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Selection
Tiger_Contra
·
03-03 20:20

🚀 These 10 FinTech Stocks Just Pumped 14% in 5 Days. Here's What to Know

Weekly Brief: Financial Data & Crypto Exchange StocksFor Singapore Investors | Week of Mar 2, 2026 📊 The Scoreboard (5-Day Performance) Rank Ticker Company 5D Change Market Cap Key Catalyst 🥇 $ProCap Financial(BRR)$ ProCap Financial +19.83% $242M Micro-cap Bitcoin play 🥈 $ALT5 SIGMA CORPORATION(ALTS)$ ALT5 Sigma +19.08% $197M Biotech data due T-9 🥉 $Morningstar(MORN)$ Morningstar +16.20% $7.2B ESG data + Dividend 4 $Coinbase Global, Inc.(COIN)$ Coinbase +15.60% $48.9B US stock trading launch 5 $FactSet Research(FDS)$ FactSet +15.60% $8.2B 14x P/E value trap 6
🚀 These 10 FinTech Stocks Just Pumped 14% in 5 Days. Here's What to Know
TOPCadi Poon: 1. Crypto Overexposure If you hold COIN + GEMI + BRR together, you have 3x leverage to Bitcoin. If BTC dumps 10%, your portfolio could drop 25-30%. Cap crypto-related stocks at 10-15% max. 2. Liquidity Risk (Micro-caps) BRR, ALTS, GEMI have low daily volume. If you try to sell $50k SGD worth, you might crash the price yourself. Scale in/out slowly.
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Trend_Radar
·
03-03 20:15

$U bounce tests $19 resistance as bears risk getting squeezed

$Unity Software Inc.(U)$ Unity Software Inc.(U) Rebounds +3.51%: Short Squeeze Potential Builds Near $19 Latest Close Data Closed at $18.87 (+3.51% / +$0.64) on 2026-03-02. The stock remains deeply oversold, trading 63.8% below its 52-week high of $52.15. Core Market Drivers The rebound is likely driven by technical oversold conditions and persistent short interest. Recent daily short volume ratios have been elevated (e.g., 17.52% on 02-27), creating potential fuel for a short squeeze on any positive momentum. The lack of recent, significant company-specific news shifts focus to the stock's depressed valuation and technical setup. Technical Analysis Volume was strong at 22.05M shares (Volume Ratio: 1.27), confirming the upward move. The MACD histogra
$U bounce tests $19 resistance as bears risk getting squeezed
TOPYoungYun: Solid bounce! Shorts sweating bullets if $19 cracks.[看涨]
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Tiger_chat
·
03-03 17:05

Gold & Silver at a Crossroads! 🚀Will the Precious Metals Rally Continue?

February’s market narrative was largely reshaped by geopolitical turbulence, with Middle East tensions driving fears of global instability. This triggered a flight to safety into precious metals, bolstered by a softening dollar and steady central bank demand.However, this momentum stalled on Tuesday as rising real yields and technical resistance at record highs triggered a wave of aggressive profit-taking.As the market searches for a new floor, here is a breakdown of recent performance and the outlook for 2026.📈 ETF & Asset Performance: The Precious Metals BoomLet’s look at the staggering numbers from recent price action. Volatility is high, but the upward momentum is undeniable.$XAU/USD(XAUUSD.FOREX)$ : +3.4% – Gold remains the ultima
Gold & Silver at a Crossroads! 🚀Will the Precious Metals Rally Continue?
TOPTimothyX: Gold ($5,500 in sight?): Institutional Outlook: While J.P. Morgan and BofA maintain bullish 2026 targets, Tuesday’s sharp reversal below $5,300 proves that even geopolitical tension has its limits. Macro Headwinds: As surging energy prices fuel inflation fears, market participants are reprising interest rate expectations, often favoring the US Dollar over non-yielding assets.
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Selection
Option_Movers
·
03-03 18:44

Option Movers | Palantir's Call Options Surge over 200%; Defense Stocks and Oil Sectors Show High Trading Volume

U.S. stocks ended close to flat on Monday after a volatile session that saw shares drop early following weekend U.S. and Israeli air strikes on Iran, but there were bounces throughout the day as investors bought on dips. Regarding the options market, a total volume of 59,375,761 contracts was traded on Monday, of which 55% were call options. Top 10 Option Volumes Top 10: $NVDA(NVDA)$, $TSLA(TSLA)$, $NFLX(NFLX)$, $PLTR(PLTR)$, $AAPL(AAPL)$, $MSFT(MSFT)$, $AMZN(AMZN)$,
Option Movers | Palantir's Call Options Surge over 200%; Defense Stocks and Oil Sectors Show High Trading Volume
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Trend_Radar
·
03-03 19:57

$SKYQ surges +13.2%: Breaks $0.50 pivot, eyes $0.61 resistance

$Sky Quarry Inc(SKYQ)$ Sky Quarry Inc(SKYQ) Surged +13.15%: Breaks Key Resistance, Testing $0.61 Latest Close Data Closed at $0.50, up 13.15%. The stock is currently 74.2% below its 52-week high of $1.94. Core Market Drivers: High-volume, high-volatility day (+33.79% intraday) suggests strong speculative interest, possibly driven by momentum trading. Significant institutional holdings (e.g., JPMorgan Chase at 8.81%) provide underlying stability despite the stock's micro-cap nature. Technical Analysis: Volume: Massive volume of 7.15M shares (Volume Ratio: 12.07) confirms the breakout move, indicating strong conviction. MACD: DIF (0.0202) has crossed above DEA (0.0018), generating a fresh bullish crossover signal with MACD histogram positive. RSI: R
$SKYQ surges +13.2%: Breaks $0.50 pivot, eyes $0.61 resistance
TOPtinkie: Solid breakout on SKYQ! Bullish MACD crossover. Aiming for $0.61.[看涨]
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Selection
Wesley_Master
·
03-03 17:55

360’s New Report on U.S. Control of Global Virtual Assets: What Should the Market Focus On?

On February 26, the National Computer Virus Emergency Response Center of China, the National Engineering Laboratory for Computer Virus Prevention and Control Technology, 360 Digital Security Group, and Antiy Technology Group jointly released the in-depth analysis report titled "Top Player - In-depth Analysis of the Global Virtual Currency Asset Harvesting Operation under US Technological Hegemony". This is a special report that approaches from the perspectives of cybersecurity, technology governance, and Risk Analysis.The report analyzes the US's technical capabilities, rule influence, and cross-border law enforcement in the global virtual currency asset field, and uses the Chen Zhi case, Zhao Zhangpeng case, and Garantex case as the main cases to illustrate how the US has formed stronger
360’s New Report on U.S. Control of Global Virtual Assets: What Should the Market Focus On?
TOPpeppywoo: The report points out that compliance is king, and stable assets can attract money.
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1.16K
Selection
CC on ETFs
·
03-03 18:48

South Korean Stocks Plunge — Is This Bull Market Over?

The KOSPI Index has seen a rare and sharp selloff since reaching a high near 6,300 in late February. It now stands at around 5,791, with a single-day drop exceeding 7%, marking the steepest correction since August 2024. The previously strong rally, which had repeatedly broken through record highs, has suddenly hit the brakes in a very short period of time. Reflected in ETFs, the largest Korea-focused fund $iShares MSCI South Korea ETF(EWY)$ dropped as much as 10.9% in pre-market trading, while $Franklin FTSE South Korea ETF(FLKR)$ fell 10.96%. The 3x leveraged product $Direxion Daily MSCI South Korea Bull 3x Shares(KORU)$ plunged 32.43% before the open, amplifying
South Korean Stocks Plunge — Is This Bull Market Over?
TOPBillyWilliams: Oh, this plunge is terrifying! Korean ETFs crashed hard.[惊讶]
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Trend_Radar
·
03-03 18:10

$CSTM jumps +4.7%: Eyes $29 target after testing $26 pivot

$Constellium NV(CSTM)$ Constellium N.V.(CSTM) Rallies +4.70%: Aluminum Giant Tests Key Resistance, $29 Target in Sight Latest Close Data Closed at $26.06 on 2026-03-02, up +4.70% (+$1.17). The stock is now just $1.19 (4.4%) below its 52-week high of $27.25. Core Market Drivers The rally appears driven by strong institutional support and positive sector sentiment for industrial materials. Recent data shows significant capital inflow on 02-25, indicating renewed interest. The company's robust ROE of 32.39% and solid fundamentals underpin the move. Technical Analysis Volume was healthy at 2.88M shares (0.95 Volume Ratio). The 6-day RSI at 61.38 is in bullish territory but not overbought. The MACD histogram is negative but improving (-0.095), suggesti
$CSTM jumps +4.7%: Eyes $29 target after testing $26 pivot
TOPNewmanGray: Solid breakout! $29 looks achievable soon.[强]
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著名垃圾級基金經理
·
03-03 01:18
$TSLA 20260306 367.5 PUT$ 基於對Tesla產業前景與技術驅動的信心,我採用Cash-Secured Put現金擔保賣沽策略:沽出3月6日到期、行使價367.5之認沽期權,權利金0.72。該位置具備安全邊際,到期前股價穩守上方即可全額獲利;即便下行被指派,也能以理想成本布局,是溫和看多、穩定增收的選擇。
TSLA PUT
03-03 01:13
US20260306 367.5
SidePrice | FilledRealized P&L
Sell
Open
0.72
1Lot(s)
+79.17%
Holding
Tesla Motors
$TSLA 20260306 367.5 PUT$ 基於對Tesla產業前景與技術驅動的信心,我採用Cash-Secured Put現金擔保賣沽策略:沽出3月6日到期、行使價367.5之認沽期權,權利金0.72。該位置具備安全邊際,到期前股價穩守上方即可全額獲利;即便下行被指派,也能以理想成本...
TOPDouglasMalan: The strategy is stable and the security boundaries are accurately grasped!
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NAI500
·
03-03 13:37

Tesla FSD Safety: Is the Myth Over? A Data-Driven Look Ahead of March 9 NHTSA Deadline

Do you think Tesla’s safety story holds? Will the March 9 report help or hurt TSLA? Are you bullish or cautious on FSD and Robotaxi? Drop your take below! As the March 9 deadline nears for $Tesla Motors(TSLA)$ to submit critical FSD (Full Self-Driving) data to the U.S. National Highway Traffic Safety Administration (NHTSA), market focus on the safety of Tesla’s autonomous driving system has intensified. Since Tesla launched its unsupervised FSD Robotaxi service in Austin in June 2025, 14 collisions involving Robotaxis have been reported. Headlines claiming “spiking accidents” and “broken safety myth” have spread rapidly. Yet a data-driven view, stripped of emotion, reveals a far more nuanced reality: Tesla’s FSD safety case may still be strong. FS
Tesla FSD Safety: Is the Myth Over? A Data-Driven Look Ahead of March 9 NHTSA Deadline
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1.43K
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pretiming
·
03-03 16:05

SOXL Tactical Update Sell $63.30 Re-Enter $55

$Direxion Daily Semiconductors Bull 3x Shares(SOXL)$ This Daily Market Timing Analysis for SOXL (Direxion Daily Semiconductor Bull 3X ETF) covers the session of March 02, 2026. The report delivers a full analyst-grade assessment of SOXL's price action, long-term Bullish zone positioning, short-term supply flow dynamics, downside risk profiling, 10-day probabilistic price forecast, and a consolidated investment strategy roadmap. Designed to serve both experienced traders and entry-level investors, all data-driven signals are contextualized with clear strategic interpretation. Section 1 — Comprehensive Daily Analysis of SOXL's Price Action and Market Drivers SOXL closed March 02, 2026 at $62.80, recording a near-flat change of −0.02% — a session tha
SOXL Tactical Update Sell $63.30 Re-Enter $55
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一追再追
·
03-02
$DUALITYBIO-B(09606)$ 這是我人手操作的交易分享:我對映恩生物的操作每每有神來之筆[得意]  今日因跌股市大跌又跌入射程範圍了,先入一手觀察再跟進!
09606
03-02 10:40
HKDUALITYBIO-B
SidePrice | FilledRealized P&L
Buy
Open
301.40
100
-3.91%
Holding
DUALITYBIO-B
$DUALITYBIO-B(09606)$ 這是我人手操作的交易分享:我對映恩生物的操作每每有神來之筆[得意] 今日因跌股市大跌又跌入射程範圍了,先入一手觀察再跟進!
TOPmizzmo: Experts at the bottom of the market, follow the order and wait to eat meat!
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Emotional Investor
·
03-02 15:16
So I've been blathering on about gold and silver since the beginning of this year. So I am in $Pan American Silver(PAAS)$  which is a silver mining company, it mines silver and gold and pays a dividend. Last year I also brought $Santana Minerals Ltd(SMI.AU)$ and $SILVER MINES LTD(SVL.AU)$  these are both pre mining companies. The former is a gold miner in New Zealand, the latter is silver miner in Australia. Both are yet to obtain the permits to mine, but are well down the track. Plus both Countries are very stable. Not sure I'd buy a mining company based in Mexico atm by comparison. Ok so all their proven gold and silver reserve
So I've been blathering on about gold and silver since the beginning of this year. So I am in $Pan American Silver(PAAS)$ which is a silver mining ...
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Lanceljx
·
03-02 18:03
Yes, geopolitical premium is very likely being repriced upward right now. But whether gold reaches USD 6,000 depends less on war headlines alone and more on whether this conflict becomes structural rather than temporary. Let us separate signal from noise. --- 1. What just changed in markets (and why it matters) The current situation is not a routine Middle East flare-up. Recent reports confirm a large-scale coordinated US–Israel military campaign targeting Iran’s leadership, missile systems and military infrastructure, with multi-day operations ongoing and casualties already reported. The strikes hit hundreds of targets and eliminated senior Iranian figures, sharply escalating regional risk.  This matters because markets price gold not on war itself, but on uncertainty duration: Short
Yes, geopolitical premium is very likely being repriced upward right now. But whether gold reaches USD 6,000 depends less on war headlines alone an...
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735
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Lanceljx
·
03-02 18:04
At this stage, it looks more like a tactical relief rally than confirmation of a full risk-on reset, though the market is clearly testing that possibility. The key is understanding what Bitcoin and oil are signalling together. --- 1. Why Bitcoin is acting as a weekend “risk barometer” Crypto now trades as a liquidity proxy, not purely a speculative asset. The repeated pattern you observed matters: Shock event → forced de-risking (BTC sells off first) Liquidity reassessment → fast rebound Stronger rebound each cycle → investors willing to re-add risk quickly This suggests positioning is not defensive enough. Markets still expect macro liquidity support (rate cuts, stable growth), so dips are bought rather than feared. A stronger rebound this time indicates risk appetite remains intact benea
At this stage, it looks more like a tactical relief rally than confirmation of a full risk-on reset, though the market is clearly testing that poss...
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383
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Lanceljx
·
03-02 18:06
The move you are describing shifts oil from a headline-driven spike into a genuine supply-risk scenario. A Strait of Hormuz disruption is one of the few events that can rapidly reprice global energy markets because it affects transit, not just production. --- 1. Why the Strait of Hormuz matters disproportionately The market is reacting correctly. Roughly: ~20 million barrels/day transit the strait ≈20% of global oil consumption Includes exports from Saudi Arabia, UAE, Kuwait, Iraq, not only Iran Even a partial disruption creates stress because oil logistics operate with very thin spare transport capacity. The immediate risk is not physical shortage first, but: tanker insurance withdrawals sharply higher freight rates delayed shipments precautionary stockpiling by importers These factors al
The move you are describing shifts oil from a headline-driven spike into a genuine supply-risk scenario. A Strait of Hormuz disruption is one of th...
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1.70K
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xc__
·
03-02 23:48

STI Crashes 2.2% on Iran War Fears: Grab DBS at $55 Before It Skyrockets? 💥📉

$Straits Times Index(STI.SI)$ Buckle up, investors! The Straits Times Index took a nasty hit today, plunging 2.2% to close at 4,883 amid escalating US-Iran tensions that's got oil spiking and everyone scrambling for safe havens like gold and Treasuries. 😱 But hey, is this the perfect storm for a buy-the-dip frenzy? With banks like DBS sliding to $55.63 (down 2.6%), airlines getting hammered, and defense plays like ST Engineering bucking the trend with a solid 2.8% gain, there's rotation happening faster than you can say "geopolitical chaos." Let's dive deep into why this dip might be your golden ticket – or a trap to avoid. 🚀 First off, the big picture: Oil's up a whopping 6.6% to $71.46 per barrel thanks to strikes disrupting crude flows throug
STI Crashes 2.2% on Iran War Fears: Grab DBS at $55 Before It Skyrockets? 💥📉
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Barcode
·
03-03 03:14
$S&P 500(.SPX)$ $Warner Bros. Discovery(WBD)$  $Boeing(BA)$  📈📊 S&P 500 March Patterns: Enduring Gains Confront Escalating Volatility Amid Geopolitical Flux 📊📉 Data from 1913 onwards positions March as a favourable period for the S&P 500, yielding an average return of approximately 1.0% alongside a 64% success rate. Figures since 1950 refine this to an average of 1.13%. The query persists: will prevailing dynamics sustain this trajectory? Positioned near peak valuations, the index navigates a transforming volatility regime. The VIX has ascended to 21-22 in initial March 2026 sessions, departing from prior lows, propelled by heightened
$S&P 500(.SPX)$ $Warner Bros. Discovery(WBD)$ $Boeing(BA)$ 📈📊 S&P 500 March Patterns: Enduring Gains Confront Escalating Volatility Amid Geopolitic...
TOPAndreaClarissa: Solid analysis! Bullish on S&P this month.[看涨]
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Emotional Investor
·
03-03 13:40
I would be very cautious investing in oil and gas at present. Having said this, I recently put money on $Exxon Mobil(XOM)$ $Chevron(CVX)$  and a few Canadian oil and gas stocks. I've also been in $Venture Global, Inc.(VG)$  for a while now, but for different reasons... massive growth potential there. So I've been getting into oil and gas stocks because I saw a nice cyclical play there. Over time I saw it as a smoothing hedge to my more volatile stocks. I had a plan to just DCA into them over the next year. The over the weekend missles started flying. This could cause oil shortages short term. That mite put pressure on oil prices short
I would be very cautious investing in oil and gas at present. Having said this, I recently put money on $Exxon Mobil(XOM)$ , $Chevron(CVX)$ and a f...
TOPpopzi: Spot on with defense play, mate! Might dive in myself.[看涨]
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KYHBKO
·
03-03 14:25

Summary of Recent Developments in Private Credit (from Blue Owl to BlackStone)

Summary of Recent Developments in Private Credit In early March 2026, Blackstone's BCRED (Blackstone Private Credit Fund), the largest private credit fund with around $82 billion in assets, reported record redemption requests totaling 7.9% of shares for Q1 — equivalent to roughly $3.7 billion at current valuations. This exceeded the fund's standard quarterly repurchase limit of 5%. Blackstone $Blackstone Group LP(BX)$ addressed the situation by: Increasing the tender offer to 7% of the fund. Covering the remaining 0.9% (about $400 million) through investments from the firm and its employees. Fulfilling all requests this quarter, consistent with its practice since inception. The fund had over $8 billion in liquidity at the end of 2025 and received ab
Summary of Recent Developments in Private Credit (from Blue Owl to BlackStone)
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