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Reducing Apple holdings to preserve cash, Buffett is bearish on the stock market?
$Berkshire Hathaway-A(BRK.A.US$
At the annual meeting in Omaha on Saturday in Berkshire, Buffett highly praised $Apple(AAPL.US$Apple — But it was previously revealed that he has reduced his holdings in the company.
Berkshire also has the highest cash reserves in history. This has led market participants to interpret that the stock market is not optimistic about the future of the stock market.
Berkshire reports that the iPhone maker held shares worth 135.4 billion US dollars (about 641.9 billion ringgit) at the end of the first quarter, down from 174.3 billion US dollars at the end of last year. As the annual meeting unfolded, the reduction of Apple's shares soon became one of the biggest topics, even though Berkshire had previously reduced Apple's shares.
Buffett told thousands of people in Omaha that despite reducing its holdings, Apple is even better than American Express and Coca Cola; these are all “wonderful” companies owned by Berkshire. He said that unless there are major changes, Apple will remain its biggest investment, and hinted that the tax impact was the reason for the reduction in shareholding.
Buffett added that the iPhone is probably one of the greatest products ever made.
Apple recently faced a series of headwinds — $2 billion (approximately RM9.5 billion) in antitrust fines, declining sales in China, and cancellation of a decade-long car project. The company's stock price fell about 5% this year.
Hand held $200 billion
This reduction...
$Berkshire Hathaway-A(BRK.A.US$
At the annual meeting in Omaha on Saturday in Berkshire, Buffett highly praised $Apple(AAPL.US$Apple — But it was previously revealed that he has reduced his holdings in the company.
Berkshire also has the highest cash reserves in history. This has led market participants to interpret that the stock market is not optimistic about the future of the stock market.
Berkshire reports that the iPhone maker held shares worth 135.4 billion US dollars (about 641.9 billion ringgit) at the end of the first quarter, down from 174.3 billion US dollars at the end of last year. As the annual meeting unfolded, the reduction of Apple's shares soon became one of the biggest topics, even though Berkshire had previously reduced Apple's shares.
Buffett told thousands of people in Omaha that despite reducing its holdings, Apple is even better than American Express and Coca Cola; these are all “wonderful” companies owned by Berkshire. He said that unless there are major changes, Apple will remain its biggest investment, and hinted that the tax impact was the reason for the reduction in shareholding.
Buffett added that the iPhone is probably one of the greatest products ever made.
Apple recently faced a series of headwinds — $2 billion (approximately RM9.5 billion) in antitrust fines, declining sales in China, and cancellation of a decade-long car project. The company's stock price fell about 5% this year.
Hand held $200 billion
This reduction...
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Although investors believe that the Federal Reserve will maintain high interest rates for a longer period of time, the strong corporate earnings season supported the market, and the three major Wall Street stock market indices all closed higher today.
$Dow Jones Industrial Average(.DJI.US$Up 146.43 points, or 0.38%, to close 38386.09 points.
$S&P 500 Index(.SPX.US$Up 16.21 points, or 0.32%, to close 5116.17 points.
$NASDAQ(NASDAQ.US$Up 55.18 points, or 0.35%, to close at 15983.08 points.
As optimism rises, I wonder if it will continue to drive Malaysian stocks to continue to rise?
$FTSE Bursa Malaysia KLCI Index(.KLSE.MY$
$Dow Jones Industrial Average(.DJI.US$Up 146.43 points, or 0.38%, to close 38386.09 points.
$S&P 500 Index(.SPX.US$Up 16.21 points, or 0.32%, to close 5116.17 points.
$NASDAQ(NASDAQ.US$Up 55.18 points, or 0.35%, to close at 15983.08 points.
As optimism rises, I wonder if it will continue to drive Malaysian stocks to continue to rise?
$FTSE Bursa Malaysia KLCI Index(.KLSE.MY$
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Good morning mooers! Here are things you need to know about today's market:
● S&P/TSX 60 Index Standard Futures are trading at 1,318.40, up 0.05%.
● Financial experts see lower recession risk, slower rate cuts: BoC survey
● Higher US LNG deliveries, easing geopolitical tensions to put pressure on EU natural gas prices, Commerzbank says
● Canada aims to attract Honda and ...
● S&P/TSX 60 Index Standard Futures are trading at 1,318.40, up 0.05%.
● Financial experts see lower recession risk, slower rate cuts: BoC survey
● Higher US LNG deliveries, easing geopolitical tensions to put pressure on EU natural gas prices, Commerzbank says
● Canada aims to attract Honda and ...
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Hello, everyone, and welcome back to moomoo. I'm Options Explorer.
Today, in our [Options ABC] series, I'll be discussing the Gamma Scalping strategy.
As significant earnings reports from Delta Air Lines, , $JPMorgan(JPM.US$, $Delta Air Lines(DAL.US$, $Wells Fargo & Co(WFC.US$, and $Citigroup(C.US$ kick off the US stock market's first-quarter earnings season of 2024, market volatility may present a potential opportunity...
Today, in our [Options ABC] series, I'll be discussing the Gamma Scalping strategy.
As significant earnings reports from Delta Air Lines, , $JPMorgan(JPM.US$, $Delta Air Lines(DAL.US$, $Wells Fargo & Co(WFC.US$, and $Citigroup(C.US$ kick off the US stock market's first-quarter earnings season of 2024, market volatility may present a potential opportunity...
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$Tesla(TSLA.US$ Elon Musk has announced that Tesla will lay off over 10% of its global workforce due to overlaps in job roles and functions as the company has expanded rapidly, communicated through an internal memo. As of December 2023, Tesla had 140,473 employees.
Affected employees received emails in their personal accounts late Sunday night, informing them that they were no longer required to work and would be cut off from accessing Tesla’s systems...
Affected employees received emails in their personal accounts late Sunday night, informing them that they were no longer required to work and would be cut off from accessing Tesla’s systems...
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ColumnsUnlocking the Power of High Dividend ETFs: The Ultimate Guide to Boosting Your Investment Portfolio
Why Invest in High Dividend Strategies in the Canadian Market? As one BoA analyst put it, "Embrace dividends, embrace inflation, embrace Canada."
Investing in high dividend strategies, which involves buying stocks or ETFs with high dividend yields, provides relatively stable cash returns through regular shareholder payouts, making it especially valuable during uncertain economic cycles.
When looki...
Investing in high dividend strategies, which involves buying stocks or ETFs with high dividend yields, provides relatively stable cash returns through regular shareholder payouts, making it especially valuable during uncertain economic cycles.
When looki...
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In the field of investment, traditional values often define investment opportunities with “discounts”
Yesterday's high-priced item. If the price drops today, it's considered a treasure
This kind of thinking, which seems logical,
One key factor was actually overlooked: changes in stock valuations
For investors seeking growth,
It's a misconception to simply equate a “discount” with an investment opportunity
In the stock market, superficial “cheap” is often synonymous with “expensive.”
And behind the “expensive” one may be hiding the next growth stock
In fact, the relationship between value and price is more complex and often goes hand in hand
For a long time, many investors have relied on PE as an indicator to invest
However, this approach is easy to fall into misunderstandings
The price-earnings ratio only reflects the historical situation, and there is no predictability for future profit growth
In the market, analysts often suggest investors go to the bottom of stocks that have plummeted in price, believing that they have bottomed out.
The PE value also reached an all-time low
However, against the backdrop of continued macroeconomic deterioration,
These stocks are likely to perform worse and fall into the “bargain” trap
In contrast, stocks with high PE values often represent the market's premium on growth stocks.
This is a normal phenomenon
As the company's profit expectations continue to rise,
The high PE value reflects the market's recognition of its rapid growth
Therefore, instead of trying to predict short-term stock price fluctuations,
It's better to focus on whether the company can continue to improve its profitability.
The core of investing is to determine whether there is potential for stock price appreciation.
We should do it through in-depth analysis of macroeconomic trends, combined with technical analysis...
Yesterday's high-priced item. If the price drops today, it's considered a treasure
This kind of thinking, which seems logical,
One key factor was actually overlooked: changes in stock valuations
For investors seeking growth,
It's a misconception to simply equate a “discount” with an investment opportunity
In the stock market, superficial “cheap” is often synonymous with “expensive.”
And behind the “expensive” one may be hiding the next growth stock
In fact, the relationship between value and price is more complex and often goes hand in hand
For a long time, many investors have relied on PE as an indicator to invest
However, this approach is easy to fall into misunderstandings
The price-earnings ratio only reflects the historical situation, and there is no predictability for future profit growth
In the market, analysts often suggest investors go to the bottom of stocks that have plummeted in price, believing that they have bottomed out.
The PE value also reached an all-time low
However, against the backdrop of continued macroeconomic deterioration,
These stocks are likely to perform worse and fall into the “bargain” trap
In contrast, stocks with high PE values often represent the market's premium on growth stocks.
This is a normal phenomenon
As the company's profit expectations continue to rise,
The high PE value reflects the market's recognition of its rapid growth
Therefore, instead of trying to predict short-term stock price fluctuations,
It's better to focus on whether the company can continue to improve its profitability.
The core of investing is to determine whether there is potential for stock price appreciation.
We should do it through in-depth analysis of macroeconomic trends, combined with technical analysis...
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