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David Solomon, Goldman Sachs CEO, recently stated that he does not expect the Fed to cut rates this year due to resilient U.S. government spending and AI infrastructure investments boosting economic resilience against the Fed’s monetary tightening.
Solomon’s view on interest rates aligns with that of another Wall Street heavyweight, JPMorgan Chase CEO Jamie Dimon.
$S&P 500 Index(.SPX.US$ $Nasdaq Composite Index(.IXIC.US$ $Dow Jones Industrial Average(.DJI.US$ $Alphabet-A(GOOGL.US$ $Alphabet-C(GOOG.US$ $NVIDIA(NVDA.US$ $Meta Platforms(META.US$ $Microsoft(MSFT.US$
Solomon’s view on interest rates aligns with that of another Wall Street heavyweight, JPMorgan Chase CEO Jamie Dimon.
$S&P 500 Index(.SPX.US$ $Nasdaq Composite Index(.IXIC.US$ $Dow Jones Industrial Average(.DJI.US$ $Alphabet-A(GOOGL.US$ $Alphabet-C(GOOG.US$ $NVIDIA(NVDA.US$ $Meta Platforms(META.US$ $Microsoft(MSFT.US$
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Options trading to me is like buying insurance for unforeseen outcomes.
Hi, mooers. Welcome back to Mooers' Stories, where we present mooers' insights and experiences from our community. 🎤
Today, we're thrilled to bring you a special post on options trading with @CasualInvestor.
He will share his journey from a novice to a proficient options trader, delve into strategies, and offer advice for beginners.
Dive into the post and joi...
Hi, mooers. Welcome back to Mooers' Stories, where we present mooers' insights and experiences from our community. 🎤
Today, we're thrilled to bring you a special post on options trading with @CasualInvestor.
He will share his journey from a novice to a proficient options trader, delve into strategies, and offer advice for beginners.
Dive into the post and joi...
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$Sea(SE.US$ is releasing its Q1 2024 earnings on May 14 before the bell.
How will the market react to the company's quarterly results? Vote your answer to participate!
Rewards
● An equal share of 3,000 points: For mooers who correctly guess the price range of $Sea(SE.US$'s closing price at 16:00 PM ET May 14 / 4:00 AM SGT May 15 (e.g., If 30 mooers make a correct guess, each of them will get 100 points.)
Wanna forecast stoc...
How will the market react to the company's quarterly results? Vote your answer to participate!
Rewards
● An equal share of 3,000 points: For mooers who correctly guess the price range of $Sea(SE.US$'s closing price at 16:00 PM ET May 14 / 4:00 AM SGT May 15 (e.g., If 30 mooers make a correct guess, each of them will get 100 points.)
Wanna forecast stoc...
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When to start investing? The standard answer you heard is probably NOW!
This is true to some extent, but if we dig a bit deeper, a better interpretation might be: the best time to start learning about investing is NOW, but the best time to invest is when an asset's market value is below intrinsic value.
Amid such a sharp pullback from last December, some investors have cashed in on their money, waiting for the"right" moment to enter trades again. F...
This is true to some extent, but if we dig a bit deeper, a better interpretation might be: the best time to start learning about investing is NOW, but the best time to invest is when an asset's market value is below intrinsic value.
Amid such a sharp pullback from last December, some investors have cashed in on their money, waiting for the"right" moment to enter trades again. F...
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First, my heavy stocks are optimistic about the metaverse $NVIDIA(NVDA.US$ $Advanced Micro Devices(AMD.US$ $Meta Platforms(FB.US$
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Under the background of lack of core, is it the chip that has risen best? No, it’s actually upstream equipment. If you don’t believe me, let’s take a look at ASML’s stock price, which has quadrupled since March 2020. Because the production capacity cannot keep up, it takes two years for the production capacity to land. Therefore, manufacturers such as TSMC have to buy the upstream equipment first. The lithography machine is actually expected to get up first. That is, the second wave is TSMC and SMIC, which are speculating in the middle reaches, and the third wave is the turn of upstream materials.
Compared with traditional fuel vehicles, power batteries, software services, smart modules, etc. are all incremental markets, and they will become smart terminals like mobile phones in the future.
New energy vehicles are a good industry. Viewed from three dimensions, they can be researched, tracked, and imaginable. It can be mutually verified from the entire industry chain. $Tesla(TSLA.US$ $ASML Holding(ASML.US$ $Taiwan Semiconductor(TSM.US$ $NVIDIA(NVDA.US$
Compared with traditional fuel vehicles, power batteries, software services, smart modules, etc. are all incremental markets, and they will become smart terminals like mobile phones in the future.
New energy vehicles are a good industry. Viewed from three dimensions, they can be researched, tracked, and imaginable. It can be mutually verified from the entire industry chain. $Tesla(TSLA.US$ $ASML Holding(ASML.US$ $Taiwan Semiconductor(TSM.US$ $NVIDIA(NVDA.US$
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The quality of the financial report indicates whether the company's profit situation is “rising” or “falling” when this quarter's earnings report is better than the previous one? This needs to be considered from many aspects
1. “When the current stock price exceeds the highest point in history” and the financial report exceeds expectations, it is basically in an upward state. When there is a large influx of buyers, the stock price will continue to rise because there is no pressure from above
2. “When the current stock price is near the highest point in history” good financial reports will push the stock price to reach an all-time high and then begin to fall back. This is because people who were previously at the highest point in history sell because they thought it would be difficult to break the deal and then rise again due to the entry of new buyers
3. “When the current stock price is low”, the financial report will basically be in the early stages of an upward trend, and many people will hardly sell duvet covers because the stock price is low
These are all situations that occur when financial reports are good, and then let's discuss what kind of trends occur when financial reports are bad
“The situation is basically the same”
1. When the financial report is bad, it immediately falls, and the company's fundamentals are relatively good. When the potential for development falls, others only think that it is a discount, and buying one after another causes the stock price to return to the price before the earnings report
2. Companies that already have poor fundamentals will naturally lead to lower and lower stock prices that are not easy to turn over
I never gamble on financial reports. I just look at whether there is an opportunity to enter the market after the earnings report. Gambling on “financial reports” is not as good as betting on “news”
This is my personal opinion, if the situation doesn't suit you, you can comment below. Let's learn to trade stocks with each other, and we'll never end on our way to learning $Netflix(NFLX.US$ $Procter & Gamble(PG.US$ $Tesla(TSLA.US$ $Vinco Ventures(BBIG.US$ $Zillow-C(Z.US$ $Apple(AAPL.US$ $Citius Pharmaceuticals(CTXR.US$
1. “When the current stock price exceeds the highest point in history” and the financial report exceeds expectations, it is basically in an upward state. When there is a large influx of buyers, the stock price will continue to rise because there is no pressure from above
2. “When the current stock price is near the highest point in history” good financial reports will push the stock price to reach an all-time high and then begin to fall back. This is because people who were previously at the highest point in history sell because they thought it would be difficult to break the deal and then rise again due to the entry of new buyers
3. “When the current stock price is low”, the financial report will basically be in the early stages of an upward trend, and many people will hardly sell duvet covers because the stock price is low
These are all situations that occur when financial reports are good, and then let's discuss what kind of trends occur when financial reports are bad
“The situation is basically the same”
1. When the financial report is bad, it immediately falls, and the company's fundamentals are relatively good. When the potential for development falls, others only think that it is a discount, and buying one after another causes the stock price to return to the price before the earnings report
2. Companies that already have poor fundamentals will naturally lead to lower and lower stock prices that are not easy to turn over
I never gamble on financial reports. I just look at whether there is an opportunity to enter the market after the earnings report. Gambling on “financial reports” is not as good as betting on “news”
This is my personal opinion, if the situation doesn't suit you, you can comment below. Let's learn to trade stocks with each other, and we'll never end on our way to learning $Netflix(NFLX.US$ $Procter & Gamble(PG.US$ $Tesla(TSLA.US$ $Vinco Ventures(BBIG.US$ $Zillow-C(Z.US$ $Apple(AAPL.US$ $Citius Pharmaceuticals(CTXR.US$
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this has to be paypal. he has strong foundation, monetarily capable and strong business case. i believed in him hence i got mine at $300ish. i believe in YOU! see u at the moon! $PayPal(PYPL.US$
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$SIA(C6L.SG$ The chives at cost > 4.8: Cut the chips you have on hand as soon as possible. If you don't hand over the chips, the bookmaker won't go up; do you think the bookmaker will spend a high price to unpack or even make money; even if you are optimistic about the prospects, you can just let go and wait for a better price to buy again with the dealer; in the current situation, instead of losing money, wouldn't it be nice to buy some mask disinfectant in exchange for cash???
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