
Finance · 05/14/2025
AMD Stock Surges on 6B Buyback and 10B AI Deal
Super Micro's stock price surged, fueled by a $6 billion stock buyback program and a potential multi-billion dollar AI collaboration with Saudi Arabia. The board of directors strongly supports the company's strategic direction, growth prospects, and free cash flow generation. Aggressive expansion in the AI sector is also a key driver. Despite competition from Nvidia and economic uncertainties, the market remains optimistic about Super Micro's future growth potential in the AI chip space. The buyback signals confidence in the company's valuation and future performance.

Finance · 05/25/2025
Nvidia Expands AI Strategy in Sweden Huang Backs Trump
Nvidia CEO Jensen Huang is actively promoting the company's global AI strategy, collaborating with countries like Sweden. He also praised Trump's technology export and 'reindustrialization' policies. Nvidia is building a vast AI ecosystem, striving to become a leader in the AI era. Its strategic layout is not only a business endeavor but also related to global technological competition. Nvidia's collaborations and Huang's endorsements highlight the company's ambition to shape the future of AI and its willingness to engage with diverse political and economic landscapes.

Finance · 07/21/2025
Exploring Credit Cards And Loans A Financial New Starting Point For Immigrants
In the United States, credit cards and loans have become essential tools for personal financial management. Credit cards are convenient and secure, but one must be cautious about interest rates and repayments. For beginners, it's advisable to apply for a secured credit card to build credit history. Loans come in various forms to meet different needs, but timely repayments are crucial to avoid debt. Credit unions and local programs provide support for immigrants, aiding entrepreneurship and promoting economic independence. Mastering these financial tools can help you achieve success in a fulfilling life.

Finance · 12/14/2023
The Surge of Long-term Interest Rates in the United States An Analysis of Causes and Global Impact
The significant rise in long-term US Treasury yields has become a crucial topic in global capital markets. Recent data indicates that the yields on 10-year and 30-year Treasuries have reached their highest levels since 2007, raising concerns about the persistence of high rates. This article analyzes the reasons behind the rise in long-term rates and their potential impact on global markets, highlighting the relationship between robust US economic data and the Federal Reserve's hawkish policies, and exploring the far-reaching effects on capital flows and the value of the dollar.

Finance · 06/20/2023
California's Wealth Gap Widening Asset Disparity Between The Richest And The Poorest Families Exceeds 100 Times
California's wealth gap is widening, with a median household net worth of $288,000, yet the asset disparity between the richest and poorest families has reached 100 times. Despite an overheated real estate market, homeownership stands at only 50%, and increasing debt pressures have severely weakened many families' capacity to withstand risks. Notably, the disparities are significant among different ethnic groups, highlighting the need for attention to address these issues and reduce the wealth divide.

Education · 08/06/2025
Tesla Confronts Legal Woes As Auto Industry Struggles
This article examines the legal challenges faced by Tesla, the significant decline in profits for Mercedes-Benz, and OpenAI's market strategy with its new model. It analyzes the financial pressures in higher education and the discussions they provoke, highlighting the challenges and opportunities that industry transformation presents for businesses and educational institutions.

Finance · 07/02/2020
June 2020 Financial Market Risk Monitoring Report
This report analyzes 12 key risk indicators in the U.S. financial market for June 2020, revealing the overall risk status of the market. The data shows a slight increase in overall risk levels, but several key areas have shown improvement. Liquidity, foreign exchange, and credit risks have improved; however, the volatility in the banking stock market has intensified, warranting attention. In summary, while the financial environment is gradually recovering, potential risks remain high.

Construction & Real Estate · 07/17/2025
In-depth Analysis Of The Interplay Between The US Residential Real Estate Market And The Macroeconomic Cycle
This analysis focuses on the recovery of the U.S. residential real estate market and its impact on the economy, highlighting the structural differences compared to the bubble period of 2006.

Finance · 12/14/2023
Analysis Of The Stability Of The US Fiscal Deficit And Public Debt
This analysis examines the current state of the U.S. fiscal deficit and public debt, highlighting the need for policy responses to the threats posed by uncontrolled debt expansion on the economy.

Insurance · 07/24/2025
Understanding Various Supplemental Insurance in the United States Risk Management and Financial Security
This article provides a detailed analysis of common types of supplemental insurance in the United States, including accident insurance, critical illness insurance, hospitalization insurance, dental and vision insurance, cancer insurance, and life insurance. By exploring the characteristics and target demographics of each type, it assists readers in effectively managing their insurance budget and ensuring adequate risk and health protection.

Finance · 07/18/2025
Understanding Mortgage-backed Securities: The Mechanisms and Risks Behind the Financial Instrument
Mortgage-Backed Securities (MBS) are based on home mortgages, allowing investors to profit from borrower repayments. The 2008 financial crisis stemmed from this.

Taxation · 07/17/2025
Tax Gap: An Analysis of Tax Compliance in the United States
This paper analyzes the tax gap in the United States, highlighting that from 2014 to 2016, the gap reached $496 billion, which includes unreported income, underreporting, and unpaid taxes. It emphasizes the importance of tax compliance and explores the role of policy initiatives and future outlooks aimed at improving overall tax compliance rates to ensure a fair distribution of tax burdens.

Culture · 04/09/2025
Trump Tariffs Boost or Bust for US Manufacturing
The Trump administration's implementation of high tariffs aimed at revitalizing manufacturing is seen as a risky illusion by Viahart CEO Hart. The primary concerns are the high production costs in the U.S. and the fragile industrial supply chain, which cannot withstand such measures. Revitalizing the manufacturing sector requires a focus on long-term development rather than short-term gains.

Apartment Rental · 12/14/2023
The Macroeconomic Impact and Cycle Analysis of the US Residential Real Estate Market
This analysis examines the factors influencing the U.S. real estate market and its future outlook, emphasizing its significance to the economy and the potential risks involved.

Job Search · 06/07/2019
Coping Strategies After Job Loss Taking Control of a New Beginning
This article discusses coping measures to take after unemployment, including emotional management, applying for unemployment benefits, updating resumes, budgeting, and actively seeking employment. The goal is to help unemployed individuals regain their footing and find new career directions.