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Hatem Dhiab says he "doesn't want to rain on anyone's parade" but following Tesla's (TSLA) Robotaxi event in Austin he's left looking for more data. Hatem points to the geofenced restrictions on its vehicles and the presence of human monitors as potential question marks, and compares the physical structure of Tesla's cars to that of Waymo's. Later, Hatem weighs in on another EV maker: Rivian (RIVN).
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After surging to all-time highs last week, shares of Oklo (OKLO) have fallen sharply. Marley Kayden joins Next Gen Investing to examine the nuclear energy's stock and a recent downgrade from Craig-Hallum. The firm cut its rating to a hold from a buy, but raised its price target to $59 from $43. As Marley details, the analyst is uncertain about OKLO's regulatory path ahead as it has no predecessor.
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Carnival (CCL) shares are up more than 40% over the last year, but have pulled back from recent highs. Despite this, the company's record earnings and strong forward-looking booking mentions are positives. However, Likefolio's Megan Brantley notes that CCL's high debt-to-equity ratio and exposure to budget-conscious consumers could be headwinds. Additionally, changes to its loyalty program have sparked a consumer backlash, which could impact sentiment and demand. With the job market showing signs of potential weakness, Brantley says CCL's stock may be more vulnerable to a slowdown than its peers, such as Royal Caribbean (RCL) and Norwegian (NCLH).
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Russell Hackmann is positive on the market despite “wild cards” ahead. He says it would be “great” if crude oil stays between $70-$73 but discusses what could bring oil above $100/barrel. He also talks about Jamie Dimon’s warnings about the bond market cracking. He is “very concerned” about the long-term impacts of the U.S. deficit and thinks investors should stay away from fixed income. He discusses the thesis of his book, “Wall Street is Not Your Friend.”
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Existing home sales rose 0.7% in the latest month, but beneath the surface, weaknesses persist due in part to high mortgage rates. Bankrate's Stephen Kates and First American Financial Corporation's Mark Fleming join the conversation to break down the state of the housing market. They discuss how demographic trends, such as an aging population "aging in place," are also contributing to the slowdown.
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Mike Shorr looks to manage risk levels in his 3 example options trades. For Crispr Therapeutics (CRSP), he's looking at low-implied volatility in the gene-editing biotech company. For nuclear energy company Oklo (OKLO), Mike says the pullback to a 20-day moving average could be a reason to get into the stock ahead of August earnings. And, lastly, he's looking at an earnings gap fill move in GameStop (GME). Ben Watson provides the technical perspective on the charts for all 3 stocks.
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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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Jeffrey Small explains why the market didn’t have an outsized reaction to the U.S. bombing Iran. He thinks a melt-up could occur in the S&P 500 before the end of the year, and walks through his “best-case scenario” for the year. He prefers to buy companies outperforming on their bottom line, saying bonds no longer really work as a hedge for equities. “When everyone is saying don’t buy, it’s the time to buy.”
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KB Home (KBH) shares are down ahead of its 2Q earnings report. David Trainer says his firm is more neutral on KBH compared to several of its peers, saying it "doesn't have much upside when things get better again." David believes it's a difficult period and "difficult environment" for homebuilders now with higher costs and higher rates. Later, Tom White illustrates potential trading strategies for KBH and DR Horton (DHI).
======== 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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Dann Ryan looks at the small cap space and highlights opportunities for investors. He warns that small caps can carry heavier debt levels with higher interest rates, and the Russell 2000 tends to be the most volatile part of the market. He allocates around 10% of his portfolio to small caps and sees a “rocky road ahead.” He likes utilities and more defensive sectors right now. He also thinks that the market will end the year higher.
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Ahead of tomorrow's earnings report, Marley Kayden previews Carnival (CCL) numbers. She discusses the state of discretionary spending by U.S. consumers, as people spent on travel and leisure expeditions. Marley notes that analysts have raised their CCL price targets over the last 2 weeks, indicating a bullish sentiment remaining on the Street. Then, Charles Moon provides an example trade in CCL.
======== 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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