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Canada's decision to drop most retaliatory tariffs on the U.S. may signal a new tack in trade negotiations, according to Marc Gilbert. Gilbert says the move shows the strength of USMCA and could be a template for other countries in their own trade talks with the U.S. He believes China is still the big prize, and while a deal may take time, it will likely end up in a better place than initially thought.
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Ted Thatcher discusses his market outlook, citing the U.S. consumer's struggles with inflation and the impact of potential Fed rate cuts. He highlights the performance of large tech stocks, such as Microsoft (MSFT), and their potential for long-term growth driven by AI infrastructure investments. Thatcher also touches on the benefits of Roth conversions in the current market environment, particularly if there's a pullback in the markets. Additionally, he notes the recent outperformance of Alphabet (GOOGL) and its potential for continued growth.
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Frances Stacy says she remains "constructive" on Palantir (PLTR). The company sold off 10% throughout the week but she says the company holding its 50-day SMA is a strong bullish signal for the stock. She adds that Palantir's growth relies on NDX strength and A.I. capex. Frances does note concerns of an A.I. "bubble," though there needs to be a slew of specific conditions for it to pop.
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Walmart (WMT) is among the retail winners as big-box earnings roll in, with its size and scale giving it an edge to weather potential tariffs and economic headwinds. RJ Hottovy and Jan Rogers Kniffen discuss what's happening in retail. Target (TGT) faces a different story, with a new CEO at the helm and execution challenges ahead. TJX Companies (TJX) and Ross Stores (ROST) also stand out as winners in the space, benefiting from their off-price models and strong supply chains.
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Noah Wise says the market's initial reaction to Fed Chair Powell's comments was "a little bit more nuanced" than meets the eye. While the market initially priced in a higher likelihood of a September rate cut, Wise believes Powell's removal of language related to average inflation targeting from the policy framework statement is a more significant, yet less obvious, dovish signal. He thinks this change could lead to more rate cuts being priced into the market in 2026 and beyond.
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Earlier in the year, Tesla (TSLA) faced pressure from all fronts as digital demand, brand perception and vehicle deliveries all plunged. Megan Brantley with LikeFolio notes that the company is seeing a rebound in online interest, particularly through discussions surrounding the Model Y. She points out a significant rise in consumer traffic that signals a rise in consumer interest in Tesla. Megan adds that its robotaxi launch shows promise in pricing power against competitors.
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The discount retail space is navigating a complex landscape of tariffs and rising prices, but some retailers are better positioned than others. Jharonne Martis and Suketu Gandhi discuss the key themes emerging in the space. They highlight the importance of inventory management, operational excellence, and proactive steps to reduce exposure to countries affected by US tariffs. Martis notes that Ross Stores (ROST) and TJX Companies (TJX) are executing well on these fronts. Meanwhile, Gandhi emphasizes the need for retailers to balance labor costs and invest in AI to stay competitive.
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Chris Vermeulen says the market's price action is what matters most, not Fed Chair Jerome Powell's comments. Vermeulen thinks the market's recent pullback was a buying opportunity, and today's broad rally is a sign of a continued melt-up. He also believes the recent defensive flows into sectors like utilities and healthcare were a sign of fear that has now turned into FOMO buying. He remains bullish on the market, but sees a potential correction on the horizon for the energy sector, specifically in the XLE.
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Dan Deming considers Friday's trading action after Jerome Powell's Jackson Hole speech "remarkable." On stocks he's watching ahead, he expects Eli Lilly (LLY) to rebound off a significant sell-off, Boeing (BA) to soar on its financial recovery and aircraft backlog, and CVS Health (CVS) to capture more market share in the pharma space. Dan offers example options trades for all three names while Rick Ducat highlights key levels for investors to watch.
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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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Mike Sanders reflects on an "exciting day" for fixed income after Fed chair Jerome Powell indicated a dovish stance on interest rates during his Jackson Hole speech. Mike feels that 20 and 30-year bonds still have a lot of uncertainty centered around them and likes intermediate fixed income, believing that cash on the sidelines will start to flow in.
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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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