🎢U.S. stocks closed higher,What are your thoughts?
No slow days in the market. ⚡
Some are playing defense, others going all in.
👀 Where do you stand today? Show us your game plan.
Let’s break it down:These stories drove the markets.
Weekly Five Key Areas: Macro, Singapore Stocks, Options, Futures, Earnings
Covering five major market segments this week to help you stay ahead of market trends and plan your trades effectively!
✨Tuesday — Singapore Stocks
Singapore’s market opened 2026 on a confident note: the STI added 0.5 %, led by a 1 % gain in DBS, while NIO and ST Engineering slipped 2 % and 1 % respectively. The busiest boardroom action was at Creative Technology, where founder Sim Wong Hoo’s nephew, Sim Li Ern, was promoted from interim CEO to permanent CEO and chairman, sending the stock up 0.9 % to S$0.59 ahead of the announcement. iFast rose 0.5 % after unveiling a S$19.6 m plan to buy 30 % of Financial Alliance, and Digital Core REIT surged 6.9 % to US$0.545 on a 10-year lease that will lift its portfolio occupancy from 81 % to 98 %.
The first new listing of the year arrived when Hong Kong’s Concord New Energy began secondary trading on SGX at an implied price of ~S$0.056. Ley Choon, a utilities contractor that was demoted to the Catalist board in 2017, filed to return to the Mainboard after repaying all rescue-loan debt, although its shares still closed 2.5 % lower at S$0.078 before the news. Across the region, Air India—owned by SIA’s parent Tata—is quietly searching for a new CEO to replace Campbell Wilson, whose term runs to mid-2027 but whose position has been under review since the June crash that killed 260 people and exposed widespread safety lapses.
Overall, early-2026 trade shows investors rewarding firms that deliver concrete occupancy gains, strategic acquisitions or clean balance-sheet turnarounds, while punishing those without immediate catalysts. With the first SGX secondary listing done and a flurry of M&A and governance moves across tech, renewables and data-centre REITs, the stage is set for a news-heavy earnings season that will test whether today’s opening optimism can persist.
📌【Today’s Question】
The three major indexes rose together, with the Dow hitting a record high—what do you think is driving this?
Yesterday's winners:
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What attracts me to Oklo is how well it fits this trend. As data centers expand, reliable baseload power becomes critical, and nuclear is increasingly viewed as a key solution. Oklo’s next-generation reactor focus aligns closely with the government’s push for advanced reactors, which explains the strong rally across nuclear stocks.
From an investment perspective, I see Oklo as a structural play on the nuclear renaissance rather than a short-term headline trade. Policy support, AI electricity demand, and supply chain reshoring are converging, and Oklo sits right at the center of this multi-year theme.
@Tiger_comments @TigerStars
其次是行业轮动的特殊性。传统权重股(如沃尔玛、联合健康)与科技龙头(英伟达、微软)罕见同步上涨,背后是 AI 技术向实体渗透的预期。沃尔玛部署 AI 采购系统降本增效,这种“传统行业 AI 化”带来估值重塑,也扩大了指数上涨的广度。
地缘因素也不容忽视。委内瑞拉事件后,能源股贡献了标普 500 指数涨幅的 23%,但军工股同期下跌显示市场判断这是“局部可控冲突”。这种精确的板块分化表明资金在理性配置,而非单纯避险情绪驱动。
需要提醒的是,三大风险指标已亮黄灯:高盛风险偏好指数处于历史 97% 分位,看跌期权持仓量创 7 年新低,美元隔夜拆借利率暴跌至 0.8% 显示杠杆过高。这些数据虽不直接否定涨势,但提示回调概率在累积。
最后要注意到,这次道指破 49000 点与 2025 年 1 月破 48000 点的结构差异。上次由 7 家科技巨头推动,此次消费、医疗、金融板块均参与,行业分布更健康。这种广泛的参与度可能延长牛市周期,但需要二月非农数据确认就业市场韧性。
The US military action in Venezuela has surprisingly been a major positive catalyst for the US energy & financial sectors. Markets view this as an opportunity for US companies, especially $Chevron(CVX)$ to invest heavily & rebuild Venezuela's oil infrastructure, which drove a surge in related stocks.
Another catalyst is the expectation that the Fed will cut interest rate in 2026. With inflation easing & signs of a cooling labour market, investors are pricing in an accommodative monetary policy that lowers borrowing costs and boosts stock valuations across the board.
This has created a "Goldilocks" scenario that supports a broad market rally.
@Daily_Discussion @TigerStars @Tiger_comments @TigerClub @CaptainTiger