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4.69K
General
MojoStellar
·
2025-10-17

ABSI is a high-risk, high-reward stock

Absci Corporation (ABSI) is a biotechnology company focused on AI-driven drug discovery. Here's a detailed analysis to help you evaluate whether it's a good stock to buy and hold: (as of 17 October 2025) • Stock Price: $4.575 (USD), down 6.06% from the previous close. • Market Cap: $684.07 million (USD). • 52-Week Range : $2.01 to $6.33 (USD). • P/E Ratio (TTM) : Negative (-4.85), indicating the company is not profitable. • Price-to-Sales Ratio (TTM) : 165.31, suggesting high valuation relative to revenue. • Earnings per Share (TTM) : -$0.94. • Analyst Target Price: Mean estimate of $7.815 (range: $5.89 to $9.00), implying potential upside. Financial Health: • Return on Assets (ROA) : -31.26%, indicating inefficiency in generating profits from assets. • Return on E
ABSI is a high-risk, high-reward stock
TOPEmotional Investor: Thanks for the Intel mojo. As usual great research. Kinda looks like a wait and see to me, but I’m not really into pharmaceutical stocks to be fair so a bit bias. Think you know I’m into infrastructure. Always done well there
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5.16K
General
Mrzorro
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2025-10-18
Tesla Earnings Preview: Record Car Deliveries and Energy Storage Deployment May Turn the Page on Past Gloom $Tesla Motors(TSLA)$   will announce its FY2025 Q3 earnings report after the market closes on October 22. Tesla previously announced a 7.4% year-over-year increase in Q3 vehicle deliveries, which is expected to be a key factor in improving this quarter's revenue. Investors are closely watching changes in the car's gross margin. Additionally, although commercial progress for Robotaxi and Optimus is temporarily limited, management may reveal further developments and plans during the earnings webcast. Core Focus: What Is the Market Watching? ~Tesla's Q3 revenue is expected to be $26.58 billion, a roughly
Tesla Earnings Preview: Record Car Deliveries and Energy Storage Deployment May Turn the Page on Past Gloom $Tesla Motors(TSLA)$ will announce its ...
TOPflixzy: Tesla's earnings report could be a game-changer. Just watch out for those competition headwinds
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5.27K
General
Shernice軒嬣 2000
·
2025-10-18

Why the US Stock Market Fell Sharply in October 2025

There's just so much going on in the stock market these days. This year, gold and silver have totally outshone everything—beating all risk assets, no contest.  Everyone's buying gold to hedge risks while snapping up those assets. We're all pros now!And every single day's market action? It's straight-up script-worthy. Remember that American TV show Breaking Bad? Well, this year we could spin off a sister series called Inflation Dead—because yeah, inflation's hit hard, and our dollars just aren't stretching anymore. Okay, cool. Let's kick things off with gold today. We have to break down what happened with gold yesterday to understand why global stocks tanked.  U.S. Market Recap: Okay, the U.S. opened higher in the morning—we've talked about how killer earnings from the "Tai Chi St
Why the US Stock Market Fell Sharply in October 2025
TOPKittyBruno: Your analysis is spot on
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13.61K
Selection
Barcode
·
2025-10-18
$Cboe Volatility Index(VIX)$ $S&P 500(.SPX)$ $SPDR S&P 500 ETF Trust(SPY)$ 🚨📈🌀 VIX Ignites: October’s Fear Trade, Exhaustion Signal, and the High-Stakes Path Into Year-End 🌀📈🚨 Volatility finally snapped out of hibernation this week. The $VIX surged into the historic 28–30.8 danger zone, then staged its sharpest intraday reversal since April; a classic panic burst followed by aggressive dealer re-hedging. I’m breaking down why this move matters technically, what’s driving it beneath the surface, and how I’m positioning as we head toward one of the most event-packed stretches of the year. 📊 Technical Breakdown: Exhaustion or Inflection? I’m watching the same
$Cboe Volatility Index(VIX)$ $S&P 500(.SPX)$ $SPDR S&P 500 ETF Trust(SPY)$ 🚨📈🌀 VIX Ignites: October’s Fear Trade, Exhaustion Signal, and the High-S...
TOPCool Cat Winston: 📊I really like how you highlighted the 28.30–30.80 zone on $VIX. Every time that range has hit over the last few years, volatility’s reversed fast. Seeing $SPX holding above 6650 with $QQQ over 600 gives me confidence this could set up for a strong year-end push.
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1.91K
General
Barcode
·
2025-10-18
$Cboe Volatility Index(VIX)$$S&P 500(.SPX)$$Columbia Banking(COLB)$ 🚨📈🔥 Volatility Spike Fades, Bulls Hold the Line 🔥📈🚨$VIX jolted awake this week, hitting its highest levels since April. U.S.–🇨🇳 flare-ups, $ZION and $WAL loan jitters, and a certified gold rush stirred the tape, yet major indexes held firm with solid weekly gains. The weekly candle suggests October’s volatility burst may be fading; historically, spikes topping in the 28.30–30.80 zone have reversed, with August 2024’s surge to 65.73 the lone outlier. VIX has slid from 29 to 21, $SPX is holding above 6650, and $QQQ remains above 600, reinforcing market resilience. With FOMC on October 28–29 an
$Cboe Volatility Index(VIX)$$S&P 500(.SPX)$$Columbia Banking(COLB)$ 🚨📈🔥 Volatility Spike Fades, Bulls Hold the Line 🔥📈🚨$VIX jolted awake this week,...
TOPPetS: 🚀💰That Nasty VIX Crush Friday really shows how aggressively traders are fading fear spikes. It’s smart sitting mostly in cash right now. I’m watching $ZION and $WAL for any follow-through next week since those jitters added fuel to the spike earlier in the week.
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1.58K
Hot
koolgal
·
2025-10-18
🌟🌟🌟VIX, the Fear Index spiked to 25 yesterday. Not because of war, inflation or what Jerome Powell said.   It was simply because 2 regional US banks - Zions and Western Alliance tripped over 2 auto linked borrowers : First Brands and Tricolor Holdings.  Small loans but Big Panic. Zions took a USD 50 million hit.  Western Alliance sued a borrower for fraud.  The market did not just flinched, it recoiled.  Why?  Because it wasn't just about numbers but memories of Silicon Valley Bank style blowups. Jamie Dimon warned that if you see one cockroach, there are probably more. Should we be worried ?  While  concern is warranted, let's not press the panic button. Zions and Western Alliance maybe isolated cases but they expose a deeper fragility of risi
🌟🌟🌟VIX, the Fear Index spiked to 25 yesterday. Not because of war, inflation or what Jerome Powell said. It was simply because 2 regional US banks ...
TOPEnid Bertha: Gold price pulled q bit. Good opportunity to buy gold
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11.49K
Hot
koolgal
·
2025-10-18
🌟🌟🌟Netflix $Netflix(NFLX)$ is a streaming giant with over 250 million subscribers across 190 countries.  No other competitor comes close to these numbers. Analysts expect revenue of USD 11.5 billion (+17% YoY), driven by price hikes and ad tier growth.  EPS is expected to be USD 6.94 versus USD 5.40 last year. I am bullish on Netflix.  If it beats forecasted earnings with ad tier growth I believe Netflix can close at USD 1295.00 on October 22. @Tiger_Earnings @TigerStars @Tiger_comments @CaptainTiger
🌟🌟🌟Netflix $Netflix(NFLX)$ is a streaming giant with over 250 million subscribers across 190 countries. No other competitor comes close to these nu...
TOPVenus Reade: NFLX should buy PTLO so it can Make 200% return on PTLO before it is upgraded on 11/4/2025, 18 days from now. Just make more money
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1.77K
General
fibance
·
2025-10-18
Hard for GIC to win the case. They have to first prove that it is indeed fraud. Then they have to prove causality (fraud caused them to lose money). NIO also has in the past took actions to demonstrate accountability (independent internal investigation) as well as successfully listed in HK and SG (both requires stringent checks). So, I’d say… this is a non-event.
@Tiger_rocks
$NIO Inc.(NIO)$ bad news today. So sell or don't sell????
$NIO Inc.(NIO)$ bad news today. So sell or don't sell????
Hard for GIC to win the case. They have to first prove that it is indeed fraud. Then they have to prove causality (fraud caused them to lose money)...
TOPwavyix: It's tough to make a strong case without clear evidence. Sounds like NIO is on solid ground here.
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2.84K
General
Pinkspider
·
2025-10-18
$Tesla Motors(TSLA)$  That was one of the most volatile weeks we've seen since the Tariff sell off earlier this year. $SPX looked like it was on the verge of a bigger sell off but every dip was bought up again. The short side is still a difficult trade. The key indicator of a market top is Peak Euphoria. There's still lots of fear in the market even with $SPX and $QQQ near all time highs. Markets don't top when everyone thinks it's time to go short. That's not how it works. I will post my charts and plan on Sunday, HAGW everyone!! 🫡
$Tesla Motors(TSLA)$ That was one of the most volatile weeks we've seen since the Tariff sell off earlier this year. $SPX looked like it was on the...
TOPVenus Reade: Is TSLA going to get back to the old high before the Nasdaq makes a 30th record high? Worst performer of the Mag 7 by 1,000 miles.
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1.33K
General
Pinkspider
·
2025-10-18

Robinhood rise

$HOOD The company’s interest income, margin interest rate, revenue, operational efficiency, gross profit margin of 91%, and net profit margin all point to strength. Operating income is steadily increasing it’s a true growth story. ROE Growth (YoY) stands at 480.65%. However, despite this impressive performance, the stock is currently overvalued, and when considering the risk reward balance, the downside risk appears somewhat higher. There’s no issue on the weekly outlook; it hasn’t lost its weekly averages, but it’s struggling to start a new rally. I’m telling you in advance if you catch this stock at the neckline retest position, it’s a historic opportunity. No matter how much fear dominates around you, you must be able to take advantage of it 😉
Robinhood rise
TOPMortimer Arthur: Gap at $122 waiting to be filled. That was the area before the S&P announcement. Should be smooth sailing after we fill it this coming week.
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583
General
Lanceljx
·
2025-10-18
A prudent approach to hedge against a potential AI bubble burst involves both tactical protection and strategic rotation. SPY puts and VIX calls form the first line of defence—cost-efficient, liquid, and effective when volatility spikes. The key is timing: initiate protection when sentiment turns euphoric and implied volatility remains subdued. After the initial shock, safe-havens like gold and long-duration Treasuries typically outperform as liquidity contracts and risk assets deflate. Accumulate gradually once the VIX normalises. Meanwhile, diversify exposure within the AI complex—shift from high-beta chipmakers to infrastructure or data-centre REITs, and maintain some cash buffer to deploy post-correction. Ultimately, hedging is about balance: insure what you cannot afford to lose, but
A prudent approach to hedge against a potential AI bubble burst involves both tactical protection and strategic rotation. SPY puts and VIX calls fo...
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1.05K
General
Lanceljx
·
2025-10-18
$Tiger Brokers(TIGR)$ An elegant way to ride the bubble while preparing for its burst lies in dynamic hedging — a balance between exposure and protection. The goal: stay long enough to capture upside momentum, yet structured enough to survive the crash. --- 1. Hedge the Tail, Not the Trend Use out-of-the-money (OTM) SPY puts or VIX calls as disaster insurance. They are cheap when volatility is calm and pay off disproportionately in a panic. Keep them small — 1–3% of portfolio value — to avoid diluting returns. --- 2. Hedge with Non-Correlated Assets Gold, silver, and high-quality short-term Treasuries tend to rise when liquidity stress hits. Gold protects purchasing power; Treasuries rally as yields collapse. If you prefer liquidity, use ETFs (GL
$Tiger Brokers(TIGR)$ An elegant way to ride the bubble while preparing for its burst lies in dynamic hedging — a balance between exposure and prot...
TOPJessieTheresa: Amazing insights! Thanks for sharing! [Wow]
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2.91K
General
Lanceljx
·
2025-10-18
Netflix (NFLX) will report soon — and expectations are high after strong Q2 results and resilient ad-tier growth. My predicted closing price for 22 Oct: $1,240.50 Sentiment: Mildly bullish. Why bullish: 1️⃣ Subscriber growth may surprise on international strength. 2️⃣ Ad-tier and password-sharing crackdown could lift ARPU. 3️⃣ Margins likely to expand from lower content spend. Risks: ⚠️ Weak guidance or slower ad growth could trigger profit-taking. ⚠️ Rising competition (Amazon, Disney) may cap valuation. Overall, NFLX remains a streaming leader with improving fundamentals — but after its rally, even good news must impress. Are you betting on a breakout or a pullback this earnings?
Netflix (NFLX) will report soon — and expectations are high after strong Q2 results and resilient ad-tier growth. My predicted closing price for 22...
TOPLenaAnne: Your analysis is solid! Have you considered how earnings surprises affect short-term price movement?
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3.95K
General
Isleigh
·
2025-10-18

🪔 Diwali or “Dip”-awali? Will Monday Bring Light or More Darkness to the Markets?

As we light the diyas this Deepavali, traders everywhere are asking the same thing — will Monday's U.S. market glow with new hope, or burn a few fingers again? 🔥 After a brutal week of selling, sentiment feels like a house of flickering lamps — fragile but not gone. History says that after the darkest nights, markets often find light. If the macro winds soften, Monday could be that spark. ✨ The Diya Game Plan If the lights stay on (bullish setup): Watch for PATH and other AI plays to lead a rebound of illumination as yields cool. CRCL could rise from $125 toward $145–$150 if Bitcoin holds steady. Semis like AVGO and MRVL may continue to shine after TSMC's stellar profits. If the lights flicker (bearish setup): Keep your wicks short — scalp quick moves, don’t chase. Avoid weak beta names (R
🪔 Diwali or “Dip”-awali? Will Monday Bring Light or More Darkness to the Markets?
TOPblimpy: What a fantastic perspective for the markets! [Wow]✨
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789
General
MHh
·
2025-10-18
I don’t think the AI is in a bubble. The use cases are growing and the technology is maturing with new advances. I would be worried only if the technology is not catching up or better chips are not being made. For now, though the market seems to be pricing in future growth, my opinion is that the market’s rate of pricing in is still lagging behind the growth of the sector. The main fears are in macro factors like trade tensions and potential recession. If recession doesn’t happen and the fed continues to cut rates, the AI stocks will continue to rally. I don’t think the yen carry trade will snap anytime soon too, given the dependence of Japan on US. For now, considerin the above, I would continue to hold my stocks till early next year before assessing again. I might take some profit at y
I don’t think the AI is in a bubble. The use cases are growing and the technology is maturing with new advances. I would be worried only if the tec...
TOPchenobserver: Such a thoughtful perspective! [Wow]
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2.10K
General
Success88
·
2025-10-18
I think there is a litter AI bubble but still not very serious. Currently $Taiwan Semiconductor Manufacturing(TSM)$ making of AI chip supply to Nvidia. So those upstream suppliers chain to AI is still earning. But for those down stream like $Oracle(ORCL)$ and $Amazon.com(AMZN)$need to see if they can profit from AI.
I think there is a litter AI bubble but still not very serious. Currently $Taiwan Semiconductor Manufacturing(TSM)$ making of AI chip supply to Nvi...
TOPfrostiix: Interesting point
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1.47K
General
BTS
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2025-10-18
The recent pullback in rare earth stocks likely reflects a short-term correction amid strong long-term demand and supply constraints, rather than signaling a trend reversal In the current US–China strategic phase, rare earths serve as strategic assets that offer some resilience but remain risky due to China's supply dominance and execution challenges The combination of AI and rare earth demand is positioned to become a major investment theme over the next decade, driven by growing AI hardware needs and ongoing supply chain development Top stock picks include MP Materials Corp (MP) as a leading integrated player, Lynas Rare Earths Ltd (LYC) for its strong non-China presence, and USA Rare Earth Inc (USAR) as an early-stage US supply chain play。。。 Overall, rare earths represent a compelling y

Rare Earth Stocks Pull Back! Morgan Stanley Report: How Will US–China Relations Affect?

@Tiger_SG
The rare earth market is back in turbulence.At the start of trading, U.S.-listed rare earth stocks fell across the board: MP Materials -6.2%, USA Rare Earth -8.6%, United States Antimony -2%, and NioCorp -4.8%.On Monday, JPMorgan announced a $1.5 trillion strategic investment plan, with up to $10 billion earmarked for critical minerals and frontier technologies.What rare earth stocks to focus?Meanwhile, Morgan Stanley’s latest report highlights that the interlinked dynamics of rare earths, AI, and tariffs are reshaping the competitive landscape between China and the U.S.Morgan Stanley four scenarios: the future path of rare earthsMorgan Stanley describes the current U.S.–China relationship as entering a “strategic upgrade phase”, outlining four possible trajectories:Scenario 1 (Base Case):
Rare Earth Stocks Pull Back! Morgan Stanley Report: How Will US–China Relations Affect?
The recent pullback in rare earth stocks likely reflects a short-term correction amid strong long-term demand and supply constraints, rather than s...
TOPEnid Bertha: I would expect MP be down to a level of $30 and then start to move up.
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1.00K
General
BTS
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2025-10-18
Holding banks for stable dividends, such as DBS (D05), is a medium-term strategy suitable for income focused portfolios despite margin pressure risks Rotating from banks into growth sectors is a tactical move that prioritizes capital gains over income, aiming to benefit from rate cuts but with higher volatility。。。 Waiting on sidelines avoids near-term downside and aims for re-entry at lower valuations, trading short-term yield for long-term upside A balanced strategy that keeps a core dividend position while adjusting tactically offers both steady income and flexibility to respond to market shifts Tag :@Huat99  @Snowwhite  

SG Banks Slips! What’s Your Time Span for Holding Banks?

@Tiger_SG
Singapore’s three banking giants — $DBS(D05.SI)$ , $OCBC Bank(O39.SI)$ , and $UOB(U11.SI)$ — have all retreated recently, as investors brace for an expected Fed rate cut cycle. The question now is: where’s the focus when growth slows but dividends stay strong?DBS: The Dividend AnchorDBS just delivered another solid quarter — total revenue up 6% YoY to S$5.9B and net profit at S$2.9B, slightly lower due to global minimum tax adjustments.Still, the bank rewarded shareholders with a S$0.75 per-share dividend, up nearly 39% YoY, including a special S$0.15 capital return.At current levels (~S$54.8), that’s a ~5.5% yield — one of the highest in the region.Why Div
SG Banks Slips! What’s Your Time Span for Holding Banks?
Holding banks for stable dividends, such as DBS (D05), is a medium-term strategy suitable for income focused portfolios despite margin pressure ris...
TOPMerle Ted: Prices is too costly tjo buy.Has the group considered to split the share,so more people can participate, good for the share's price too
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3.02K
General
WeChats
·
2025-10-18
$Tiger Brokers(TIGR)$   Recently, I received a great question from a friendr: > “AI is everywhere now. From GPUs and memory chips to cloud computing and power utilities — and now you’re talking about copper. With so many related companies and industries, how can one person possibly invest in all of them?” This question perfectly captures the dilemma many investors face today. It reveals that deep sense of FOMO (fear of missing out) and choice anxiety that grips us whenever we’re confronted with a massive structural transformation. We’re afraid of missing the next Nvidia, the next Oracle, afraid that our portfolios aren’t “AI enough.” So we chase every hot theme, our portfolios become increasingly scattered and messy — and our returns, incr
$Tiger Brokers(TIGR)$ Recently, I received a great question from a friendr: > “AI is everywhere now. From GPUs and memory chips to cloud computing ...
TOPpopzy: Absolutely love this perspective! So insightful! [Wow]
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1.61K
General
WeChats
·
2025-10-18
🏦 “Bank Run” Panic Relieved! Calm Before the Storm or Just a Market Glitch? --- ⚡ Panic Subsides — But Confidence Still Fragile Markets breathed a sigh of relief this week as the “credit blow-up” story faded — for now. Regional lenders Zions Bancorp ($Zions(ZION)$  ) and Western Alliance Bank ($Western Alliance(WAL)$  ) clawed back sharp losses, with Zions jumping over 4% after days of panic selling. The fear? A possible mini-liquidity event echoing last year’s regional banking scare. Depositors shifted funds, credit spreads flinched, and whispers of “another SVB” made the rounds on trading desks. But just as fast as fear spread, it evaporated. By Friday, markets were back in risk-on mode. Y
🏦 “Bank Run” Panic Relieved! Calm Before the Storm or Just a Market Glitch? --- ⚡ Panic Subsides — But Confidence Still Fragile Markets breathed a ...
TOPValerie Archibald: I’ll buy WAL every single time that it goes under 74. It’s a 90-95.00 stock all day long. Mr. Market gave us a gift.
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