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PepsiCo (PEP) rallied on today's earnings, with Alexis Browne Roberts noting a "surprisingly resilient" consumer lifting the numbers. However, she still wouldn't buy the stock even after today's report, giving the case that today's earnings were only "less bad" than it could have been. Dale Smothers still sees the stock as a strong dividend play. One bearish take he gives is America's Ozempic Effect" that will hit PepsiCo's snack profits.
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Jason Brown turns to ETFs on today's Big 3. He points to the Technology Select Sector SPDR ETF (XLK) as a way investors can capitalize on tech's broad bull run. He has a similar approach for the VanEck Semiconductor ETF (SMH) and sees the Select Sector Industrial SPDR ETF (XLI) continuing its run higher. Rick Ducat gives investors insight into the bearish and bullish trends for each chart.
======== Schwab Network ========
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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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Tony Zhang believes Block (XYZ) is a stock many investors need on their radar. He considers the company "undervalued" since taking a beating after its first quarter earnings. Tony points to Block's exposure to crypto holding lots of value, adding that its fundamentals remain strong without taking crypto into account.
======== 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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Netflix (NFLX) reports earnings after the close on Thursday, and Sam Vadas expects a volatile reaction after hours. She talks about why advertising and live events will draw investor interest and shows how bullish analysts are heading into the report. Joe Tigay expects a "subtle fade" on earnings and offers an example options trade for the streaming giant.
======== Schwab Network ========
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TSMC (TSM) posted earnings that wowed investors, as well as Cory Johnson, noting the company's 28% quarter-over-quarter growth as stellar. The company's reach in Mag 7 corporations like Apple (AAPL) and Nvidia (NVDA) is why he attributes TSMC as being "one of the most important companies in the world." Cory also talks about the U.S. lifting chip export restrictions on Nvidia and explains why they would've been bearish for A.I. if they stayed. Tom White later joins and offers example options trades for TSMC and Nvidia.
======== Schwab Network ========
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Alex Coffey turns to the options front in the SPX, which he says has been trading in a clear range throughout the week. He talks about how headlines on Jerome Powell and President Trump shook up Wednesday's run higher. On Netflix (NFLX), Alex calls the streaming giant the "number one player" in digital media. He believes Thursday's earnings will serve as a "barometer" for investors and the earnings season ahead.
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GE Aerospace (GE) sold off after the opening bell despite initially trading higher on strong earnings and raising its full-year outlook. PepsiCo (PEP) rallied to a 3-month high even though its net income is down and demand continues to show signs of weakness. Jefferies turns into a bear on Starbucks (SBUX) with a downgrade to underperform from hold. Diane King Hall takes investors through the morning's biggest movers.
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Investors spoke loud and clear during yesterday's trading session when headlines of President Trump firing Fed chair Jerome Powell hit the wire. Trump denied those reports, but Charles Schwab's Liz Ann Sonders talks about how it proves that markets see Jerome Powell as a positive influence. Liz Ann turns to the inflation picture and talks about the CPI and PPI prints, arguing there's a lot under the headline numbers investors should pay attention to.
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Kevin Hincks reports from the Cboe Global Markets to break down the biggest stories of the premarket price action. He says the latest round of earnings continue to show resilience in uncertainty with highs bars being held and low bars being jumped. Retail sales also showed better-than-expected results, which Kevin attributes to a still-strong consumer. He also talks about the Fed's path forward for interest rate cuts as more ecodata hits the wire.
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Dan Genter joins Diane King Hall at the NYSE set with his broader macroeconomic forecast for the year ahead. He believes 2 rate cuts are coming and says "we're in a good situation for moderate growth." In terms of valuation, he thinks it will be difficult to expand beyond a 21x P/E. Dan says employment is a strong tailwind right now, and says the only break witnessed in the labor market is people are more hesitant in leaving their jobs. Later he looks at companies he likes including: Coterra Energy (CTRA), LKQ Corp. (LKQ) and CRH (CRH).
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