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MUMU closed $1068.22 +1.35%; RSI 55.7, SMA20 1005.67 and $924.03/$1096.16 band guide tomorrow.
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MU closed $1068.22 +1.35%; RSI 55.7, SMA20 1005.67 and $924.03/$1096.16 band guide tomorrow.
Read reportTSLA closed $353.41 -1.13%; RSI 39.6, SMA20 365.39 and $353.41/$380.12 band guide tomorrow.
Read reportAMD closed $620.90 +2.14%; RSI 70.4, SMA20 542.73 and $456.16/$630.63 band guide tomorrow.
Read reportCRWV closed $87.48 +2.83%; RSI 40.1, SMA20 86.37 and $79.88/$99.83 band guide tomorrow.
Read reportSKHY closed $185.80 +2.13%; RSI 41.5, SMA20 182.20 and $160.78/$198.63 band guide tomorrow.
Read reportGOOG closed $337.57 -0.47%; RSI 57.6, SMA20 338.72 and $328.38/$350.87 band guide tomorrow.
Read reportPLTR closed $186.23 -0.67%; RSI 71.8, SMA20 178.45 and $165.86/$192.59 band guide tomorrow.
Read reportTSM closed $449.29 -0.79%; RSI 58.0, SMA20 433.66 and $413.75/$452.88 band guide tomorrow.
Read reportAMZN closed $246.21 +0.02%; RSI 42.6, SMA20 252.61 and $245.96/$258.90 band guide tomorrow.
Read reportMSFT closed $503.11 -1.20%; RSI 56.5, SMA20 499.62 and $490.30/$516.17 band guide tomorrow.
Read reportQCOM closed $187.78 +0.16%; RSI 57.1, SMA20 183.18 and $166.61/$201.97 band guide tomorrow.
Read reportARM closed $291.25 +2.80%; RSI 56.5, SMA20 272.72 and $234.82/$333.20 band guide tomorrow.
Read reportAVGO closed $358.25 +2.48%; RSI 46.2, SMA20 356.47 and $339.27/$369.68 band guide tomorrow.
Read reportASML closed $1806.95 +2.01%; RSI 58.4, SMA20 1695.78 and $1575.15/$1806.95 band guide tomorrow.
Read reportORCL closed $133.02 +0.32%; RSI 23.1, SMA20 146.92 and $132.60/$162.52 band guide tomorrow.
Read reportMETA closed $715.62 -4.79%; RSI 67.8, SMA20 667.74 and $572.34/$777.59 band guide tomorrow.
Read reportNVDA closed $228.86 +1.68%; RSI 53.8, SMA20 222.32 and $210.96/$230.36 band guide tomorrow.
Read reportThe video presents three buy-rated stocks and three sell-rated stocks ahead of October's end, focusing on Broadcom, KLAC, WABTEC for buys and SANDISK, CAVA, DARDEN for sells.
Micron's blockbuster balance sheet and flat after‑hours reaction have sparked debate over whether the memory cycle has truly changed.
Morningstar sees Lockheed Martin and NXP as wide-moat bargains trading well below estimated fair value after temporary pressure.
The speaker explains how to compute doubling time with the rule of 72 and how earnings growth drove returns in the Raymond James, Edison, Meta, AMD and Aflac cases.
On Dumb Money, the hosts argue that fresh human debate has become the scarce input as models feed on synthetic text, pointing to Reddit license renewals as the price signal to watch.
Bill Ackman argues some dominant companies will vanish in the AI era, laying out bubble discipline, the library method and an insurance-backed permanent capital model; the Netflix return, the Vantage deal and a brain institute all fit the same frame.
A fictional coffee chain reports 50 million in profit but only 20 million more cash; this investor-oriented guide shows how the income statement, balance sheet and cash flow statement explain the gap together.
Weekly options prep for Sep 28 to Oct 2 favors selling cash-secured puts instead of chasing Friday's Iran ceasefire rumor rally, with futures lower, oil near 110 and breadth weak. The playbook demands 0.5% weekly ROI on the strike, about 2% monthly and 24% yearly, across AMZN Oct 2 242.5 puts, ServiceNow and IGV software pullback sales vs SMH strength, oversold BAC, CIFR at 15 and 13 supports, and a small AVGO Oct 16 19-strike trial with DCA to 18. PCE, JOLTS and ADP headline event risk, while China coal deals, Nvidia chip supply and 2x ETF decay shape the risk limits.
Nvidia took its buyback program to $235 billion with a record $150 billion add and unveiled its agent-safety platform the same day; attention now turns to Micron's September 30 earnings and the RTX PRO 5500 decision in China.
The speaker builds one put and two call calendars for $567 of net debit ahead of Micron's September 30 report; the plan relies on Friday's short-leg decay and the long legs retaining residual value.
A real-money $1.5M portfolio trails the index in 2026 yet has beaten the market over the long run; the host defends waiting on Google and holding discounted stories such as Meta and Netflix.
Nvidia lifted its remaining buyback ceiling to 235 billion dollars with a record 150 billion increase and closed higher, yet indexes and chip shares still sold off.
How do you recognize the final breath of a rising asset? The strongest reversal setups in markets form when ten variables lean the same way at once: rate of change, days in direction, distance from the mean, news freshness, volume, stage count, and forced buying or selling.
The host compares Broadcom and Marvell shares on sales, profitability, return on capital and valuation, concluding that cheaper Broadcom beats expensive Marvell for the long run.
In his September 28 session Ross Given shows four breadth gauges weakening even as the S&P 500 and Nasdaq sit near records, then builds the case for memory stocks and copper. The account below follows his order and widens every claim with current data.
Investor Steve Eisman hosts Cisco's head of investor relations Sami Badri to explain how the company jumped from flat 5% growth to a record 18% quarter on hyperscale orders and a campus refresh wave. The second half debates how durable AI demand really is.
Entrepreneur and investor Larry Goldberg expects a sharp Tesla repricing in 2027. If unsupervised driving, a one-dollar-per-mile robotaxi, 50,000-unit Semi capacity and in-factory Optimus pilots all converge in the same year, the 1,500-dollar scenario comes together.
Morningstar's September 28 Morning Filter episode puts Micron, Nike and McCormick earnings, Costco and Darden lessons, a Lennar versus Berkshire comparison and four stocks that look undervalued despite sharp rallies on the table in a week of rising bond yields and heavy data.
A single long call sells an unlimited dream but needs the stock far beyond breakeven at expiry. The speaker turns the 68 and 95 percent probability bands into positive expectancy with a vertical spread and a 1-by-2 ratio spread.
The Motley Fool host hunts for four stocks to hold untouched for a decade in a noisy market: Costco on membership power, Walmart on scale, Alphabet on cloud and robotaxis, Berkshire Hathaway on patient capital. We check every thesis against September 2026 figures, with risks included.
Two close watchers of the memory market say it is definitely a bubble, yet they keep holding Micron at five to six times earnings. Ahead of the September 30 results, HBM demand, long-term customer contracts and supply constraints sit at the center of that contradiction.
A famous short seller's pledge to cover at fresh highs turns Micron's September 30 print into a squeeze test; options price 10% while the squeeze needs twice that.
Istanbul prosecutors sought asset freezes on 46 companies, 18 funds and 42 individuals over allegedly fund-driven 100x price inflations on Borsa Istanbul. With the SPK shutting 131 funds off TEFAS, detentions reaching 51 and MASAK tracing flows, the probe is becoming the capital market's biggest cleanup.
Clive Thompson filters a wall of bestsellers to keep only enduring ideas, tracing an arc from Graham's margin of safety and Fisher's moat to Lynch's observation and Malkiel's index simplicity.
Among the noise, meaningful connections.