Nvidia's unrealized gains are at 280%, so it's safe to buy more. The strong financial results surpass the analysts' estimates, the high profitability of the industry, and the profitability is unlikely to decline. The price decline, contrary to the trend, is a welcome opportunity to buy more.
If it continues to drop in the future, I want to increase the shareholding by buying an additional 100 shares. I aim to increase the shareholding for the expected future increase in semiconductor demand and further growth in AI medical investments, targeting long-term capital gains.
If it continues to drop in the future, I want to increase the shareholding by buying an additional 100 shares. I aim to increase the shareholding for the expected future increase in semiconductor demand and further growth in AI medical investments, targeting long-term capital gains.
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しゅうちゃん_Rm
commented on
Rice led by Mr. Buffett, the “god of investment” $Berkshire Hathaway-A (BRK.A.US)$On the 14th, a list of stocks held as of the end of 2024/6 was disclosed.
$Apple (AAPL.US)$What is the number of shares held byDecreased from 0.7 billion 89 million shares in the first quarter to approximately 0.4 billion sharesThen,A decrease of almost 50%It became.
Mr. Buffett suggested at the Berkshire general shareholders' meeting held in May that Apple's ownership ratio would be lowered for tax reasons. He pointed out that if the US government wants to fill in the widening budget deficit and raise capital gains taxes, this year's “small sale of Apple” will benefit Berkshire shareholders in the long run.
Meanwhile, cosmetics retail stocks have plummeted this year $Ulta Beauty (ULTA.US)$を0.69 million new shares were acquiredI made that clear. In the second quarter, Alta Beauty shares held by Berkshire had a market value equivalent to 0.2 billion66 million dollars. The company's stock price is...
$Apple (AAPL.US)$What is the number of shares held byDecreased from 0.7 billion 89 million shares in the first quarter to approximately 0.4 billion sharesThen,A decrease of almost 50%It became.
Mr. Buffett suggested at the Berkshire general shareholders' meeting held in May that Apple's ownership ratio would be lowered for tax reasons. He pointed out that if the US government wants to fill in the widening budget deficit and raise capital gains taxes, this year's “small sale of Apple” will benefit Berkshire shareholders in the long run.
Meanwhile, cosmetics retail stocks have plummeted this year $Ulta Beauty (ULTA.US)$を0.69 million new shares were acquiredI made that clear. In the second quarter, Alta Beauty shares held by Berkshire had a market value equivalent to 0.2 billion66 million dollars. The company's stock price is...
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Sunpower fell sharply four business days before it was delisted, and I thought it would not be immediately filled, so I placed an ordinary stock order for 0.01 million shares at 10 cents and consumed 2,000 shares within the NISA account. I also planned to lower the limit price to 7 cents if it continued to drop.
However, in reality, all orders were filled on the final day of trading, and I learned about the transition to the OTC market due to the delisting.
I cannot place system trading orders at the securities company.
I expected Sunpower to benefit from the rate cut by increasing the number of residence construction starts. I also anticipated an increase in petroleum and natural gas demand, as well as solar panel demand due to increased electrical utilities demand, and I thought the target stock price would recover to $3 in the near term.
In the future, it will be necessary to call the securities company every day to check stock prices.
Will the price immediately drop below 5 cents with selling pressure, or will we wait to see if there is buying from institutional investors and large buyers to turn around, like a bargain sale?
If it does not go bankrupt or become insolvent, is there a chance for improvement and listing within the OTC market through trading, or would it be possible to return to listing?
If it is a low-volume stock, common OTC transactions, whether it is a limit order or a market order, will not be filled. Securities companies will mediate phone orders, and there is no option for designated periods, so selling is done every day, and the sell order is through the telephone...
However, in reality, all orders were filled on the final day of trading, and I learned about the transition to the OTC market due to the delisting.
I cannot place system trading orders at the securities company.
I expected Sunpower to benefit from the rate cut by increasing the number of residence construction starts. I also anticipated an increase in petroleum and natural gas demand, as well as solar panel demand due to increased electrical utilities demand, and I thought the target stock price would recover to $3 in the near term.
In the future, it will be necessary to call the securities company every day to check stock prices.
Will the price immediately drop below 5 cents with selling pressure, or will we wait to see if there is buying from institutional investors and large buyers to turn around, like a bargain sale?
If it does not go bankrupt or become insolvent, is there a chance for improvement and listing within the OTC market through trading, or would it be possible to return to listing?
If it is a low-volume stock, common OTC transactions, whether it is a limit order or a market order, will not be filled. Securities companies will mediate phone orders, and there is no option for designated periods, so selling is done every day, and the sell order is through the telephone...
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しゅうちゃん_Rm
liked
$Symbotic (SYM.US)$
The crisis in the United States began six months ago, and I thought it wouldn't be strange if stock prices plummeted at any time. While buying up various Japanese stocks and US stocks, profit determination sales were almost completed from July, other than buying gold mining stocks, and the cashing rate was greatly increased, and they were waiting for opportunities to arrive in preparation for the crisis. The post also sounded an alarm.
At last, that time seems to have come. I want to wait and see until the turbulent ups and downs that intersect with the spectacles of investors who are still waiting for an opportunity calm down. Meanwhile, there is a possibility that stocks that have not stopped crashing will also crash drastically even among blue-chip stocks and stocks with growth expectations, so isn't this just the beginning? Among the opportunities for this overall market crash, I think there is likely to be a decline rate of close to 50% in the past, with the highest price even among promising stocks.
While many investors suffered losses due to profit determination, they were able to completely avoid risk.
Profits have been determined for the most part by the end of July, and there are 3 limit orders of 30 to 50% lower from high prices for blue-chip stocks, excellent high-dividend stocks, and various US stocks with growth expectations...
The crisis in the United States began six months ago, and I thought it wouldn't be strange if stock prices plummeted at any time. While buying up various Japanese stocks and US stocks, profit determination sales were almost completed from July, other than buying gold mining stocks, and the cashing rate was greatly increased, and they were waiting for opportunities to arrive in preparation for the crisis. The post also sounded an alarm.
At last, that time seems to have come. I want to wait and see until the turbulent ups and downs that intersect with the spectacles of investors who are still waiting for an opportunity calm down. Meanwhile, there is a possibility that stocks that have not stopped crashing will also crash drastically even among blue-chip stocks and stocks with growth expectations, so isn't this just the beginning? Among the opportunities for this overall market crash, I think there is likely to be a decline rate of close to 50% in the past, with the highest price even among promising stocks.
While many investors suffered losses due to profit determination, they were able to completely avoid risk.
Profits have been determined for the most part by the end of July, and there are 3 limit orders of 30 to 50% lower from high prices for blue-chip stocks, excellent high-dividend stocks, and various US stocks with growth expectations...
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しゅうちゃん_Rm
commented on
$Nikkei 225 (.N225.JP)$If the yen strengthens, export companies will definitely see a decrease in sales, so we are looking forward to their financial results. Furthermore, despite the assertion that if Japan's national strength weakens, the yen will depreciate, if ineffective middle-aged and elderly workers are eliminated, efficiency will increase and Japan's future will be bright. Moreover, by not hiring incompetent individuals and letting AGI (Artificial General Intelligence) take over, this will be even more beneficial.
A sudden drop to the 155 yen level against the dollar has finally stopped the 'speculative selling of yen'... Is there a possibility of further decline? [International financial analysts predict] | Gold Online
US Secret Service Director resigns, calling the shooting incident involving Trump the 'most serious failure' (Asahi Shimbun Digital) - Yahoo! NewsA serious failure indeed 🤣 Not doing any work 🤣🤣🤣
A sudden drop to the 155 yen level against the dollar has finally stopped the 'speculative selling of yen'... Is there a possibility of further decline? [International financial analysts predict] | Gold Online
US Secret Service Director resigns, calling the shooting incident involving Trump the 'most serious failure' (Asahi Shimbun Digital) - Yahoo! NewsA serious failure indeed 🤣 Not doing any work 🤣🤣🤣
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Considering the US stock market as the trigger for a significant overall decline in the market before and after the presidential election due to the US debt, many prominent investors have been quietly selling even high-quality stocks since spring to increase their cash holding ratio and avoid causing market anxiety.
These movements involve a review of portfolios to increase the ratio of short-term US bonds, gold, and cash holdings in preparation for the upcoming crash, reflecting the unhealthy state of US debt, inflation, and the suffering of citizens. There is a prevailing sense of an impending major crash, prompting proactive investment actions based on anticipation and speculation.
I believe that not all sectors will experience significant declines, as there are sectors with relatively low decline rates. Particularly, I want to sell consumer-related stocks. Most retail investors are buying with expectations that the Dow, S&P500, AI, semiconductor-related sectors, and the Nikkei Average are reaching new highs, approaching 50,000 yen by the end of the year.
While I am not a pessimist, there is an unusual atmosphere due to various factors. I have calmly taken profits from some Japanese and US stocks, and although I have always aimed for a 25% cash ratio in a diversified investment portfolio, I am planning to increase the cash ratio to 35% by the end of August.
These movements involve a review of portfolios to increase the ratio of short-term US bonds, gold, and cash holdings in preparation for the upcoming crash, reflecting the unhealthy state of US debt, inflation, and the suffering of citizens. There is a prevailing sense of an impending major crash, prompting proactive investment actions based on anticipation and speculation.
I believe that not all sectors will experience significant declines, as there are sectors with relatively low decline rates. Particularly, I want to sell consumer-related stocks. Most retail investors are buying with expectations that the Dow, S&P500, AI, semiconductor-related sectors, and the Nikkei Average are reaching new highs, approaching 50,000 yen by the end of the year.
While I am not a pessimist, there is an unusual atmosphere due to various factors. I have calmly taken profits from some Japanese and US stocks, and although I have always aimed for a 25% cash ratio in a diversified investment portfolio, I am planning to increase the cash ratio to 35% by the end of August.
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$Intuitive Surgical (ISRG.US)$
When considering which companies benefit from the AI revolution, areas to focus on include ChatGPT, NVIDIA in the semiconductor sector, data centers, and cybersecurity.
During the internet revolution, innovative services such as Amazon, which rapidly grew by leveraging the benefits of the internet revolution from PC manufacturers and Intel, are cited as examples.
During the gold rush era, the most profitable were the railroad companies, not the people who came empty-handed or the gold prospectors from the countryside who boarded the train to seek wealth. It is a well-known story that the vendors selling shovels, picks, and gold pans to the prospectors earned the most in the gold rush era.
In the recent boom of the AI revolution, various sectors are benefiting from the integration with the world's mechanisms and existing products and services to develop new products, leading to the sudden growth of companies. AI-related fields have a wide range, not limited to self-driving cars, education systems, financial transactions, and gaming.
When considering which companies benefit from the AI revolution, areas to focus on include ChatGPT, NVIDIA in the semiconductor sector, data centers, and cybersecurity.
During the internet revolution, innovative services such as Amazon, which rapidly grew by leveraging the benefits of the internet revolution from PC manufacturers and Intel, are cited as examples.
During the gold rush era, the most profitable were the railroad companies, not the people who came empty-handed or the gold prospectors from the countryside who boarded the train to seek wealth. It is a well-known story that the vendors selling shovels, picks, and gold pans to the prospectors earned the most in the gold rush era.
In the recent boom of the AI revolution, various sectors are benefiting from the integration with the world's mechanisms and existing products and services to develop new products, leading to the sudden growth of companies. AI-related fields have a wide range, not limited to self-driving cars, education systems, financial transactions, and gaming.
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I don't think last year's bank failure is over yet. Due to the effects greater than the Lehman shock, it took time for it to end even at that time. In terms of scale, the spark hasn't gone out, and I've been wondering for a while that there is a possibility that bad debts will be revealed in the future and bank bankruptcy will occur. Interest rate cuts are expected until 7/30. Will there be 2 times before the end of the year? The problem is the rate of interest rate cuts. In any case, interest rate cuts are negative for banks. Isn't this going to speed up the bank bankruptcy described above? I think the key currency of the dollar will be protected, but the movement to sell US bonds and hold gold and the withdrawal from dollar settlement are also worrisome, and the battle for hegemony over the key currency, the dispute between the US, China and Russia in the Arctic oil fields, and the Arctic has become a place of hegemony battle as a military strategic point.
This has been reported in Europe, America, and emerging countries, and is well known to the general public, but it is not reported in Japan.
The US economy will slow down, but it won't go so far as to fall. Innovations are constantly occurring in various fields, mainly in the United States. As for US stocks, companies with an advantage in the corporate market with innovative technology and services will grow by sector and within growth sectors.
...
This has been reported in Europe, America, and emerging countries, and is well known to the general public, but it is not reported in Japan.
The US economy will slow down, but it won't go so far as to fall. Innovations are constantly occurring in various fields, mainly in the United States. As for US stocks, companies with an advantage in the corporate market with innovative technology and services will grow by sector and within growth sectors.
...
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しゅうちゃん_Rm
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Good evening to all Moomoo users!This is the reading for tonight's NY stock.
Market Overview
The US market started, and the Dow Jones Industrial Average, which consists of excellent stocks, rose 29.53 dollars to 39783.28 dollars, and the Nasdaq Composite Stock Price Index, which has a high high-tech stock ratio, rose 20.23 points to 18303.64. The S&P 500 average, which consists of stocks of 500 major US companies, is 6.22 points higher at 5590.76.
$Dow Jones Industrial Average (.DJI.US)$
$Nasdaq Composite Index (.IXIC.US)$
$S&P 500 Index (.SPX.US)$
Top news
The US June producer price index (PPI) increased by 0.2% compared to the previous month, and core PPI also exceeded predictions
The U.S. Department of Labor will make an announcementProducer Price Index (PPI) for Juneismonth-on-monthIs0.2% increaseThe forecast is a 0.1% increase.
Strong banks
● JPMorgan, Wells Fargo, and Citigroup will enter the second quarter earnings season with financial results scheduled for Friday.
● Stock prices of major financial institutions on Wall Street have overwhelmed the entire market this year, and investments...
Market Overview
The US market started, and the Dow Jones Industrial Average, which consists of excellent stocks, rose 29.53 dollars to 39783.28 dollars, and the Nasdaq Composite Stock Price Index, which has a high high-tech stock ratio, rose 20.23 points to 18303.64. The S&P 500 average, which consists of stocks of 500 major US companies, is 6.22 points higher at 5590.76.
$Dow Jones Industrial Average (.DJI.US)$
$Nasdaq Composite Index (.IXIC.US)$
$S&P 500 Index (.SPX.US)$
Top news
The US June producer price index (PPI) increased by 0.2% compared to the previous month, and core PPI also exceeded predictions
The U.S. Department of Labor will make an announcementProducer Price Index (PPI) for Juneismonth-on-monthIs0.2% increaseThe forecast is a 0.1% increase.
Strong banks
● JPMorgan, Wells Fargo, and Citigroup will enter the second quarter earnings season with financial results scheduled for Friday.
● Stock prices of major financial institutions on Wall Street have overwhelmed the entire market this year, and investments...
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Currently, capital gains for Japanese stocks and US stocks of the 3 securities company accounts have been maintained at 25%, and assets under management have increased to about 1.2 million yen, unrealized gains of 9.1 million yen, and dividends of 0.75 million yen. As diversified investments in the true sense of the word, gold, Ethereum (virtual currency), stocks, and short-term US bonds have separate management gains greater than stocks. The results are still in the middle of the fiscal year, but the US stock management ratio was increased from the beginning of the year, and the depreciation effect of the yen contributed a synergistic effect with stock appreciation similar to last year. Labor income has been exceeded in half a year, and from now on, profits are determined in consideration of tax measures, the cash ratio between yen and dollar in the investment fund portfolio has been increased to 30% in preparation for opportunities, and it is also preparing for the investment sector shift of the 3rd petroleum revolution due to policy changes in the presidential election and bargain sales waiting for a sharp decline opportunity. By the end of the year or spring of next year, it will become a reality if the amount of investment assets under management is not even a dream, and acceleration will increase, and it seems that it will become a virtuous cycle. If it becomes the 9 o'clock digit, I would like to further raise and stabilize the double compound interest income investment ratio while aiming for capital gains such as long-term continuous dividend increases in NISA, high-yield dividend stocks, etc. The 3% dividend when the stock price is low is 4 times the stock price, and if dividends are increased and compound interest is managed, the real dividend yield on the investment amount will be ten% in NISA...
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