DLHuat88
voted
Tesla reports record quarterly earnings but revenue misses than expectation
Claim your Earnings Season offer by winning Rewards Points and discovering Investment Opportunities!
Key Takeaways:
Attitude: The third-quarter of 2022 was still a strong quarter with record revenue, operating profit and free cash flow. Tesla's free cash flow surpassed $3 billion in Q3 and approached $9 billion in the last 12 months. Besides, Tesla achieved an industry-leading operating marg...
Claim your Earnings Season offer by winning Rewards Points and discovering Investment Opportunities!
Key Takeaways:
Attitude: The third-quarter of 2022 was still a strong quarter with record revenue, operating profit and free cash flow. Tesla's free cash flow surpassed $3 billion in Q3 and approached $9 billion in the last 12 months. Besides, Tesla achieved an industry-leading operating marg...
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DLHuat88
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DLHuat88
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$Tesla(TSLA.US$ about to turn around.
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ColumnsMusk Officially Sold Shares!
Tesla Inc Chief Executive Officer Elon Musk has sold another 934,091 shares of the electric vehicle maker worth US$963.2 million, U.S. securities filings showed on Thursday.
He also exercised stock options to buy 2.17 million shares of Tesla, according to the filings.
What do you think of the behaviour of Musk? is $Tesla(TSLA.US$ a buy now?
He also exercised stock options to buy 2.17 million shares of Tesla, according to the filings.
What do you think of the behaviour of Musk? is $Tesla(TSLA.US$ a buy now?
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DLHuat88
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$Paysafe(PSFE.US$ please reach $8
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DLHuat88
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Can we ride on the coattails of star institutions to the moon? Moomoo app allows us to see the positions of top funds based on 13F filings (Quotes > Explore > Star Institutions). Compared to retail investors, institutional investors (sovereign funds, hedge funds, mutual funds, insurance companies, pension funds, etc) have the advantage of immense capital, teams of dedicated analysts and connections retail investors can only dream of. They may be aware of information that retail investor are not aware of or get the information earlier and they can influence the price of a stock due to the size of their trades. Thus, the positions they take can serve as a useful clue of which stocks are undervalued or overvalued.
$ARK Fintech Innovation ETF(ARKF.US$ $ARK Innovation ETF(ARKK.US$ $ARK Autonomous Technology & Robotics ETF(ARKQ.US$ $ARK Next Generation Internet ETF(ARKW.US$ $Vanguard S&P 500 ETF(VOO.US$ $SPDR S&P 500 ETF(SPY.US$ $Apple(AAPL.US$ $Alphabet-C(GOOG.US$ $Alphabet-A(GOOGL.US$ $Tesla(TSLA.US$ $Meta Platforms(FB.US$ $Netflix(NFLX.US$ $NVIDIA(NVDA.US$ $Amazon(AMZN.US$ $Advanced Micro Devices(AMD.US$ $Lucid Group(LCID.US$ $Berkshire Hathaway-A(BRK.A.US$ $Berkshire Hathaway-B(BRK.B.US$ $Tiger Global Holdings(BK2121.US$ $BYD Co.(BYDDF.US$ $Alibaba(BABA.US$ $DiDi Global (Delisted)(DIDI.US$ $PDD Holdings(PDD.US$ $Temasek Holdings(BK2536.US$ $Snowflake(SNOW.US$ $Microsoft(MSFT.US$ $TAL Education(TAL.US$
Having said that, institutional investors are not infallible. They have made their share of costly mistakes because they too cannot predict the future (the regulation in China against the private education sector was a prime example $New Oriental(EDU.US$ which caught institutional funds like Temasek Holdings by surprise).
Most importantly, the structuring of one’s investment portfolio should be guided by one’s investment objective, financial needs, time horizon of investment and risk profile which would not match those of institutional investors. What is a suitable investment for the fund may not be suitable for oneself due to differences in the depth of the pocket and exposure to risks, among others.
In addition, the information from 13F may be too late for retail investors to leverage on as the price may have changed since the trades. It also does not tell us the whole story; for instance, institutional funds may take up long positions as a hedge against short positions.
While we all desire our investments to fly to the moon, the positions of star institutions should be used with care; it should be one of many things to consider as part of our research rather than something to be followed blindly.
Disclaimer: The above is my personal opinion. It is not financial advice or a recommendation to invest. Please consult a financial advisor before making any investment decision.
Check out Long Term Investment - A Strategy For Growing Returns Without Sleepless Nights https://www.moomoo.com/community/feed/107495017873414?lang_code=2
$ARK Fintech Innovation ETF(ARKF.US$ $ARK Innovation ETF(ARKK.US$ $ARK Autonomous Technology & Robotics ETF(ARKQ.US$ $ARK Next Generation Internet ETF(ARKW.US$ $Vanguard S&P 500 ETF(VOO.US$ $SPDR S&P 500 ETF(SPY.US$ $Apple(AAPL.US$ $Alphabet-C(GOOG.US$ $Alphabet-A(GOOGL.US$ $Tesla(TSLA.US$ $Meta Platforms(FB.US$ $Netflix(NFLX.US$ $NVIDIA(NVDA.US$ $Amazon(AMZN.US$ $Advanced Micro Devices(AMD.US$ $Lucid Group(LCID.US$ $Berkshire Hathaway-A(BRK.A.US$ $Berkshire Hathaway-B(BRK.B.US$ $Tiger Global Holdings(BK2121.US$ $BYD Co.(BYDDF.US$ $Alibaba(BABA.US$ $DiDi Global (Delisted)(DIDI.US$ $PDD Holdings(PDD.US$ $Temasek Holdings(BK2536.US$ $Snowflake(SNOW.US$ $Microsoft(MSFT.US$ $TAL Education(TAL.US$
Having said that, institutional investors are not infallible. They have made their share of costly mistakes because they too cannot predict the future (the regulation in China against the private education sector was a prime example $New Oriental(EDU.US$ which caught institutional funds like Temasek Holdings by surprise).
Most importantly, the structuring of one’s investment portfolio should be guided by one’s investment objective, financial needs, time horizon of investment and risk profile which would not match those of institutional investors. What is a suitable investment for the fund may not be suitable for oneself due to differences in the depth of the pocket and exposure to risks, among others.
In addition, the information from 13F may be too late for retail investors to leverage on as the price may have changed since the trades. It also does not tell us the whole story; for instance, institutional funds may take up long positions as a hedge against short positions.
While we all desire our investments to fly to the moon, the positions of star institutions should be used with care; it should be one of many things to consider as part of our research rather than something to be followed blindly.
Disclaimer: The above is my personal opinion. It is not financial advice or a recommendation to invest. Please consult a financial advisor before making any investment decision.
Check out Long Term Investment - A Strategy For Growing Returns Without Sleepless Nights https://www.moomoo.com/community/feed/107495017873414?lang_code=2
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DLHuat88
voted
In trading on Friday, shares of $AMC Entertainment(AMC.US$ and $GameStop(GME.US$ crossed below their 200-day moving average.
AMC shares were trading lower last week after the CDC confirmed the first Omicron case in the US. Theaters shut down in 2020 amid the start of the pandemic and variant uncertainty has driven fears of possible lockdown measures.
AMC closed Friday’s session lower by 4.2% at $29.01, well off the stock's intraday low of $25.31.
Shares of GameStop, were trading lower as well, following worse-than-expected US job growth data.
GameStop closed Friday’s session lower by 5.1% at $172.39, off the intraday low of $159.05.
If you had $1,000 right now, would you buy the dip in AMC or GME?
AMC shares were trading lower last week after the CDC confirmed the first Omicron case in the US. Theaters shut down in 2020 amid the start of the pandemic and variant uncertainty has driven fears of possible lockdown measures.
AMC closed Friday’s session lower by 4.2% at $29.01, well off the stock's intraday low of $25.31.
Shares of GameStop, were trading lower as well, following worse-than-expected US job growth data.
GameStop closed Friday’s session lower by 5.1% at $172.39, off the intraday low of $159.05.
If you had $1,000 right now, would you buy the dip in AMC or GME?
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