$Tokyo Electron (8035.JP)$
Ohtani! Please help me!
Expecting the Ohtani effect.
It's like a prayer to the gods...
Ohtani! Please help me!
Expecting the Ohtani effect.
It's like a prayer to the gods...
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$NVIDIA (NVDA.US)$
A true holder wouldn’t sell at such a low price, right?
It's just a temporary situation, and NVIDIA should be held onto quietly.
I don't think everyone was casually saying they would be together for a lifetime, so when the time comes, it will reach 200.
Well, if planning to hold for about 5 years, I think the chances of it becoming quite high are significant.
A true holder wouldn’t sell at such a low price, right?
It's just a temporary situation, and NVIDIA should be held onto quietly.
I don't think everyone was casually saying they would be together for a lifetime, so when the time comes, it will reach 200.
Well, if planning to hold for about 5 years, I think the chances of it becoming quite high are significant.
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$NVIDIA (NVDA.US)$
Surprisingly, it turned positive by dawn.🤨
Surprisingly, it turned positive by dawn.🤨
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$NVIDIA (NVDA.US)$
It's been a while since additional purchases were made.![]()
The time to make investments is when the market is fearful.
This place is everlasting.![]()
It's been a while since additional purchases were made.
The time to make investments is when the market is fearful.
This place is everlasting.
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$NVIDIA (NVDA.US)$ Amid yesterday's overall decline, IBM and AT&T ended slightly up, though both operate in different Industries. They are both long-established giants in their respective fields 🧌, and the commonality lies in their solid Dividends. IBM has about 3%, while AT&T has just under 5%, which is vastly different from NVDA's meager 0.02% Dividend.
After the split, it seems to have turned into a short-term swing target for S shares. Without Dividends, even a slight shock prompts quick selling without hesitation. What's troubling is that the perception of this stock as one that won’t last due to a six-month decline is beginning to solidify. At this point, no earnings report will change that. Unless Stocks consolidate at around 3-1 or 5-1 or provide Dividends of about 2%, they will remain prey for swing traders.
Fan, please do something about it.![]()
Since it is already close to the price before the split, if it drops from here, the holders before the split will start to become unsettled.![]()
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$NVIDIA (NVDA.US)$
It's still somewhat beneficial now due to the slight depreciation of the yen, but if the yen strengthens in the future, the losses could become severe. It might be better to decisively cut losses and stop investing in stocks before that happens.
I never really thought it would get this bad. However, if after April they decide to slightly ease tariffs or if China continues to Buy NVIDIA products, it might recover, and perhaps bad situations won't last forever. It's really a dilemma.
It's still somewhat beneficial now due to the slight depreciation of the yen, but if the yen strengthens in the future, the losses could become severe. It might be better to decisively cut losses and stop investing in stocks before that happens.
I never really thought it would get this bad. However, if after April they decide to slightly ease tariffs or if China continues to Buy NVIDIA products, it might recover, and perhaps bad situations won't last forever. It's really a dilemma.
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$IonQ Inc (IONQ.US)$
It was the same yesterday, but it will be difficult to rise unless the resistance to going up is resolved, but the lower prices have started to stabilize, so let's look at it from a long-term perspective.![]()
It was the same yesterday, but it will be difficult to rise unless the resistance to going up is resolved, but the lower prices have started to stabilize, so let's look at it from a long-term perspective.
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$NVIDIA (NVDA.US)$
The stock price was around last June.
If it falls below 100, consider buying a bit more.
Shall I go with a Start mentality?
The stock price was around last June.
If it falls below 100, consider buying a bit more.
Shall I go with a Start mentality?
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$NVIDIA (NVDA.US)$ It's strange that despite having ultra-high performance, with satisfactory sales and profits, it has not surged in earnings reports for three consecutive terms and is declining since November.
After all, since the split from June last year, buying has become cheaper, making it easier for short-term and swing trades, resulting in greater volatility, and holders before the split may have sold due to differing expectations. It may be difficult unless profits rise to a point where the PE falls below 30 or the stock price declines temporarily.
The trends in semiconductor regulations are also uncertain depending on Trump, which adds pressure. Hmm, I want to wait for a recovery!![]()
Increasing Dividends would also make it less likely to be sold, so I hope this is considered.![]()
Increasing Dividends would also make it less likely to be sold, so I hope this is considered.
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