輯簡單粗暴: **早上九點**:分析師:「根據費波南西係數,壓力重重。」 **早上九點零一分**:總統在Truth Social發文:「我考慮對某國豁免關稅,只是考慮喔。」 **早上九點零二分**:道瓊期貨瞬間暴漲800點,所有技術線圖瞬間被「推文海嘯」沖進馬桶。 這種「一句話讓世界為你震盪」的劇情,2026年天天上演。**當市場漲跌不再看獲利,只看某人當下的起床氣,你還在畫線?那不是預測,是在畫符。** #### **第二幕:AI的頂,是給人摔的** 說到猜頂,今年最慘烈的戰場就是AI賽道。上半年的AI行情,熱到連路邊賣香腸的阿伯都在問你有沒有買輝達。那時候,一堆機構急著跳出來喊「泡沫!見頂!」,還拿出對比2000年網路泡沫的圖表嚇人。 結果呢?AI繼續噴,噴到專家們把報告撕掉,改發「調高目標價」的文。 但真正的黑色幽默在六月降臨——**谷歌**因為核心AI人才鬧
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06-24 06:00
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$ProShares UltraPro QQQ(TQQQ)$ 定投項目 論「猜頂」這門虧錢的玄學:2026市場迷因圖鑑 投資市場裡總有一種奇景,比八點檔還精彩:只要大盤連漲三天、市場出現三個紅K,你就會看到各路「K線仙」從四面八方湧出,彷彿集體中邪。有人拿著麥克筆在螢幕上畫線,畫得比交通標線還...
TOPqwertd: To tell the truth, guess the top is really easy to debug to explode your own warehouse
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Mkoh
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06-24

The Compounding Machine: Why Dividend Taxes Aren't the Real Enemy

If you invest in Singapore or Hong Kong, you enjoy a massive structural advantage: 0% tax on dividends. Because of this, local investors often view dividends as "free money." But even when Uncle Sam or the taxman isn't taking a cut, paying out a dividend completely changes how a stock compounds. Let’s look at the math when a company earns $100 in profit and has to decide what to do with it. Watch What Happens to Each Half Assume the companys stock trades at a premiumsay, 4 times its book value (the net value of its physical assets). This is common for high-quality businesses with strong moats.  The $40 Dividend: Thanks to the local tax laws, you get the full $40. No tax drag. But what happens when you try to reinvest it? To buy back into the same company, you have to pay the market pr
The Compounding Machine: Why Dividend Taxes Aren't the Real Enemy
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06-24

$WMT Builds Momentum Above $119, Next Stop $130?

$Wal-Mart(WMT)$ $Walmart (WMT) Climbs +1.91%: Retail Giant Eyes $120 Breakout Amid Strategic Acquisition 📈 Latest Close: $WMT closed at $119.42 on 2026-06-24, up +1.91% (+$2.24). The stock is now ~11.6% below its 52-week high of $135.16. 💡 Core Market Drivers: The stock's rise is supported by news of a $1.4B strategic acquisition of Vibe.co, signaling aggressive expansion into digital/tech verticals. This move, coupled with a resilient consumer spending backdrop, is fueling positive sentiment. 📊 Technical Analysis: Volume was solid at 23.4M shares (Volume Ratio: 0.98). The RSI(6) at 52.75 has moved out of oversold territory, showing improving short-term momentum. However, the MACD remains negative (DIF: -1.64, DEA: -1.90), indicating the broader tr
$WMT Builds Momentum Above $119, Next Stop $130?
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06-24

$CHWY Rebounds 1.94% Off 52-Week Lows, Relief Rally Underway

$Chewy, Inc.(CHWY)$ $Chewy, Inc.(CHWY) Rebounds +1.94%: Bounces Off 52-Week Low, $18.0 Pivot in Focus 📈 Latest Close Data 🗓️ Closed at $17.85 on 2026-06-24, up +1.94% from the previous close of $17.51. The price is trading near its 52-week low of $17.40, significantly below its 52-week high of $43.84. Core Market Drivers ⚙️ The stock has been under pressure following its Q1 2026 earnings report, where strong results were met with profit-taking and analyst target price cuts (e.g., Piper Sandler slashed target from $48 to $30). Recent weakness in consumer discretionary spending and a cautious market outlook for the pet retail sector continue to weigh on sentiment. Technical Analysis 📊 Volume was 12.79M with a Volume Ratio of 1.19, indicating slightl
$CHWY Rebounds 1.94% Off 52-Week Lows, Relief Rally Underway
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Star9811
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06-23
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neo28
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06-23
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来财1996
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06-24
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584
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06-24

$PG Bulls Take Control, $160 Now Back on the Radar 🔥

$Procter & Gamble(PG)$ $Procter & Gamble (PG) Climbs +2.15%: Defensive Giant Holds Firm, Testing $151.37 High 📈 Latest Close Data: The stock closed at $150.86 on June 24, marking a solid +2.15% gain. It now sits just 9.8% below its 52-week high of $167.25. 📰 Core Market Drivers: The stock is benefiting from its defensive qualities amid recent market volatility, with investors seeking shelter in stable consumer staples. Recent positive catalysts include a strong quarterly report in May and a CFO's optimistic outlook for U.S. market growth. 🔧 Technical Analysis: Daily RSI (6) at 60.33 indicates bullish momentum is building without being overbought. The MACD shows a positive DIF of 1.64 above the DEA of 1.20, confirming a bullish trend. However
$PG Bulls Take Control, $160 Now Back on the Radar 🔥
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06-24

$CRM Rallies as AI Acquisition Fears Fade, $155 in Focus

$Salesforce.com(CRM)$ $Salesforce(CRM) Rebounds +2.20%: AI Acquisition Fears Ease, Eyes on $155 Pivot 🚀 Latest Close Data 📊 Closed at $153.42 on 2026-06-24, up +2.20% ($3.30). Still -44.6% below its 52-week high of $276.80. Core Market Drivers ⚙️ The rebound follows Monness upgrading CRM to "Buy" with a $200 target, countering recent fears over its $3.6B acquisition of AI agent firm Fin. The stock had suffered an historic 11-day losing streak on integration concerns. Technical Analysis 📈 Volume was 20.72M shares (Volume Ratio 0.81), indicating average participation. RSI(6) at 25.5 remains in oversold territory, suggesting potential for further relief. However, MACD (-6.37) and RSI(12) at 32.0 are still bearish, indicating the uptrend is not yet con
$CRM Rallies as AI Acquisition Fears Fade, $155 in Focus
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06-24

$ILMN Awakens: 2.20% Rally Puts $167 Breakout on Deck 🚀

$Illumina(ILMN)$ $Illumina (ILMN) Rallies +2.20%: Tech Giant Breaks Above Pivot, Eyes $167 Zone 🚀 Latest Close Data 📊 Closed at $164.93 on 2026-06-24, up +2.20%. Currently 6.9% below its 52-week high of $177.22. Core Market Drivers 🧬💡 Product Innovation: Recent launch of a high-sensitivity, distributed whole-genome sequencing solution for cancer MRD research is boosting sentiment in the precision medicine space. Sector Momentum: The broader life sciences tools sector has shown strength, with peers like Agilent also posting significant gains recently. Technical Analysis 📈 Volume: Healthy volume of 2.06M shares (Volume Ratio: 1.04) confirms the upward move. RSI: The 6-day RSI at 58.07 and 12-day at 59.02 indicate building bullish momentum without be
$ILMN Awakens: 2.20% Rally Puts $167 Breakout on Deck 🚀
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06-24

$ZM Could Surprise the Market if $90 Finally Breaks

$Zoom(ZM)$ $Zoom (ZM) Rebounds +2.50%: AI Workflow Platform Holds Support, Eyes $90 Resistance 🚀 Latest Close Data 📊 Closed at $86.445 on 2026-06-24, up +2.50%. The stock remains -24.7% below its 52-week high of $114.74. Core Market Drivers ⚙️ The rebound follows a series of volatile sessions, with recent price action driven by profit-taking after strong gains. The company's transition from a video conferencing tool to an enterprise AI workflow platform continues to be the core long-term narrative, supported by solid enterprise customer growth. Technical Analysis 📈 Volume was 3.91M (Volume Ratio: 0.73), indicating subdued activity. The RSI(6) at 28.62 is recovering from oversold territory, suggesting waning selling momentum. However, the MACD remain
$ZM Could Surprise the Market if $90 Finally Breaks
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06-24

$BUD Climbs Toward 52-Week High, Bulls Eye $90 Breakout

$Anheuser-Busch Inbev SA(BUD)$ $Anheuser Busch InBev (BUD) Rises +2.67%: Beer Giant Nears 52-Week High on Strong Q1 Momentum 🍺📈 Latest Close Data 🕒 Closed at $82.99 on 2026-06-24, up +2.67% from the previous close. The stock is now just $1.47 (1.7%) away from its 52-week high of $84.46. Core Market Drivers ⚙️ The rally is primarily fueled by the company's stellar Q1 earnings, where both revenue ($15.27B) and EPS ($0.97) significantly beat expectations. Continued optimism surrounds the upcoming FIFA World Cup, expected to boost premium brand sales like Stella Artois in key markets. Technical Analysis 📊 Volume: Trading volume of 1.96M shares is healthy, with a Volume Ratio of 1.22, indicating increased buying interest. RSI: The 6-day RSI jumped to 66
$BUD Climbs Toward 52-Week High, Bulls Eye $90 Breakout
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06-24

Is $EXPE About to Start Its Next Major Rally?

$Expedia(EXPE)$ $Expedia (EXPE) Jumps +2.96%: Travel Giant Breaks Consolidation, Eyes $250 Pivot 🚀 Latest Close Data On 2026-06-24, EXPE closed at $245.07, up +2.96% ($7.05). The stock sits ~19.3% below its 52-week high of $303.80. Core Market Drivers The rebound follows a period of consolidation after a post-earnings sell-off in May, where strong Q1 results were overshadowed by a maintained full-year revenue outlook. The recent uptick aligns with a broader market recovery in tech and consumer discretionary sectors, suggesting a potential re-evaluation of its stable guidance amidst resilient travel demand. Technical Analysis Volume was solid at 1.69M shares (Volume Ratio 0.92), indicating steady participation. Key momentum indicators are turning b
Is $EXPE About to Start Its Next Major Rally?
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06-24

$VZ Jumps 3%, Reclaims $46.7 as Bulls Target $48 Breakout

$Verizon(VZ)$ Verizon Communications Inc. (VZ) Reclaims $46.7, +3.02%: Defying Downgrade Pressure with Value Support 📈 Latest Close Data 📊 Closed at $46.73 on 2026-06-24, up +3.02% (+$1.37). The stock is now $4.95 (-9.6%) below its 52-week high of $51.68. Core Market Drivers 🧠 The stock rebounded despite the major news that $Alphabet(GOOGL)$ will replace Verizon in the $Dow Jones(.DJI)$ effective June 29th. This structural change, alongside ongoing industry headwinds for telecoms, created significant selling pressure, but strong buying interest emerged at lower valuations. Technical Analysis 📉📊 Volume was 23.02M shares (Volume Ratio: 0.70), indicating average part
$VZ Jumps 3%, Reclaims $46.7 as Bulls Target $48 Breakout
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06-24

$SE Rallies on AI and U.S. Expansion Plans, Bulls Eye $100

$Sea Ltd(SE)$ $Sea Ltd (SE) Rallies +3.09%: AI Chatbot & US Expansion Test Ignite Momentum, Eyes $95 Pivot 📈 Latest Close Data Closed at $91.79 (+3.09%) on June 24, 2026. The stock is now ~54% below its 52-week high of $199.30, indicating significant recovery potential. 🚀 Core Market Drivers Growth Catalyst: Sea announced testing of its AI chatbot "Migoo" and plans to expand into the US market, sparking optimism for new revenue streams. Sector Rebound: The stock recovered from a pre-market dip, supported by broader e-commerce sector strength (e.g., Amazon, eBay gains). Fundamental Support: Q1 Shopee GMV grew 30.2% YoY to $37.3B, underpinning the recovery narrative post-recent cost-cutting measures. 🔍 Technical Analysis Volume was 3.24M shares (V
$SE Rallies on AI and U.S. Expansion Plans, Bulls Eye $100
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06-24

$T Eyes $25 Resistance as Telecom Stocks Regain Strength

$AT&T Inc(T)$ $AT&T Inc.(T) Rebounds +3.21%: Telecom Giant Finds Support, Eyes $25 Resistance 🚀 Latest Close Data 📊 Closed at $22.81 on 2026-06-24, up +3.21% (+$0.71). The stock remains -23.4% below its 52-week high of $29.79. Core Market Drivers 📰 The stock rebounded from recent lows, with sector peers like Verizon also showing strength. However, competitive pressures in FWA (Fixed Wireless Access) and market share challenges from rivals like T-Mobile continue to weigh on long-term sentiment. Technical Analysis 📈 Volume was elevated at 73.6M shares (Volume Ratio: 1.17), confirming the bullish move. The RSI(6) jumped to 48.55, exiting the oversold territory (<30) and indicating a shift in short-term momentum. The MACD histogram shows a sli
$T Eyes $25 Resistance as Telecom Stocks Regain Strength
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06-24

$ETSY RSI Hits 76 as Bulls Challenge 52-Week Highs

$Etsy(ETSY)$ Etsy, Inc. (ETSY) Surged +3.24%: Approaching 52-Week High, $75 Breakout in Sight 🚀 📈 Latest Close Data Closed at $74.89 (USD) on 2026-06-24, up +3.24% (+$2.35). The stock is now just ~2.1% away from its 52-week high of $76.52. 💡 Core Market Drivers The rally is supported by recent analyst optimism, including Arete's upgrade to "Buy" with a $76 target in May. Strong Q1 earnings (beating estimates by 43%) and a positive market environment for niche e-commerce platforms are fueling momentum. 🔬 Technical Analysis Volume was 2.33M shares with a Volume Ratio of 0.66, indicating consolidation after recent gains. The RSI(6) at 75.72 shows strong bullish momentum but is nearing overbought territory. MACD (DIF: 2.98, DEA: 2.62, MACD: 0.72) rema
$ETSY RSI Hits 76 as Bulls Challenge 52-Week Highs
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06-24

$LULU Jumps 3.3%: Is a Long-Awaited Bottom Finally In?

$Lululemon Athletica(LULU)$ $lululemon athletica (LULU) Rallies +3.31%: Bouncing Off 52-Week Low, Momentum Reversing? 📈 Latest Close Data 📊 LULU closed at $108.92 on 2026-06-24, up +3.31% (+$3.49). The stock is trading just above its 52-week low of $104.44, but remains -56.8% below its 52-week high of $252.24. Core Market Drivers 🧠 The stock is attempting a technical rebound from deeply oversold levels following a steep year-to-date decline of ~45%. Recent negative sentiment stemmed from lowered full-year guidance and concerns over product innovation stagnation in the U.S. market. The broader retail sector remains under pressure from consumer spending shifts. Technical Analysis 🔍 Volume was robust at 4.66M shares (volume ratio: 1.10), suggesting g
$LULU Jumps 3.3%: Is a Long-Awaited Bottom Finally In?
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06-24

$JNJ Powers Higher After Legal Victory, Eyes $250 Next

$Johnson & Johnson(JNJ)$ $Johnson & Johnson (JNJ) Rallies +3.37%: Legal Relief Fuels Breakout, Eyes $240+ Zone 🚀 Latest Close Data 📊 Closed at $239.08 (+3.37%) on 2026-06-24, now just ~5% below its 52-week high of $251.71. Core Market Drivers ⚖️ The primary catalyst was a favorable court ruling that halved the talcum powder lawsuit damages to $2.1B, significantly easing near-term litigation overhang. The stock also benefited from a positive sector sentiment, with peers like Merck showing strength. Technical Analysis 📈 Volume was solid at 11.8M shares (Volume Ratio: 1.15), confirming the bullish move. RSI(6) surged to 64.01, exiting neutral territory and showing strong upward momentum. MACD turned positive with a reading of 0.40, indicating
$JNJ Powers Higher After Legal Victory, Eyes $250 Next
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