Kenneth-CJ
liked
$S&P 500 Index (.SPX.US)$hovering at 5860 with many stocks experiencing dips at premarket. News and fear of WWIII also on the back of my mind.
$NVIDIA (NVDA.US)$looks posed for upward gains although last ER lessons shows a good report card may not be impressive enough for the market.
$Alphabet-A (GOOGL.US)$ , $Apple (AAPL.US)$ & $Tesla (TSLA.US)$ showing gains but too early to tell with marketing showing volatility today.
$Microsoft (MSFT.US)$downwards movement hurting my profits t...
$NVIDIA (NVDA.US)$looks posed for upward gains although last ER lessons shows a good report card may not be impressive enough for the market.
$Alphabet-A (GOOGL.US)$ , $Apple (AAPL.US)$ & $Tesla (TSLA.US)$ showing gains but too early to tell with marketing showing volatility today.
$Microsoft (MSFT.US)$downwards movement hurting my profits t...
+2
15
1
Kenneth-CJ
liked
#Investing in US stocks #The road to wealth through cryptocurrency
The combination of BTC and MSTR is a brilliant move.
My friend is also a legendary figure. He used to be a senior executive at Google but later fully immersed himself in cryptocurrencies, and over the years has achieved financial freedom. He analyzed MSTR. Why does MSTR's stock rise higher than BTC? How does its leverage work? MSTR holds bitcoins averaging between 0.034-0.04 million, and as MSTR is a regulated publicly listed company, many traditional funds restricted by law from investing in bitcoins can invest; MSTR can borrow funds at an annual interest rate of around 1%, borrowing 4 billion US dollars with an annual interest of 40 million. With the average annual increase in bitcoin's value of 20%-30%, the profit is enough to cover the 1% interest. By using stocks or bitcoin as collateral, as long as the leverage ratio is below 30%, even if the current 0.09 million retraces half, its cost is only around 0.04 million, so there is no need to worry. On the contrary, if it keeps rising, its leverage ratio keeps decreasing. When it reaches a certain point, it can borrow cash again to buy bitcoins; currently, MSTR's P/E ratio is negative, but this is because it only buys and does not sell, resulting in a loss of 1% interest. In this situation, why wouldn't MSTR rise? Its biggest risk is bitcoin going to zero, but bitcoin has been widely recognized, making this scenario unlikely.
🤑Will regularly buy MSTR, I agree with his algorithm, within 10 years, in the worst-case scenario for BTC, the price should be around 0.4 million per unit, with the median price around 1 million...
The combination of BTC and MSTR is a brilliant move.
My friend is also a legendary figure. He used to be a senior executive at Google but later fully immersed himself in cryptocurrencies, and over the years has achieved financial freedom. He analyzed MSTR. Why does MSTR's stock rise higher than BTC? How does its leverage work? MSTR holds bitcoins averaging between 0.034-0.04 million, and as MSTR is a regulated publicly listed company, many traditional funds restricted by law from investing in bitcoins can invest; MSTR can borrow funds at an annual interest rate of around 1%, borrowing 4 billion US dollars with an annual interest of 40 million. With the average annual increase in bitcoin's value of 20%-30%, the profit is enough to cover the 1% interest. By using stocks or bitcoin as collateral, as long as the leverage ratio is below 30%, even if the current 0.09 million retraces half, its cost is only around 0.04 million, so there is no need to worry. On the contrary, if it keeps rising, its leverage ratio keeps decreasing. When it reaches a certain point, it can borrow cash again to buy bitcoins; currently, MSTR's P/E ratio is negative, but this is because it only buys and does not sell, resulting in a loss of 1% interest. In this situation, why wouldn't MSTR rise? Its biggest risk is bitcoin going to zero, but bitcoin has been widely recognized, making this scenario unlikely.
🤑Will regularly buy MSTR, I agree with his algorithm, within 10 years, in the worst-case scenario for BTC, the price should be around 0.4 million per unit, with the median price around 1 million...
Translated
14
1
Kenneth-CJ
liked
$GLD US$ (O87.SG)$ $SIA (C6L.SG)$ $SATS (S58.SG)$ $Genting Sing (G13.SG)$ $Singtel (Z74.SG)$
I cannot believe my gold hedging now become another 🌈. Nice!
I cannot believe my gold hedging now become another 🌈. Nice!
7
2
Kenneth-CJ
liked
$Fangdd Network (DUO.US)$ I think no more direct offering coming soon. This is the first time it dropped beyond the offering price before another diect offering came through. In the past direct offerings, it didn't drop beyond till another direct offering received.. direct investors will be beware before taking offers.
5
1
Kenneth-CJ
liked
Among these five funds, I choseLion Singapore Trust Fund.The main reason is that Singapore, as the center of Asia's financial sector, has a solid economic foundation and relatively low political risks, providing strong support for the long-term development of its market. Singapore's real estate, financial services, and technology industries have played a crucial role in global capital flows in recent years, especially with the advancement of economic integration in the Southeast Asia region, further highlighting Singapore's strategic position. In addition, the investment portfolio of Lion Singapore Trust Fund is relatively diversified, with good risk control, effectively balancing short-term fluctuations and long-term returns.
Compared to other funds, such as Franklin India Fund or UBS (Lux) Equity Fund - China Opportunity, although these markets have higher growth potential, they also come with greater volatility and policy risks. The Singapore market, on the other hand, is relatively mature. While its growth may not be as significant as that of India and Vietnam, it excels in stability and predictability, making it particularly suitable for investors seeking steady returns in highly uncertain market environments. Therefore, based on my bullish outlook on the Singapore economy and the fund's solid asset allocation, I believe that in November, this fund's performance will be relatively stable. It may not have the highest growth rate, but it is more suitable for long-term holding.
Compared to other funds, such as Franklin India Fund or UBS (Lux) Equity Fund - China Opportunity, although these markets have higher growth potential, they also come with greater volatility and policy risks. The Singapore market, on the other hand, is relatively mature. While its growth may not be as significant as that of India and Vietnam, it excels in stability and predictability, making it particularly suitable for investors seeking steady returns in highly uncertain market environments. Therefore, based on my bullish outlook on the Singapore economy and the fund's solid asset allocation, I believe that in November, this fund's performance will be relatively stable. It may not have the highest growth rate, but it is more suitable for long-term holding.
Translated
9
1
Kenneth-CJ
liked
TOPGLOV consolidation waiting for direction.
$TOPGLOV (7113.MY)$
TOPGLOV consolidation waiting for direction.
$TOPGLOV (7113.MY)$
TOPGLOV consolidation waiting for direction.
Translated
From YouTube
17
Kenneth-CJ
liked
$Hang Seng Index (800000.HK)$ after its huge rally towards the 23k points region, had been retracing and consolidating over the past few weeks here.
Unfortunately, the 20k support wasn't able to hold and now could be headed back towards the 19k support levels.
Unfortunately, the 20k support wasn't able to hold and now could be headed back towards the 19k support levels.
15
Kenneth-CJ
liked
1. Price Movement: The current price is $13.607, which is above both the 20-day (MA20) and 250-day (MA250) moving averages, indicating a strong uptrend.
2. Bollinger Bands: The price is near the upper Bollinger Band, suggesting strong upward momentum, though it may indicate a short-term overbought condition.
3. Relative Strength Index (RSI): The RSI levels (RSI1 at 74.067, RSI2 at 75.158, RSI3 at 73.597) are in the overbought zone, which typically signals strength but could suggest a p...
2. Bollinger Bands: The price is near the upper Bollinger Band, suggesting strong upward momentum, though it may indicate a short-term overbought condition.
3. Relative Strength Index (RSI): The RSI levels (RSI1 at 74.067, RSI2 at 75.158, RSI3 at 73.597) are in the overbought zone, which typically signals strength but could suggest a p...
19
Kenneth-CJ
liked
$Emergent BioSolutions (EBS.US)$ 👀 getting safer bet 💡
Risk Level: 6 (Moderate Risk)
The risk level for EBS is moderately positioned at 6, owing to several factors. The company shows strong fundamentals with good profitability, a positive cash flow, and strategic reductions in debt, which mitigate some risks associated with market volatility. However, conflicting signals such as existing profitability issues revealed by a negative net change in live market data suggest caution. Despite being in ...
Risk Level: 6 (Moderate Risk)
The risk level for EBS is moderately positioned at 6, owing to several factors. The company shows strong fundamentals with good profitability, a positive cash flow, and strategic reductions in debt, which mitigate some risks associated with market volatility. However, conflicting signals such as existing profitability issues revealed by a negative net change in live market data suggest caution. Despite being in ...
15