Apr 24, 2026
Tariffs cut imports and raised domestic prices — but only low‐cost, flexible EAF operators profited. Steel Dynamics turned the boost into strong earnings; Cleveland‐Cliffs remains hamstrung by high fixed costs and debt.
Apr 23, 2026
Three companies, three strategies: Joby's all-in play, Archer's partnership-driven path, and Vertical's asset-light pitch. Which approach gives investors the best shot at profits as certification, cash and partnerships decide the winner?
Apr 22, 2026
A 775% run has pushed Syntec into a commercial-production pivot with catalysts that could drive a breakout above the $11.54 resistance. Still, outsized insider ownership, low float and cash-flow risks mean any upside hinges on a decisive earnings- or news-driven move.
Apr 21, 2026
AI-driven chip demand is roaring back — three under-the-radar, sub-$10B "picks-and-shovels" semiconductor plays poised for outsized gains.
Apr 20, 2026
AI-driven disruption and Middle East uncertainty leave the rally fragile. Trim software and cybersecurity names; consider semiconductors and AI-infrastructure only on pullbacks.
Apr 19, 2026
Strong operations, acquisitions and widening margins could drive Mama’s Creations to a fresh all‐time high before mid‐year. Analysts and institutions are accumulating the stock, implying as much as 25% near‐term upside.
Apr 18, 2026
Geopolitical oil shocks are driving broad price hikes and could force the Fed into higher rates — brace for inflation-driven volatility. Investors should trim risk, lock in gains, and keep dry powder ready for buying opportunities.
Apr 17, 2026
Breakthroughs are bringing “Q‐Day” within reach, and investors are piling into quantum‐hardware firms seen as both the threat to — and solution for — today’s encryption.
Apr 16, 2026
Wall Street is pricing Intel as a strategic foundry — valuing its nation-scale, government-backed fabs over near-term sales and signaling upside still to come.
Apr 15, 2026
Coiling in a bull‐flag near record highs, JPMorgan’s charts and heavy institutional buying point to a likely breakout with meaningful upside. Strong buybacks, growing dividends and a fortress balance sheet underpin the rally, though macro and geopolitical risks could intervene.
Apr 14, 2026
A fragile Iran ceasefire could restore oil flows and lift energy-dependent markets. These three country ETFs — Germany’s DAX, South Korea’s FLKR and Japan’s EWJ — stand to gain the most.
Apr 13, 2026
Nike has tumbled about 75% to 12‐year lows and is technically oversold, with some analysts projecting as much as 130% upside. But a still‐rich P/E and persistent growth and execution issues in China mean any rebound is a high‐risk, proof‐required bet.