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The SPX is seeing some weakness to start the trading week but Alex Coffey points out the bullish reversal in perspective when it comes to tariffs. Alex explains his reasoning for what's driving the change while giving a closer look into the levels investors should keep on their radar today. He also gives his take on Netflix (NFLX) and why it is one of the biggest earnings movers to watch this week.
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There's "tremendous pressure on the Fed to do nothing" with interest rates, says Jim Bianco. Catalysts of an improving economy and tariffs leaving less concerns than expected are two key arguments behind Bianco's reasoning. However, he says higher interest rates will add pressure against the stock market. Jim adds that the gargantuan rally in stocks can continue but will eventually face a valuation issue.
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The SPX and NDX consistently have hit new all-time highs over the past couple weeks, something Kevin Hincks labels as a concern heading into earnings. While he projects a solid earnings season, valuations for stocks have run so far up from April lows, creating issues for continuous rallies. Kevin urges investors to keep tariffs on the radar as we move closer to the new August 1 deadline. He later talks about Bitcoin's all-time high run.
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Cybersecurity giant, CrowdStrike (CRWD), got a downgrade from Morgan Stanley to equal weight. The firm sees a significant long-term story for the company but cites valuation concerns near-term. Jenny Horne talks about the firm's note and sky-high expectations for CrowdStrike's upcoming earnings. And it's not a trading week without headlines on Tesla (TSLA). Jenny mentions that Tesla shareholders will decide on whether the company supports an investment into xAI.
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CrowdStrike (CRWD) begins the week with a downgrade from Morgan Stanley. Rick Ducat examines the technical layout on the cybersecurity leader's chart. He points to bearish candle patterns in recent weeks and highlights resistance at $514. Later, Tom White illustrates a neutral to bullish options strategy using an example put vertical trade. He maps out a trade that expires in 18 days.
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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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Stephen Biggar dissects the macro & micro storylines to watch ahead of this week's bank earnings. Notable stocks JPMorgan Chase (JPM), Goldman Sachs (GS), Morgan Stanley (MS) and more report the latest quarterly figures later this week. Stephen weighs tariff policy's impact and what it means for banking stocks in that environment. Additionally, he looks at current rate levels, delinquency rates and employment rates all factoring in to the earnings picture for financial stocks.
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Sam Vadas joins Diane King Hall at the NYSE set to discuss this weekend's tariff policy updates. Pres. Trump announced tariff hikes on the European Union and Mexico, set to take effect August 1. While equity markets pulled back overnight, Bitcoin (/BTC) popped to new highs as Congress kicks off its "Crypto Week" on the Hill.
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This week's reports from big banks can set the tone for the new earnings season. George Seay argues that companies like JPMorgan Chase (JPM), Goldman Sachs (GS) and Morgan Stanley (MS) became overvalued in their massive runs higher, setting the bar very high for future rallies. Greg Halter talks about credit outlook for the financial sector's biggest names.
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The third quarter earnings season kicks off with an abundance of big reports across industries. Among the most notable names: JPMorgan Chase (JPM), United Airlines (UAL), and TSMC (TSM). Jenny Horne talks about the latest news surrounding all three companies while Rick Ducat helps investors see the bearish and bullish trends in the stocks.
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Oracle (ORCL) shares have surged in 2025 as the company's position in A.I. adoption continues to fuel growth. From its competitive collaboration with hyperscalers to its role in the "Stargate Project," Rick Ducat examines the tech stock's notable rise. Later, Rick breaks down the technical perspective on its chart.
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