No Data
No Data
No Data
No Data
No Data
(AGBA) - Analyzing AGBA Group Holding's Short Interest
AGBA Group Holding's (NYSE:AGBA) short percent of float has risen 200.0% since its last report. The company recently reported that it has 97 thousand shares sold short, which is 0.54% of all regular s
Benzinga15:00 ET
AGBA Stands Firm: The AGBA-Triller Merger Is Value-Enhancing to All Stakeholders
LOS ANGELES, April 25, 2024 (GLOBE NEWSWIRE) -- AGBA Group Holding Limited (NASDAQ:AGBA) has become aware of a press release issued by Brodsky & Smith ("BS") on April 23, 2024 which claims that BS is conducting an
GlobeNewswireApr 25 16:15 ET
Top Premarket Decliners
Biophytis (BPTS) shares slumped 15% Thursday premarket after the company said it will transfer its American Depositary Shares listing to the OTC Markets. Meta Platforms (META) shares retreated nearly
MT NewswiresApr 25 07:57 ET
Virtu Financial, Mawson Infrastructure Among Financial Movers
Seeking AlphaApr 24 12:00 ET
ING, PALI and FNCH Among Pre-market Losers
Seeking AlphaApr 24 08:45 ET
Why Hibbett Shares Are Trading Higher By 18%; Here Are 20 Stocks Moving Premarket
Shares of Hibbett, Inc. (NASDAQ:HIBB) rose sharply in today's pre-market trading after the company agreed to be acquired by JD Sports Fashion for $87.50 per share in cash, in a $1.1 billion transactio
BenzingaApr 23 08:00 ET
102362254 : I'll hedge my bets on the remaining Magnificent Seven stocks by utilizing options strategies to safeguard my investments during their earnings reports. Monitoring these stocks closely is imperative for potential surprises. Should they underperform, I’ll adjust my portfolio to minimize risks, ensuring it stays in line with market trends and my financial goals.
mr_cashcow :
Yes they are not called the magnificent 7 without any reasons
If the remaining Mag Seven stocks do not report good earnings, it could impact the overall market and investor sentiment. If it happens then I will adjust my portfolios by:
1. Rebalancing: Adjusting the allocation of stocks, bonds, and other assets to maintain their target risk profile.
2. Diversification: Spreading investments across different asset classes, sectors, and geographies to minimize exposure to any one stock or sector.
3. Risk reduction: Reducing exposure to stocks and increasing allocation to bonds, cash, or other less volatile assets.
4. Sector rotation: Shifting focus to sectors that are performing well or expected to benefit from changing market conditions.
5. Active management: Actively monitoring and adjusting investments based on changing market conditions and company-specific factors.
Remember to always do your own research before making investment decisions!
Nitrite : Nice summary buzz article to read with a Saturday morning coffee. Keeps me updated and prepared for next week, on the hot stocks of the week. Keep it up.
HuatLady : I remain calm irregardless of whether the remaining Magnificent 7 companies report strong or weak earnings. As a long-term investor, a negative earnings report is an opportunity for me to purchase more stocks and enhance my portfolio. I approach my investing as a steady journey, not a frantic trade, prioritizing long-term gains over short term ups and downs.
74177906 : 感觉这只股丢了活力
FB17OP 74177906: Yeah is not the same volume anymore, I think someone commented on that couple days ago. Also I think a lot of people left because just of the uncertainty of where it will go from here. Since before it use to be 0.3 the value of a share I understand, I’ve thought also of taking the loss and leave but yeah, I have hopes the volume will come back.
andy(三叔) :
这只股票短短2个星期给人炒到..飙..
年头1/1/2024 到今天为止 这个股票上涨354%... ..但但4月就飙了 250% 很快这个股票就要变成1块然后几毛
No Data
No Data