Account Total Assets Analysis Beta Testing Recruitment – Sign Up Now to Win Stock Vouchers!
The Total Assets Analysis feature is now live, supporting profit and loss analysis for funds!
Below is a general SWOT analysis framework applied to software and consumer product companies. Since the question is broad, I’ll provide an overview that captures common strengths, weaknesses, opportunities, and threats for these industries, drawing from their typical characteristics as of March 17, 2025. Note that specific companies (e.g., Palantir, Apple, etc.) would have unique factors, but this serves as a high-level analysis. Strengths Software Companies: High scalability: Software can be distributed globally with minimal incremental cost once developed. Innovation leadership: Many firms excel in cutting-edge technologies like AI, cloud computing, and cybersecurity. Recurring revenue: Subscription models (e.g., SaaS) provide stable cash flow. Strong intellectual property: Patent
Trading by technical analysis (TA) can be reliable to varying degrees, but its effectiveness depends heavily on context, execution, and the trader’s skill—not to mention market conditions and a dash of luck. It’s not a crystal ball, but it’s not pure guesswork either. Let’s break it down. At its core, TA relies on the idea that historical price patterns, volume trends, and indicators (like moving averages, RSI, or Bollinger Bands) can signal future price movements. Studies suggest it has merit in certain scenarios. For instance, a 2017 paper from the Journal of Financial Markets found that simple technical rules—like moving average crossovers—generated statistically significant returns in equity markets from 1960 to 2010, outperforming buy-and-hold strategies by 2-4% annually after transac
Hey Guys wanna check 2 things for those people who follows me. 1) One is the track record. It shows 100%, Coz am sure a lot of people are better than me. and just wanna make sure I am doing better over a period a time not to compare with anyone as everyone trades differently Potentially it's a roundup scenario.... like 99.99 etc... and it's a huge group of users so... Or Tiger Customer Service can help here. 2) 2nd is the value of Trade Feed. Should I activate it? And what's the value of activating vs the privacy of my portfolio and etc. love to hear you guys comments ... Thanks!
Should Jabil be in your shortlist? Earnings Calendar for the week starting 16Dec24
Earnings Calendar (16Dec24) There are a few notable earnings in the coming week namely Nike, Micron, Accenture and Jabil. Let us look into Jabil The price slipped -0.7% from a year ago. The P/E ratio is 11.9. Technical Analysts recommend the rating of “Strong Buy” for the stock. Analysts Sentiment recommends a “Buy” rating. The target price is $147.25 which implies an upside of over 8.97%. Observations about Jabil: Revenue grew from $17.8B (2015) to $28.8B (2024) Operating profit grew from $0.588B (2015) to $1.43B (2024) EPS grew from $1.45 (2015) to $11.17 (2024) FCF (10-year median margin) is 1.7% Jabil’s forecasted EPS and Revenue are $1.88 and $6.61B respectively. For now, I prefer to monitor Jabil’s performance as a spectator and not an investor.
How to qualify a business? Here's a framework for evaluating a company's financial performance: Income Statement Revenue (or Sales): Evaluation: Look for trends in revenue growth or decline over time. Consistent growth can indicate market demand and business expansion, while erratic or declining revenue might signal market or operational issues. Metric: Year-over-year growth rate. Gross Margin (Gross Profit / Revenue): Evaluation: This shows how much money is left after covering the cost of goods sold (COGS). A stable or increasing gross margin suggests good cost control or pricing power. Metric: Percentage change in gross margin. Net Income: Evaluation: The bottom line shows overall profitability. It's important to understand what drives changes in net income, whether it's operational eff
I came across this good post by Brian Feroldi that highlights 10 KPIs that investors should know. I do not know all of them, but I use some to qualify my long-term holdings.
HI, my suggestion is that if I click on Hide Data, it would be better to be able to hide all of the data on the page, rather than just the one that is currently there. The attached screenshots is for reference only. @TigerPM
Account Total Assets Analysis Beta Testing Recruitment – Sign Up Now to Win Stock Vouchers!
The Total Assets Analysis feature is now live, supporting profit and loss analysis for funds!If you hold multiple types of assets or need aggregated asset analysis, we invite you to join this beta test and be among the first to experience the new features.Key Features:Comprehensive Account Statistics: The total account analysis page consolidates all assets, offering clear and concise asset statistics.Fund Profit and Loss Details: A newly added fund profit and loss analysis feature helps you better track your fund investment performance.Path: Portfolio - Top - Total Assets - P&L AnalysisJoin the Beta Test for RewardsEvent Period: From now until October 18Event Rewards:Sign-Up Reward: Once your sign-up is successfully reviewed, you will receive a USD 5 stock commission-free card.Product
Below is a general SWOT analysis framework applied to software and consumer product companies. Since the question is broad, I’ll provide an overview that captures common strengths, weaknesses, opportunities, and threats for these industries, drawing from their typical characteristics as of March 17, 2025. Note that specific companies (e.g., Palantir, Apple, etc.) would have unique factors, but this serves as a high-level analysis. Strengths Software Companies: High scalability: Software can be distributed globally with minimal incremental cost once developed. Innovation leadership: Many firms excel in cutting-edge technologies like AI, cloud computing, and cybersecurity. Recurring revenue: Subscription models (e.g., SaaS) provide stable cash flow. Strong intellectual property: Patent
Trading by technical analysis (TA) can be reliable to varying degrees, but its effectiveness depends heavily on context, execution, and the trader’s skill—not to mention market conditions and a dash of luck. It’s not a crystal ball, but it’s not pure guesswork either. Let’s break it down. At its core, TA relies on the idea that historical price patterns, volume trends, and indicators (like moving averages, RSI, or Bollinger Bands) can signal future price movements. Studies suggest it has merit in certain scenarios. For instance, a 2017 paper from the Journal of Financial Markets found that simple technical rules—like moving average crossovers—generated statistically significant returns in equity markets from 1960 to 2010, outperforming buy-and-hold strategies by 2-4% annually after transac
Hey Guys wanna check 2 things for those people who follows me. 1) One is the track record. It shows 100%, Coz am sure a lot of people are better than me. and just wanna make sure I am doing better over a period a time not to compare with anyone as everyone trades differently Potentially it's a roundup scenario.... like 99.99 etc... and it's a huge group of users so... Or Tiger Customer Service can help here. 2) 2nd is the value of Trade Feed. Should I activate it? And what's the value of activating vs the privacy of my portfolio and etc. love to hear you guys comments ... Thanks!
How to qualify a business? Here's a framework for evaluating a company's financial performance: Income Statement Revenue (or Sales): Evaluation: Look for trends in revenue growth or decline over time. Consistent growth can indicate market demand and business expansion, while erratic or declining revenue might signal market or operational issues. Metric: Year-over-year growth rate. Gross Margin (Gross Profit / Revenue): Evaluation: This shows how much money is left after covering the cost of goods sold (COGS). A stable or increasing gross margin suggests good cost control or pricing power. Metric: Percentage change in gross margin. Net Income: Evaluation: The bottom line shows overall profitability. It's important to understand what drives changes in net income, whether it's operational eff
Should Jabil be in your shortlist? Earnings Calendar for the week starting 16Dec24
Earnings Calendar (16Dec24) There are a few notable earnings in the coming week namely Nike, Micron, Accenture and Jabil. Let us look into Jabil The price slipped -0.7% from a year ago. The P/E ratio is 11.9. Technical Analysts recommend the rating of “Strong Buy” for the stock. Analysts Sentiment recommends a “Buy” rating. The target price is $147.25 which implies an upside of over 8.97%. Observations about Jabil: Revenue grew from $17.8B (2015) to $28.8B (2024) Operating profit grew from $0.588B (2015) to $1.43B (2024) EPS grew from $1.45 (2015) to $11.17 (2024) FCF (10-year median margin) is 1.7% Jabil’s forecasted EPS and Revenue are $1.88 and $6.61B respectively. For now, I prefer to monitor Jabil’s performance as a spectator and not an investor.
I came across this good post by Brian Feroldi that highlights 10 KPIs that investors should know. I do not know all of them, but I use some to qualify my long-term holdings.
Account Total Assets Analysis Beta Testing Recruitment – Sign Up Now to Win Stock Vouchers!
The Total Assets Analysis feature is now live, supporting profit and loss analysis for funds!If you hold multiple types of assets or need aggregated asset analysis, we invite you to join this beta test and be among the first to experience the new features.Key Features:Comprehensive Account Statistics: The total account analysis page consolidates all assets, offering clear and concise asset statistics.Fund Profit and Loss Details: A newly added fund profit and loss analysis feature helps you better track your fund investment performance.Path: Portfolio - Top - Total Assets - P&L AnalysisJoin the Beta Test for RewardsEvent Period: From now until October 18Event Rewards:Sign-Up Reward: Once your sign-up is successfully reviewed, you will receive a USD 5 stock commission-free card.Product
HI, my suggestion is that if I click on Hide Data, it would be better to be able to hide all of the data on the page, rather than just the one that is currently there. The attached screenshots is for reference only. @TigerPM