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Michael Zdinak joins Morning Movers to discuss the state of the economy following last week's market selling and weaker jobs data. He examines the FOMC pause and doesn't believe a September rate cut is fully in the cards, believing October or December is more likely. Michael says he'll be closely monitoring employment data over the next 2 months as investors await the September FOMC meeting.
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Aquiles Larrea says his firm started following Palantir (PLTR) back when it was at $17 and he still sees it as a "dominator" in the A.I. sector. He hopes to see an expansion into the commercial sector as PLTR has a significant presence among the defense sector. Aquiles calls it one of his "core holdings right now."
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Kevin Green is back on Morning Movers and he's looking back before looking ahead. KG says last week's selling action was partially driven by jobs data but also attributes it to mechanical factors such as low realized volatility and a "structural pullback" in the marker. He notes that the VIX has been trading in a tight range, which could lead to a re-rating of volatility and create opportunities for intraday swing traders. He expects the $6200-$6210 level on the S&P 500 (SPX) to hold as a key support and sees $6300 as resistance to the upside.
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Onsemi (ON) shares are under pressure after a mixed earnings report. Ben Watson examines the technical patterns taking shape for the semiconductor company. On a longer term chart, he sees shares re-testing a head and shoulders pattern. Ben points to current levels of resistance and support to watch out for following the earnings move.
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ON Holding (ONON) investors hope shares can reverse its current trend and run higher once it releases earnings on Tuesday. Chili's parent, Brinker (EAT), aims to push its 150% year-over-year rally further. Cisco (CSCO) has broken out and shows significant bullish trends heading into its earnings. Jenny Horne talks about the recent headlines impacting all three names while Kevin Green goes over the bullish and bearish trends he sees in the charts.
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Kevin Horner and Jenny Horne preview a trio of Tuesday's biggest earnings names: AMD, Supermicro (SMCI) and Caterpillar (CAT). Kevin identifies bullish and bearish technical formations taking shape on the charts, while Jenny compiles the fundamental storylines for each company headed into their latest quarterly figures release.
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Thomas Raymond looks at why AI is so important for the tech sector. He breaks down how Alphabet (GOOGL) is implementing AI across diverse business segments, including Waymo’s self-driving cars and YouTube’s algorithm, as well as increased Google Cloud revenue. Thomas argues GOOGL is still underappreciated: “This name should be richly valued…and is trading at a discount to the S&P 500.” He calls Nvidia (NVDA) the “metaphorical gas station” fueling the AI phenomenon and also believes it is undervalued.
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Sofi Technologies (SOFI) shares surged to 4.5 year highs after its latest earnings. George Tsilis peels back the layers on the fintech business to find out what's driving price action in the stock. From the digital banking segment of its business to SOFI's role in mortgage lending, George maps out the reasons why this company continues to draw investor interest.
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It was a week that saw all-time highs and a Friday sell-off. Days after the S&P 500 (SPX) and Nasdaq-100 (NDX) notched new records, revisions to employment data sent shares spiraling into the weekend. Marley Kayden recaps the week's top events, including earnings reports from 4 of the Mag 7 Stocks: Microsoft (MSFT), Meta Platforms (META), Apple (AAPL) and Amazon (AMZN).
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Coca-Cola's (KO) recent move to introduce a new cane sugar sweetened product line has investors buzzing about the potential impact on sugar prices. Sal Gilbertie breaks down the dynamics at play and how it could affect the price of sugar futures, particularly in light of global supply and demand imbalances. With the U.S. relying heavily on sugar imports, Gilbertie notes that even a small increase in demand could tip the balance and drive up prices, potentially benefiting ETFs like the Cane Sugar Fund (CANE).
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