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As investors await the latest quarterly figures from Meta (META), Rick Ducat shows the outperformance Mark Zuckerberg's company has displayed over the past year versus the overall markets and communications sector. He highlights the pronounced V-shaped recovery from April lows and points to current levels of support. Later, Tom White discusses an example trading strategy using a put vertical with the Aug. 1 expiry date.
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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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Chris Versace joins Morning Movers to discuss the latest labor market data and GDP print. On the ADP data, he says it was a "good report" for the economy but says investors looking for a rate cut might not see it the same way. Jerome Powell and the FOMC announce their latest rate decision later today, and Chris believes the report gives the Fed more "wiggle room" to wait on cutting rates. He believes it'll be a wait-and-see environment as trade deals take shape, thinking the rate cut odds could shift to October's FOMC meeting instead of September. Chris adds thoughts on the latest tech sector earnings and what to watch in Microsoft (MSFT) and Meta (META) reports.
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Ahead of Ford (F) earnings, "it's all about the guidance," says CFRA's Garrett Nelson. The U.S. automaker reports 2Q earnings after Wednesday's close. CFRA has a hold rating on Ford with an $11 price target. Garrett says valuation is a concern for Ford as it trades "to a premium compared to General Motors" and says Ford trails GM in domestic auto sales. Later, he turns to Tesla (TSLA) saying it should be viewed as a tech company based on its valuation and business lines its entering beyond automotive.
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A crucial week for the markets continues to have Friday's tariff deadline in focus. Sam Vadas and Diane King Hall discuss the latest trade developments overseas, including President Trump's insistence that Friday's deadline will "not be extended." Adding further investor intrigue: Today's FOMC announcement and the latest glimpse from Jerome Powell on the state of the economy.
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Seagate (STX) reached all-time highs ahead of earnings, but dropped after weaker-than-expected guidance dismayed investors. Ben Watson looks at the trading range after the latest report seeing $141 as a near-term support level for STX. On a 1-year timeframe, he highlights $165 as an upside resistance but says $141 acts as a base of an ascending triangle formation taking place. Ben also notes the RSI momentum study is showing signs of cracking.
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“There’s 7 trillion sitting on the sidelines,” Jeffrey Small says, claiming there’s never been a “more hated” V-shaped rally. “It’s ok to buy in this stage of the cycle,” he adds, but “buyer beware.” He thinks we are living in “the Fourth Industrial Revolution” that will completely change world economies. Jeffrey’s stock picks right now include NVDA, GOOGL, META and TSLA.
======== Schwab Network ========
Empowering every investor and trader, every market day.
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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Marvell (MRVL) may not get the headlines of other names in the semiconductor sector, but it has a unique role in the tech space due to its ability to provide comprehensive, custom semiconductor solutions tailored to specific customer needs. George Tsilis examines the company's financial performance, why is has lagged the broader market, and possible catalysts for the stock.
(Revised version of original posting on Saturday, July 26, 2025)
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Stocks closed down as tariff talks between the U.S. and China continued for a second day in Sweden. Most earnings didn't offer hope for positive trading action, seen in Novo Nordisk's (NVO) 22% decline after curbing sales expectations for Wegovy and Ozempic. Spotify (SPOT) also saw a staggering sell-off after posting a surprise miss. However, SoFi Technologies (SOFI) offered a bright spot with its rally. Marley Kayden talks about the biggest earnings movers of the session.
======== Schwab Network ========
Empowering every investor and trader, every market day.
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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Eric Metz says market complacency has set in despite the S&P 500's new all-time highs. He notes that while the VIX has receded from April's highs, it remains elevated historically. He sees opportunities in options trading, particularly in put spreads and hedges on individual names like Microsoft (MSFT) and Nvidia (NVDA).
======== Schwab Network ========
Empowering every investor and trader, every market day.
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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Charles Schwab's Nathan Peterson sees the trading action over the last two sessions as interesting. He believes they add to a thesis that markets are priced to perfection. Nathan notes the seasonally weak August and September months ahead without a positive catalyst, another headwind for investors. On Wednesday's FOMC interest rate decision, Kathy Jones will watch for any dissenting votes to see where Fed officials truly stand on rate cuts.
======== Schwab Network ========
Empowering every investor and trader, every market day.
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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