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Tesla (TSLA) CEO Elon Musk and President Donald Trump appear to take steps to mend relations. McDonald's (MCD) gets a double downgrade at Redburn. And, Apple (AAPL) shares are on the move as investors react to the company's latest announcements from WWDC. Tom White has the latest.
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Dale Smothers doesn't expect a rate cut from the Fed next week but still sees two rate cuts before the end of the year. However, he says that all depends on how strong future CPI prints come in, particularly July's. Turning to the Mag 7, Dale believes Apple (AAPL) has room to catch up to the rest of the Mag 7's recovery. He expects Nvidia (NVDA) to continue leading markets as the "pickaxes and shovels" A.I. play.
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Markets opened the week higher despite consolidation seen in the major indices. One company that did not join the move higher was Apple (AAPL) after the Big Tech giant's Worldwide Developers Conference disappointed investors over a lack of A.I. showings. One report suggests Meta Platforms (META) will bolster its A.I. offerings through a $120 billion investment. Air mobility stocks like Archer Aviation (ACHR), Joby Aviation (JOBY) and Rocket Lab (RKLB) rallied off new executive orders from President Trump. Marley Kayden turns to the trading session's biggest stories.
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Adam Patti, CEO of Vista Shares, joins Market on Close to discuss the VistaShare's Wild ETF. Patty explains how the fund's selection process works, citing companies like Meta (META), MicroStrategy (MSTR), Super Micro (SMCI), Palantir (PLTR), and Tesla (TSLA) as current holdings. He also addresses concerns about market volatility and potential "copycats," emphasizing the importance of active management and risk management in navigating the fund's leverage.
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IONQ Inc. (IONQ) rallied after it bought U.K. quantum computing start-up Oxford Ionics. It's a big move for the company, though George Tsilis points out that IONQ still has to achieve profitability. The bet comes down to how profitable quantum computing can become.
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Charles Schwab's Collin Martin doesn't expect any surprises from the Fed in next week's interest rate decision. He points to the latest jobs report signaling an unchanged rate. However, Collin says changes to the dot plot beyond two cuts are possible. He believes inflation will remain on the backburner for the FOMC, which he sees focusing more on the labor market long-term.
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Gold is holding steady, but silver is shining with a 13-year high on strong industrial demand and supply deficits. Scott Bauer sees the gold-to-silver ratio narrowing, making silver a buy. In oil, a bearish forecast from S&P Global Commodity Insights predicts prices could fall below $50 a barrel due to OPEC supply, but Bauer isn't ruling it out. Bitcoin, however, is defying gravity, nearing its record high on bullish forecasts and institutional buying.
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Kevin Green calls today's trading action "boring" with the SPX trading within a 20-point trading. Tariff talks between the U.S. and China getting extending to tomorrow, combined with Apple's (AAPL) "nothingburger" WWDC event, kept risk-on sentiment off the table. However, Kevin tells investors to brace for a ramp-up in volatility in the coming weeks.
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XCF Global (SAFX) CEO Mihir Dange discusses the company's mission to decarbonize global aviation through synthetic aviation fuel (SAF). He discusses XCF Global's IPO, production capacity, and plans for expansion, including a potential pipeline of 1.6 billion gallons by 2028. He also shares insights on growth drivers, including the need for 4,000-5,000 new facilities to meet demand, and the company's strategy for global adoption.
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John Schloegel shares his market insights and favorite undervalued businesses, including Merck & Co. (MRK) and PepsiCo (PEP). He also discusses the potential for a pullback in the 60/40 portfolio and why he's not convinced it's dead yet. He emphasizes the importance of patience and long-term thinking, citing Warren Buffett's advice to only need one or two good investment opportunities every few years to be successful.
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