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Equity futures are trying to shake off a turbulent Thursday session, thanks in part to a high-profile social media spat between Elon Musk and President Donald Trump. Kevin Green explains the rapid impact on market momentum, particularly for Tesla (TSLA). Meanwhile, investors have the May jobs report in focus on Friday. Later, KG breaks down Broadcom (AVGO) after a post-earnings pullback in shares.
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BeiChen Lin joins Diane King Hall at the NYSE to dive into the latest monthly U.S. jobs report. He gets into a sector-specific breakdown pointing to a "catch-up" in hiring for healthcare professionals in the wake of the COVID pandemic. BeiChen says he's watching consumer data to see if spending power continues, which would have a ripple effect on hospitality and leisure jobs. He doesn't see a rate cut from the Fed until September.
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Bob Lang looks at Lululemon (LULU) as shares plummet after earnings. He dives into the company's guidance and notes their cautionary stance due to tariff risks. Bob believes this drop shows just how expensive the stock ran up to, and says they didn't announce a buyback which could indicate further weakness.
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Rachel Dashiell swings by Morning Movers with a technical perspective on CrowdStrike (CRWD). On a short-term chart, she points to support around $450 and resistance near $475 over a 20-day timeframe. On the 1-year chart, Rachel still sees support at $450. The cybersecurity stock pulled back from all-time highs after its latest earnings report.
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Shares of Tesla (TSLA) rebound after Thursday's dramatic sell-off. Lululemon (LULU) is down following its latest earnings report. And, despite an earnings beat, Broadcom (AVGO) is under pressure ahead of Friday's open. Tom White takes us through the stories.
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It's a "goldilocks market" that many missed, says Eddie Ghabour, which he believes led to pessimism against positive price action. He argues it's not too late to join the rally with lots of hedge fund cash still on the sidelines. Eddie sees small caps and consumer discretionary regaining lost strength.
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Options Play's Tony Zhang is a bull when it comes to Micron (MU). He sees tremendous room for the A.I. chipmaker to run despite its choppy price action over the last year. Tony offers investors insight into the company's bullish and bearish indicators and offers an example options trade ahead of earnings later in June.
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Options involve risks and are not suitable for all investors. Before trading, read the Options Disclosure Document. http://bit.ly/2v9tH6D
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It was a volatile day on Wall Street with all four indices ultimately closing down. Tesla (TSLA) was the culprit behind much of the selling action after Elon Musk openly criticized President Trump and his administration on X. Brown-Forman (BF/B) had its worst day in 12 years as tariffs cut into profits, Broadcom (AVGO) struggled to meet sky-high expectations in earnings, while Visa (V) continued to outperform. Sam Vadas breaks down today's heavy trading session.
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Carly Garner expects crude oil (/CL) to continue its downward trend due to a strong U.S. dollar and OPEC's recent decision to increase production. She believes that while geopolitical tensions could cause short-term rallies, the overall trend remains bearish. In the equity market, Garner sees the S&P 500's (SPX) 6000 level as a point of contention, but is cautious about the upside potential and prefers to be bearish from higher levels, citing the potential for a larger correction.
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Carly Garner expects crude oil (/CL) to continue its downward trend due to a strong U.S. dollar and OPEC's recent decision to increase production. She believes that while geopolitical tensions could cause short-term rallies, the overall trend remains bearish. In the equity market, Garner sees the S&P 500's (SPX) 6000 level as a point of contention, but is cautious about the upside potential and prefers to be bearish from higher levels, citing the potential for a larger correction.
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