Happy Friday, mooers! Welcome back to Weekly Buzz, where we review the news, performance, and community sentiment of the selected buzzing stocks on moomoo platform based on search and message volumes of this week! Answer the Weekly Topic question for a chance to win an award next week! Make Your Choice Weekly Buzz The market was volatile this week, with all eyes on tech earnings following a dramatic semiconductor sector. Everything had to do with ear...
Indexes climbed, fell, and finished flat before yet another massive day of after-hours earnings Wednesday. The$S&P 500 Indextraded flat, up 0.02% on preliminary closing figures. The$Dow Jones Industrial Averagefell slightly, down 0.11%, and the$Nasdaq Composite Indexclimbed 0.1%. The S&P 500 and Nasdaq rose in part of the strength of$特斯拉(TSLA.US)$, which gained 12.1% as investors ignored an earnings miss that the EV gi...
Morning Movers Gapping up $谷歌-A(GOOGL.US)$Shares were trading up by 5.6% following a Bloomberg report indicating that Apple is in discussions with Google regarding the potential integration of Google's Gemini artificial intelligence engine into upcoming iPhone models. $超微電腦(SMCI.US)$The company's shares saw a 2.5% increase. As a technology firm that manufactures servers aiding in artificial intelligenc...
HashiCorp's Q4 results were mixed, falling short of net revenue retention rate forecast and full-year revenue guidance. The share repurchase program could be a positive signal, but overall performance was mediocre.
Despite HashiCorp's future revenue projections aligning with the industry, its high P/S might not be sustainable. Shareholders and potential investors may face disappointment if the P/S falls, matching the growth outlook.
Analysts predict growth visibility will remain constrained due to buyer behavior, deal sizes, and go-to-market strategy changes. They cite 'lackluster' cloud results and cut the price target to $26, yet anticipate a potential 2024 rebound.
Low prices triggering insider selling at HashiCorp may hint at anticipated weakness. Despite minor insider buying, overall activity isn't positive. High insider ownership is favorable, showing management-shareholder alignment, but recent sales cause concern.
102362254 : 我會在其盈利報告期間利用期權策略來保護我的投資來對沖剩餘的 Magnificent Seven 股票的投注。密切監控這些股票對潛在的驚喜是必要的。如果其表現不佳,我會調整我的投資組合以最大程度地減少風險,確保其與市場趨勢和我的財務目標一致。
mr_cashcow : 是的,沒有任何理由,它們不被稱為宏偉 7
如果剩餘的 Mag Seven 股票沒有報告良好的收益,則可能會影響整體市場和投資者情緒。如果發生,那麼我將通過以下方式調整我的投資組合:
1.重新平衡:調整股票、債券和其他資產的配置,以維持其目標風險概況。
二.多元化:將投資分散在不同的資產類別、行業和地理地區,以最大程度地減少對任何一股票或行業的風險。
三.降低風險:減少對股票的風險,並增加債券、現金或其他低波動性資產的分配。
4.行業輪換:將重點轉移到表現良好或預期從市場狀況變化中受益的行業。
5.主動管理:根據不斷變化的市場狀況和公司特定因素,主動監控和調整投資。
請記住在做出投資決定之前始終做自己的研究!
Nitrite : 不錯的摘要熱門文章,可以在周六早上喝一杯咖啡一起閱讀。讓我有關本周熱股的最新情況,並為下週做好準備。繼續這麼做。
HuatLady : 無論剩餘的 Magnificent 7 公司報告強勁還是弱的盈利,我仍保持冷靜。作為長期投資者,負盈利報告是我購買更多股票並增強投資組合的機會。我將我的投資視為一個穩定的旅程,而不是一種狂熱的交易,將長期收益優先而不是短期上漲和下跌。
HuatEver : 目前尚不確定剩下的 Magnificent 7 是否會報告良好的收入,但是我們可以準備在時候到來時適當的回應。我會考慮通過重新平衡或分散投資來調整我的投資組合以保持安全。
如果他們讓我失望,我可能會考慮進一步分散或改變我承擔的風險。我的投資決定是基於對整個市場的全面觀點和我個人目標。
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