Pandamonium_6924
voted
$Super Micro Computer (SMCI.US)$ attracted heavier options volume as the stock price slumped to the lowest since May 2023 after the developer of server solutions said it's unable to file its financial report for the quarter ended Sept. 30. That compounded concerns that the company could be delisted.
The company still hasn't hired a new auditor. Ernst & Young resigned in October, noting that it's "unwilling to be associated with...
The company still hasn't hired a new auditor. Ernst & Young resigned in October, noting that it's "unwilling to be associated with...
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12
Pandamonium_6924
voted
Hello Mooers!
In today's discussion, I would like to try helping one of my cutest $Futu Holdings Ltd (FUTU.US)$ MooMoo supporters, @soyabean89 , to answer his question, that is, which REIT types have better chances to Huat Big Big, which he posted as a comment in one of my posts. Mooers can access that post by clicking the link below.
To answer that question, I took some efforts by finding all the REITs listed on the Singapore Stock Exchange. In ...
In today's discussion, I would like to try helping one of my cutest $Futu Holdings Ltd (FUTU.US)$ MooMoo supporters, @soyabean89 , to answer his question, that is, which REIT types have better chances to Huat Big Big, which he posted as a comment in one of my posts. Mooers can access that post by clicking the link below.
To answer that question, I took some efforts by finding all the REITs listed on the Singapore Stock Exchange. In ...
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23
Pandamonium_6924
voted
I feel that this rate cut against an uncertain recessionary and un/under-employment backdrop, on top other bad govermental policies = volatility. To add to this, there is too much hot money in the market, not just from US investors/ traders, but from all over the world, further contributing to the chaos.
My current strategy is defensive.
1) 50% of my portfolio is high dividend stock such as:
$Stellantis NV (STLA.US)$
$GlaxoSmithKline (GSK.US)$
$Ecopetrol (EC.US)$
My current strategy is defensive.
1) 50% of my portfolio is high dividend stock such as:
$Stellantis NV (STLA.US)$
$GlaxoSmithKline (GSK.US)$
$Ecopetrol (EC.US)$