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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 πŸ“ˆ Latest Close Data πŸ—“οΈ 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 βš™οΈ 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 πŸ“Š 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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ζ₯θ΄’1996
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06-24
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Trend_Radar
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06-24

$PG Bulls Take Control, $160 Now Back on the Radar πŸ”₯

$Procter & Gamble(PG)$ $Procter & Gamble (PG) Climbs +2.15%: Defensive Giant Holds Firm, Testing $151.37 High πŸ“ˆ 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. πŸ“° 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. πŸ”§ 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 πŸ”₯
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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 πŸš€ Latest Close Data πŸ“Š 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 βš™οΈ 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 πŸ“ˆ 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 πŸš€

$Illumina(ILMN)$ $Illumina (ILMN) Rallies +2.20%: Tech Giant Breaks Above Pivot, Eyes $167 Zone πŸš€ Latest Close Data πŸ“Š 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 πŸ§¬πŸ’‘ 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 πŸ“ˆ 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 πŸš€
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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 πŸš€ Latest Close Data πŸ“Š 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 βš™οΈ 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 πŸ“ˆ 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 πŸΊπŸ“ˆ Latest Close Data πŸ•’ 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 βš™οΈ 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 πŸ“Š 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 πŸš€ 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 πŸ“ˆ Latest Close Data πŸ“Š 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 πŸ“‰πŸ“Š 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 πŸ“ˆ 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. πŸš€ 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. πŸ” 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 πŸš€ Latest Close Data πŸ“Š 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 πŸ“° 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 πŸ“ˆ 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 πŸš€ πŸ“ˆ 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. πŸ’‘ 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. πŸ”¬ 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? πŸ“ˆ Latest Close Data πŸ“Š 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 πŸ” 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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Trend_Radar
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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 πŸš€ Latest Close Data πŸ“Š Closed at $239.08 (+3.37%) on 2026-06-24, now just ~5% below its 52-week high of $251.71. Core Market Drivers βš–οΈ 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 πŸ“ˆ 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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06-24

$MRK Looks Ready to Challenge Its 52-Week High Again

$Merck(MRK)$ $Merck & Co., Inc. (MRK) Surges +3.57%: Keytruda Success & M&A Buzz Fuel Breakout to $120 Zone πŸš€ πŸ“ˆ Latest Close Data Closed at $119.60 on 2026-06-24, up +3.57% (+$4.12). The stock is now just $5.54 (4.4%) away from its 52-week high of $125.14. πŸ’‘ Core Market Drivers M&A speculation is a key catalyst, with reports that Merck is in talks for a potential $280B-$320B acquisition of cancer drug developer Revolution Medicines. 🧬 This move is seen as strategic to bolster its oncology pipeline ahead of the looming patent expiry for its blockbuster drug, Keytruda. Positive analyst sentiment, with Berenberg raising its price target from $115 to $125. πŸ“Š Technical Analysis Volume: Trading volume was 10.47M shares, with a Volume Rati
$MRK Looks Ready to Challenge Its 52-Week High Again
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06-24

$IBM Bounces Off Support, Setting Up a Test of $287 🎯

$IBM(IBM)$ $IBM Surged +5.04%: Tech Giant Rebounds from Oversold, Eyes $287 Resistance πŸš€ Latest Close Data πŸ“Š Closed at $264.94 on 2026-06-24, up +5.04% ($12.72). The stock is now 20.3% below its 52-week high of $332.46. Core Market Drivers 🧠 Sector Rotation & AI Sentiment: The broader tech and AI infrastructure theme, highlighted by recent volatility in global memory chip stocks (e.g., Samsung, SK Hynix), is influencing investor interest in established tech giants like IBM. Strong Institutional Inflow: The latest session saw significant net capital inflow of $40 million, with substantial buying across small, medium, and large orders, indicating renewed institutional confidence. Technical Analysis πŸ“ˆ Volume: Trading volume of 15.69M shares was ro
$IBM Bounces Off Support, Setting Up a Test of $287 🎯
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Tiger_Earnings
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06-24

[Stock Prediction] How will MU close after its earnings report?

Click to vote! $Micron Technology(MU)$ will report its fiscal Q3 2026 earnings after the U.S. market closes on Wednesday. As one of the biggest winners in the AI memory trade, Micron’s earnings could set the tone for memory stocks and the broader AI hardware chain. Wall Street expects Micron to report revenue of around $34.66 billion and adjusted EPS of about $20, compared with $1.91 in the same quarter last year. Micron’s own guidance is revenue of $33.5 billion, plus or minus $750 million, and non-GAAP EPS of $19.15, plus or minus $0.40. Gross margin is expected to be around 81%, which would be a record high for the company. Micron has had a massive run over the past year, driven by strong demand for HBM and DRAM from AI data cente
[Stock Prediction] How will MU close after its earnings report?
TOPι€™ζ˜―η”šιΊΌζ±θ₯Ώ: Post-Earnings Momentum: Downward Consolidation Precedes Long-Term GrowthThe extreme market alignment and a staggering year-to-date rally of over 300% to record highs near $1,211 set an almost impossible bar for a sustained immediate breakout. With consensus projecting an unprecedented 81.6% gross margin and the options market pricing in a massive Β±11% to 17% swing, any forward guidance that does not dramatically exceed these peak expectations will trigger widespread institutional profit-taking, leading to a temporary post-print pullback.
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Young on stocks
Β·
06-23

Memory Stocks Crash. Is the AI Bubble Finally Bursting?

Memory stocks got crushed today. The broader market sold off. And suddenly the same questions are everywhere: Is the AI trade over? Has the memory story peaked? Is this the beginning of the AI bubble bursting? Or is Wall Street finally waking up to reality? The funny thing about markets is that everyone feels like Warren Buffett during a bull run. Every gain gets attributed to skill. Every rally feels justified. But the moment volatility returns, conviction disappears. Investors who were comfortable buying after a 300%, 500%, or even 1,000% move suddenly become terrified after a 10% correction. Yet the reality is simple: A stock dropping does not automatically mean the thesis is broken. Price action and fundamentals are not the same thing. And when great companies become cheaper without a
Memory Stocks Crash. Is the AI Bubble Finally Bursting?
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