🚨Major catalysts this week — Share your game plan!

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Weekly Five Key Areas: Earnings, Macro, Singapore Stocks, Options, Futures

Covering five major market segments this week to help you stay ahead of market trends and plan your trades effectively!

U.S. stocks closed mixed as earnings season began. Small-cap and value stocks extended their year-to-date lead, with the Russell 2000 and S&P MidCap 400 hitting record highs. Big bank earnings were mixed, while TSMC’s strong results lifted AI-related sentiment. Political and trade headlines also added volatility.

Inflation data showed easing pressure. Core CPI rose just 0.2% in December and 2.6% year over year, the slowest pace since 2021. Producer prices picked up slightly due to energy costs. Retail sales beat expectations, though growth in GDP-linked control group sales slowed.

Housing data beat forecasts as mortgage rates declined. New and existing home sales both surprised to the upside. Treasury yields were mixed, while municipal and corporate bonds outperformed on strong demand. Credit spreads tightened and high-yield activity remained solid.

The week ahead: January 19-23

📌【Today’s Question】

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# 💰Stocks to watch today?(19 Jan)

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  • Shyon
    ·01-19 11:26
    TOP
    My stock in focus today is $Albemarle(ALB)$ following news of a bipartisan U.S. bill to create a $2.5B Strategic Resilience Reserve for critical minerals. This signals a stronger policy push to secure lithium and reduce reliance on China, reinforcing the strategic importance of domestic producers like ALB.

    What stands out to me is the potential to establish a Western price structure for minerals. China-driven oversupply previously crushed lithium prices and forced Albemarle to pause U.S. expansion plans in 2024. A government-backed buyer could help stabilize pricing and support long-term investment confidence.

    From my perspective, this is not a short-term catalyst but a meaningful long-term positive for ALB. Policy-backed demand and national security alignment strengthen the investment thesis and could gradually shift Albemarle from a price taker to a strategic supplier in the global lithium market.

    @TigerStars @Tiger_comments @TigerClub

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    • icycrystal
      thanks for sharing
      01-19 21:27
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  • icycrystal
    ·01-19 21:29
    This week's trading strategy is driven by a focus on geopolitical events and key economic data releases from China, the US, and Japan, with an emphasis on defensive assets like gold amid ongoing volatility.
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  • WanEH
    ·01-19 18:31
    奈飞财报在即,我觉得可以使用Bull Call Spread(牛市看涨价差)买入更低行权价看涨期权 + 卖出更高行权价同月看涨期权。
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  • Cadi Poon
    ·01-19 12:19
    通脹數據顯示壓力緩解。12月份核心CPI僅上漲0.2%,同比上漲2.6%,爲2021年以來的最低增速。由於能源成本,生產者價格略有回升。儘管與GDP相關的對照組銷售額增長放緩,但零售額超出預期。

    隨着抵押貸款利率下降,住房數據超出預期。新房和現房銷售均意外上升。美國國債收益率漲跌互現,而市政債券和公司債券因需求強勁而表現出色。信用利差收緊,高收益活動保持穩健。

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  • TimothyX
    ·01-19 12:16
    隨着財報季的開始,美國股市收盤漲跌不一。小盤股和價值股擴大了今年迄今的領先優勢,羅素2000指數和標準普爾中型股400指數創下歷史新高。大型銀行盈利好壞參半,而臺積電的強勁業績提振了人工智能相關情緒。政治和貿易頭條也增加了波動性。
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  • highhand
    ·01-19 11:57
    wait for index to go up and close my puts.
    wait for index to go down and buy some good stocks.
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  • 這是甚麼東西
    ·01-19 10:46
    是时候买入SPDR标普500指数ETF看跌期权了
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