Nvidia Earnings, Jackson Hole to Test Pillars of Stock Rally
Nvidia's earnings report and the Federal Reserve's Jackson Hole symposium will test the assumptions behind this year's stock market rally, according to Reuters, offering clues on whether the AI-driven surge in equities can withstand rising uncertainty over growth and interest rates. Global bond yields surged this week, sending the 30-year Treasury yield to its highest level since 2007 and pressuring stocks, while raising concerns about borrowing costs for households and companies investing heavily in AI infrastructure. The Treasury Department's efforts to calm markets by doubling buybacks for long-dated debt offered only brief relief, with yields rebounding on Thursday. That sharpened focus on the August 27-29 Jackson Hole event and how Fed Chair Kevin Warsh communicates policy after stepping back from traditional forward guidance. The S&P 500 is down this week and about 2% below its record high, as rising yields weigh on semiconductor stockand drag the Philadelphia chips index down roughly 5% for the week. Nvidia, whose chips underpin much of the AI buildout, reports second-quarter results on August 26 and has become a proxy for the broader AI ecosystem. The company recently teamed up with six major financial institutions on financing platforms targeting more than $500 billion for AI infrastructure. Reuters cited Arena Private Wealth's Erik Kratz as saying the market is heavily reliant on the AI trade, with Nvidia the dominant player. With July's PCE inflation reading and a U.S. growth report due before the symposium, investors will get an updated picture of inflation and momentum that could reshape rate expectations. Markets are pricing in a 35% chance of a September rate hike, rising to 66% by December. It will be Warsh's first Jackson Hole appearance since taking office in May 2026, and Reuters noted his shift away from forward guidance has left investors seeking clarity on his longer-term framework.s
Market News: Four Variables Will Define Next Week — US-Iran Sanctions Monday, Warsh at Jackson Hole Thursday, PCE Friday, Nvidia Earnings
The global market faces four major risk events next week that could determine whether Bitcoin's best week since March 2023 extends into a sustained recovery or consolidates before the next leg: new US-Iran sanctions that Treasury Secretary Bessent says will be announced Monday, Fed Chair Warsh's first appearance at the Jackson Hole Economic Symposium on August 28, the release of July core PCE inflation data, and Nvidia's earnings report. Gold broke through $4,600 this week — its third consecutive weekly gain — reaching a high of approximately $4,632 on Friday, with analysts targeting $4,680-$4,700 if the $4,600 level holds. The same sovereign risk and dollar weakness dynamic that drove gold to $4,600 drove Bitcoin's 24% weekly advance — and next week's four catalysts will either validate or challenge both moves simultaneously. US-Iran Sanctions Monday — The Oil Risk That Reopens Treasury Secretary Bessent's announcement that the Trump administration will unveil new sanctions against Iran on Monday is the first scheduled catalyst of the week and the most directly consequential for oil prices and inflation expectations. New sanctions against Iran — arriving the same week that the 60-day ceasefire formally lapsed with no deal and Hormuz shipping fell to near zero — would represent a significant escalation of economic pressure that reduces the probability of the Iran-Oman deal framework materializing in the near term. Trump's warning that any country providing support to Iran could face economic consequences adds a secondary sanctions dimension that affects Iran's major trading partners — primarily China, which has been the primary buyer of sanctioned Iranian oil throughout the conflict. Secondary sanctions threatening China's access to US financial markets would force Chinese entities to reduce Iranian oil purchases, further tightening Iranian revenue and reducing the economic incentive for Iran .
Gold is back in focus as market stress drives safe-haven demand 🟡 • Gold climbed above $4,600/oz, reaching a 3-month high • A weaker U.S. dollar and renewed concerns over U.S. debt are supporting the rally • Treasury bond market stress has pushed investors toward defensive assets • Analysts are watching whether momentum could extend toward $5,000 • Silver’s move near $70 adds to the broader precious metals strength Safe-haven demand remains a key theme as investors reassess inflation, debt, and monetary policy expectations.
#TRUMPBreaksAbove$3.4HighestSinceMarch21 ### *Opsi 1: Sudut Berita/Penembusan* *$TRUMP BREAKS OUT 🚀* $TRUMP baru saja menembus di atas *$3.4* — level tertingginya sejak *21 Maret*! Momentum kembali dan volume mulai meningkat. Apakah ini awal dari kenaikan lain atau cuma jebakan sesaat? Grafik terlampir 👇 DYOR. Bukan nasihat keuangan. #TRUMP #Crypto #MemeCoin #BinanceSquare ### *Opsi 2: Sudut Hype/Komunitas* *TRUMP MENYENTUH $3.4+ 👀 Tertinggi sejak 21 Maret* Grafiknya memanas dan $TRUMP memimpin narasi meme hari ini. Pembalikan bullish atau hanya hype pemilihan lagi?
U.S. stocks closed higher on Friday as investors sought footing after a sharp selloff driven by rising Treasury yields, according to Sina Finance. The Dow Jones Industrial Average rose 517.80 points, or 0.98%, to 53,277.01; the S&P 500 gained 33.21 points, or 0.43%, to 7,674.37; and the Nasdaq Composite added 113.28 points, or 0.43%, to 26,180.45. The "Magnificent Seven" were mixed: Tesla rose 5.14%, Google gained 1.05%, Meta added 0.75% and Microsoft rose 0.43%, while Amazon fell 0.57%, Apple dropped 0.63% and Nvidia declined 0.98%. Financials supported the broader market, with crypto-related stocks rallying as Bitcoin climbed 22% for the week. Robinhood surged nearly 14%. The materials sector stood out, gaining 2% on the day. Wall Street had endured a down session earlier, with Treasury yields turning higher after government efforts to contain a bond-market selloff. Bonds, particularly at the long end, have been under pressure as investors worry that rising oil prices could fuel higher inflation. For the week, the S&P 500 fell 1.4% and the Nasdaq dropped 2%, with both ending three-three-week winning streaks. The Dow fell 0.9% for the week, marking a second straight weekly decline. The pullback also spread beyond the U.S., with the MSCI All Country World Index down nearly 1% for the week. After the recent market retreat, Leo Kelly, founder and CEO of Verdence Capital Advisors, said stocks could face further declines if Treasury yields keep rising and Middle East tensions persist, potentially heading toward correction territory this fall. On Friday, long-dated yields continued to climb, with the 10-year Treasury yield up more than 3 basis points at 4.734% and the 30-year yield also up more than 3 basis points at 5.273%. “The market has adjusted to 4% to 5%” on the 10-year yield, Kelly said. “If we had some sort of event and the market broke out and went to the 6% to 7% range on the 10-year, that’s a problem, and the market will react poorly to that.”
Saham AS ditutup lebih tinggi pada Jumat, ketika para investor mencari pijakan setelah penjualan tajam yang dipicu oleh meningkatnya imbal hasil Treasury, menurut Sina Finance. Dow Jones Industrial Average naik 517,80 poin, atau 0,98%, menjadi 53.277,01; S&P 500 menguat 33,21 poin, atau 0,43%, menjadi 7.674,37; dan Nasdaq Composite bertambah 113,28 poin, atau 0,43%, menjadi 26.180,45. "Magnificent Seven" cenderung beragam: Tesla naik 5,14%, Google naik 1,05%, Meta bertambah 0,75% dan Microsoft naik 0,43%, sementara Amazon turun 0,57%, Apple melemah 0,63% dan Nvidia turun 0,98%. Sektor finansial menopang pasar yang lebih luas, dengan saham terkait kripto menguat seiring Bitcoin yang naik 22% sepanjang pekan. Robinhood melonjak hampir 14%. Sektor material menonjol, naik 2% pada hari itu. Wall Street sebelumnya mengalami sesi penurunan, dengan imbal hasil Treasury berbalik menguat setelah upaya pemerintah untuk menahan aksi jual di pasar obligasi. Obligasi, terutama di tenor panjang, berada di bawah tekanan karena investor khawatir harga minyak yang meningkat dapat memicu inflasi yang lebih tinggi. Sepanjang pekan, S&P 500 turun 1,4% dan Nasdaq merosot 2%, dengan keduanya mengakhiri tiga rangkaian kemenangan selama tiga pekan. Dow turun 0,9% untuk pekan ini, menandai penurunan mingguan kedua secara beruntun. Koreksi ini juga menyebar di luar AS, dengan MSCI All Country World Index turun hampir 1% sepanjang pekan. Setelah penarikan pasar baru-baru ini, Leo Kelly, pendiri dan CEO Verdence Capital Advisors, mengatakan saham bisa menghadapi penurunan lebih lanjut jika imbal hasil Treasury terus naik dan ketegangan di Timur Tengah berlanjut, yang berpotensi mengarah ke wilayah koreksi musim gugur ini. Pada Jumat, imbal hasil berdurasi panjang terus naik, dengan imbal hasil Treasury 10-tahun naik lebih dari 3 basis poin menjadi 4,734% dan imbal hasil 30-tahun juga naik lebih dari 3 basis poin menjadi 5,273%. "Pasar sudah beradaptasi dengan kisaran 4% hingga 5%" pada imbal hasil 10-tahun, kata Kelly. "Jika ada semacam peristiwa dan pasar menembus lalu bergerak ke kisaran 6% hingga 7% pada imbal hasil 10-tahun, itu masalah, dan pasar akan bereaksi buruk terhadap hal itu."
### *1. Narasi RWA* *DUSK sedang membangun rel untuk saham, obligasi & dana yang ditokenisasi 🔒* Dengan privasi bawaan + kepatuhan regulasi, DUSK memungkinkan institusi menghadirkan aset dunia nyata ke on-chain tanpa mengekspos data. Saat narasi RWA terus berkembang, $DUSK adalah salah satu yang patut dipantau. Bagaimana pendapatmu tentang privasi + kepatuhan yang digabung? #DUSK #RWA #BinanceSquare
### *2. Teknologi + Kegunaan* *3 alasan mengapa DUSK Network penting:* 1. Kontrak pintar yang rahasia menggunakan ZKP 2. Dirancang untuk institusi keuangan & sekuritas 3. Rantai Proof-of-Stake yang hemat energi Kebutuhan tokenisasi adalah privasi. DUSK menghadirkannya. DYOR, bukan nasihat keuangan. #DUSKNetwork #Crypto #Web3
### *3. Komunitas/Hype* *Apakah $DUSK menjadi mata rantai yang hilang untuk DeFi institusional? 👀* Bank ingin pembiayaan on-chain, tapi mereka butuh privasi + kepatuhan. DUSK Network menyediakan keduanya dengan kontrak rahasia untuk aset yang teregulasi. Memegang DUSK? Tulis thesis-mu di bawah 👇 #DUSK #Tokenization #Crypto
### *4. Tangkapan Cepat* *DUSK Network dalam satu baris: Blockchain untuk pasar keuangan.* Ini menggabungkan privasi, kepatuhan, dan kecepatan agar bank bisa men-tokenisasi aset dengan aman. Dengan RWAs memanas di 2026, infrastruktur seperti DUSK menjadi kunci. Bullish atau bearish terhadap $DUSK? #DUSK #Blockchain #RWA
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*Tips untuk Square*: Tambahkan chart atau logo DUSK + akhiri dengan sebuah pertanyaan untuk meningkatkan komentar.
Mau aku buat salah satu dari ini jadi lebih bullish, lebih meme-y, atau juga dalam bahasa Urdu/Hindi?
#dusk $DUSK @Dusk ### *1. Narasi RWA* *DUSK sedang membangun rel untuk saham, obligasi & dana yang ditokenisasi 🔒* Dengan privasi bawaan + kepatuhan regulasi, DUSK memungkinkan institusi menghadirkan aset dunia nyata ke on-chain tanpa mengekspos data. Seiring narasi RWA berkembang, $DUSK adalah salah satu yang perlu diperhatikan. Bagaimana pendapat Anda tentang privasi + kepatuhan yang digabungkan? #DUSK #RWA #BinanceSquare
ASIA MARKET OPEN | Seoul's KOSPI Jumps Nearly 2.4% at Open on Chip Rally; Tokyo Slips, Hong Kong Ope
According to Yonhap, the Korea Herald and HKET, Asian equities diverged at Tuesday's open as chipmaker strength lifted Seoul while Tokyo and Hong Kong slipped, tracking overnight losses on Wall Street where the Dow Jones Industrial Average fell 0.51% and the Nasdaq Composite eased 0.32% amid elevated oil prices and fading hopes for an Iran deal. Tokyo's Nikkei 225 opened lower, trading at 68,857.46, down 362.79 points or 0.52% as of 01:40 UTC, weighed by chip-related names as Japan's 10-year government bond yield climbed to a three-decade high. Tokyo Electron fell 2.41%, Advantest dropped 2.04% and Sony declined 1.46%. Seoul's KOSPI led regional gains, opening 2% higher and extending to 7,144.85, up 166.91 points or 2.39% as of 9:15 a.m. local time, driven by chipmakers. Samsung Electronics rose 3.64% and SK hynix jumped 6.38%, while shipping firm HMM surged 9.41%. Carmaker Hyundai Motor slipped 0.77%. Hong Kong stocks opened softer, with the Hang Seng Index down 84 points at 25,368 and the Hang Seng Tech Index off 0.3% at 4,768. Baidu firmed 1% ahead of results and Zijin GoldZijin Gold International rose 5%, while Xiaomi fell more than 1%. Chip name SMIC added nearly 2%, and jeweller Chow Sang Sang jumped 11% after flagging a profit surge. Taiwan's TAIEX opened up 65.13 points at 45,922.40, with Nanya Technology hitting a record NT$553 and TSMC opening NT$15 higher at NT$2,415; the index later pared gains to 45,793.13, down 0.14% as of 01:40 UTC. In mainland China, the Shanghai Composite edged up 6.79 points or 0.17% to 3,989.45 and the Shenzhen Component gained 0.20%, as of 01:40 UTC. Newly listed Pinzhun Laser opened more than 488% higher on its debut, the priciest new share of the year to date.
#BTC Short Trade📉 Entry: 63,200 SL: 63,400 TP: 61,250 Pasar saat ini tidak terlihat bagus untuk bullish. Senin dibuka dengan tekanan jual yang berat, jadi saya mengambil posisi short dan menargetkan 61,25K.
Ethereum ($ETH ) Foundation just opened Platåberget , the first public testnet for the Glamsterdam upgrade, with the hard fork set to go live on August 20. This is the biggest L1 tune-up since The Merge, and it's not about meme coins or hype — it's about giving Ethereum more execution capacity while stripping power from MEV cartels. ETHUSDT Perp 1,893.81 -0.64% Three things actually matter here. First, ePBS (enshrined proposer-builder separation) removes the builder middlemen that have been extracting value and centralizing block production — validators keep more, cartels lose their grip. Second, gas repricing toward a ~200M gas floor roughly triples the blockspace per block, which means cheaper and more efficient L2s on top. Third, contract size jumps from 24KiB to 64KiB , so developers can ship far more complex on-chain logic. For devs, there's a catch: hardcoded gas limits are about to breakand meta EIP-7773 is the heads-up for wallets, indexers, and gas estimators. History has a pattern: every time Ethereum ships a major capacity upgrade, the L1-native names re-rate for weeks. This fork is exactly that kind of catalyst — and it's still underpriced. The LONG 1H setup — $LINK 💥Entries at $9.47–$9.52 💥Stop at $9.40 below the Aug 17 low. 💥Targets are $9.62, then $9.72 (the Aug 15 high), then $9.85. LINKUSDT Perp 9.346 -1.72%
*Apa itu:* APPLB merujuk pada *Appleton UNILETS Tipe LB Conduit Outlet Bodies*. Ini adalah perlengkapan listrik yang digunakan dengan pipa konduit baja kaku, aluminium kaku, dan konduit IMC
*Penggunaan utama:* - *Fitting penarik* - untuk menarik kabel melalui konduit - *Membuat belokan* pada sistem konduit - *Memberi akses* untuk penyambungan (splicing), perawatan, dan peningkatan di masa mendatang - *Menghubungkan dan mengubah arah* jalur konduit fcd9a488
*Fitur Utama:* - *Material*: Tersedia dalam aluminium bebas tembaga, grayloy-iron, atau aluminium die-cast - *Desain*: Interior lega untuk kapasitas kabel lebih tinggi, bantalan/busine (bushings) membulat halus untuk melindungi isolasi konduktor - *Hub berulir (threaded hubs)*: Ulir tirus yang ditap secara akurat untuk sambungan yang rapat dan kaku serta kontinuitas ground - *Tahan cuaca*: Tutup dengan gasket yang disetujui untuk lokasi basah - *Standar*: UL 514A/514B, CSA C22.2, NEMA FB-1 fcd9a488b198
*Ukuran yang umum:* Contohnya termasuk APPLB29 hub 3/4", APPLB37 hub 1", APPLB50A 1/2", hingga APPLB350A hub 3-1/2"
*Rentang harga*: ∼$13,69 hingga $519,44 tergantung ukuran dan material.
--- Jika yang Anda maksud sebenarnya adalah *saham Apple Inc. (AAPL)*, beri tahu saya dan saya akan berikan deskripsi perusahaan + sahamnya. 09940112b198fb3b6ebe
Alert: 🚨 Guys i just opened a 10x leverage long trade on $SOL in my futures... And i believe it's ready for the major Bullish Reversal...🔥🚀 My Long Entry: $75.20 - $75.60
TP 1: $76.20 TP 2: $79.00 TP 3: $82.20 TP 4: $85.00 SL: $73.40 Setup Logic: • Price is holding above the $75 psychological support zone. • Buyers are maintaining short-term momentum around the current level. • Reclaiming $76.20 could open the way toward $77-$78. • Holding above $74.40 keeps the bullish setup valid. • A sustained move above $78.20 could target the $80 liquidity zone. Risk Management: Don’t over leverage or revenge trade, protect capital and manage risk properly. Market always gives new opportunities.
Peringatan: 🚨 Guys saya baru saja membuka long trade leverage 10x untuk $SOL di futures saya... dan saya yakin ini sudah siap untuk Bullish Reversal besar...🔥🚀 Entry Long saya: $75.20 - $75.60
TP 1: $76.20 TP 2: $79.00 TP 3: $82.20 TP 4: $85.00 SL: $73.40 Logika Setup: • Harga sedang bertahan di atas zona support psikologis $75. • Pembeli menjaga momentum jangka pendek di sekitar level saat ini. • Merebut kembali $76.20 bisa membuka jalan menuju $77-$78. • Bertahan di atas $74.40 membuat setup bullish tetap valid. • Pergerakan berkelanjutan di atas $78.20 bisa menargetkan zona likuiditas $80. Manajemen Risiko: Jangan terlalu leverage atau balas dendam trading, lindungi modal, dan kelola risiko dengan benar. Pasar selalu memberikan peluang baru.
$CHIP terlihat bullish di sini. Jika pembuat pasar memiliki rencana untuk leg lain yang lebih tinggi, chart menunjukkan potensi pergerakan menuju zona 0,039–0,040. Namun, gambaran besarnya yang lebih penting. Dengan minggu perdagangan baru dimulai pada hari Senin, jika pasar secara keseluruhan berbalik menjadi bearish dan mulai anjlok, kita akan meninjau ulang setup long untuk $CHIP daripada memaksakan sebuah trade. Untuk saat ini, 0,039–0,040 adalah area upside utama yang perlu diperhatikan. Seperti biasa, kelola risiko Anda dan tunggu konfirmasi, bukan mengejar pergerakan secara membabi buta.