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The second quarter was dominated by negative market sentiment amid worries over skyrocketing inflation and the risks of a global recession. The broad market selloff over the past few months led almost all markets to finish the second quarter with negative returns in U.S. dollars and l...
Carnival has incurred huge dilution, defined as share dilution, and a debt built up since the start of the pandemic. I feel as if this is not recognized by investors, as a reopening of the operations has not resulted in lower losses. Higher fuel and interest costs only add to the ...
Palantir's Q1 earnings left something to be desired, though commercial expansion has been a strong positive. There are many global risks that could spike demand from governments. Palantir will report Q2 earnings in a few weeks, and our expectations have grown a bit more conservati...
Affirm reported a stronger than expected quarter in May, with revenue and GMV both coming in nicely above expectations. Guidance for Q4 was slightly disappointing, with revenue below consensus at the midpoint and adjusted operating loss widening. Valuation does not appear overly a...
Elon Musk agreed to buy Twitter for $54.20, but has been trying to get a lower price ever since. With Musk, TWTR has a significant upside. Without Musk, TWTR has a limited downside. Meanwhile, Tesla is facing many challenges that are unlikely to get any better over the next 6-12 m...
SoFi could approach new lows in the short term. Fintechs are currently wildly out of favor, even those that achieve EBITDA-level profitability. Taking a longer-term view could help investors understand SoFi’s value. Yesterday, shares of personal finance company So...
EVs are at a critical inflection point: crossing the chasm from the early market to the mainstream market. The mainstream EV market has different buyer characteristics that will favor more traditional companies like Ford. Ford has an aggressive and sound strategy to be successful ...
SoFi Technologies stock has been extremely volatile, bottoming in the $4's, spiking to nearly $8, and now back to the $5 range in just a few weeks. You can trade long and short, but on the next selloff in this bear market rally, you can accumulate. Expect an H2 2022 ramp in EBITDA...
Ford’s shares have lost almost half of their value this year. Valuation is distressed in the short term due to recall headwinds and uncertainty about raw material cost. Ford yield and valuation are both attractive. For further details see: The Market Is Wrong Abou...
Palantir’s shares have been trampled upon this year. The firm's government segment and recent contract win should stabilize Palantir as the economy likely heads into a recession. Palantir is cashed up and has no financial debt. For further details see: Palantir: A...
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2024-03-31 08:54:00 ET Stock Traders Daily has produced this trading report using a proprietary method. This methodology seeks to optimize the entry and exit levels to maximize results and limit risk, and it is also applied to Index options, ETFs, and futures for our subscribers. This...
2024-02-18 22:54:00 ET Stock Traders Daily has produced this trading report using a proprietary method. This methodology seeks to optimize the entry and exit levels to maximize results and limit risk, and it is also applied to Index options, ETFs, and futures for our subscribers. This...