Software Stocks Going to Zero? by Adam Khoo
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| Views | 82,518 | 67,320 |
| Likes | 2,825 | 2,419 |
PT27M54S| Metric | Observed | Expected |
|---|---|---|
| Views | 82,518 | 67,320 |
| Likes | 2,825 | 2,419 |
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| Views | 75,185 | 82,658 |
| Likes | 2,055 | 2,559 |
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| Views | 50,513 | 82,658 |
| Likes | 1,463 | 2,559 |
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| Views | 62,757 | 82,658 |
| Likes | 2,001 | 2,559 |
In part 2 of “6 Investment Megatrends for Explosive Profits,” Adam Coup explains why the robotics revolution – from AI‑powered factory bots and autonomous vehicles to humanoid and specialized robots – will become a trillion‑dollar market, and why investing directly in robot makers is risky. He recommends focusing on the underlying software and component suppliers such as Nvidia, PTC, and industrial‑robot parts firms, as well as selective ETFs (AIQ, ARTY, Robo, BOTZ), before previewing the next three megatrends that will be covered in part 3.
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| Views | 85,833 | 83,592.5 |
| Likes | 2,581 | 2,569 |
In this three‑part video Adam Coup outlines the six long‑term investment megatrends that can generate double‑digit returns over the next 10‑20 years, with a deep focus on the AI and robotics wave—explaining how “enabler” companies (e.g., Nvidia, ASML, Broadcom) and “adopter” firms (e.g., cyber‑security, medical‑device, banking) fit into the strategy, how to assess intrinsic value, support levels, and growth projections, and why disciplined buying on pull‑backs is crucial. He also showcases his own portfolio’s 260 % outperformance versus the S&P 500, offers practical valuation examples, and invites viewers to follow the series and access his online investing courses for deeper guidance.
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| Views | 86,266 | 83,652.5 |
| Likes | 2,441 | 2,947.5 |
.Adam Khoo explains how the traditionally low‑growth utility sector is being transformed into a high‑potential growth arena driven by AI‑powered data centers, electrification, and domestic manufacturing, highlighting the role of independent power producers (IPs) that can sell electricity at market rates. He then reviews individual IP stocks and several ETFs that focus on these firms, offering guidance on valuation, competitive moats, and risk for both short‑term trades and long‑term investments.
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| Views | 80,611 | 83,535 |
| Likes | 3,004 | 2,996 |
In the second part of this two-part series, the video explores both the bullish opportunities and bearish risks for investors looking ahead to 2026. Key points include potential threats from market valuation, inflation resurgence, uncertainties surrounding the Fed chair, and the impact of midterm elections on market volatility, while also highlighting strategies for capitalizing on undervalued stocks amid these challenges.
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| Views | 103,219 | 83,535 |
| Likes | 3,481 | 2,996 |
In this video, Adam Coup discusses the outlook for investing in 2026, highlighting both the potential opportunities and risks in the market. He emphasizes the importance of sticking to strong companies and offers insights into economic indicators that may shape the upcoming year, setting the stage for a more detailed exploration of bearish factors in Part 2.
19:19In "Prepare for the Great Bubble Burst Part 1 of 2," Adam Coup analyzes the current stock market landscape, arguing that while some sectors are indeed in a bubble, the overall market remains not cheap but not in bubble territory either. He contrasts today's market with historical bubbles, emphasizing the importance of earnings and cash flow while previewing upcoming content that will identify undervalued areas and strategies for portfolio protection in anticipation of a market correction.
19:36In this second part of "Prepare for the Great Bubble Burst," the speaker explores undervalued sectors that investors should consider, such as healthcare, software, and various consumer and industrial stocks. He emphasizes the importance of focusing on profitable companies with strong fundamentals while being cautious of speculative bubble stocks, ensuring a balanced investment portfolio to weather future market fluctuations.
26:36In this video, Adam Coup discusses the implications of the Federal Reserve's upcoming interest rate cuts on the stock and bond markets, analyzing the potential benefits for various sectors. He breaks down historical trends and current economic data to predict how these changes might affect market performance and offers insights into which stocks could be poised for growth.
28:27In this video, we analyze three significant decliners in the stock market—Lululemon, Duolingo, and Synopsys—to determine if they are too cheap to ignore amidst the S&P 500's recent record highs. Join us as we explore each company's business quality, recent performance issues, and potential trading strategies.
24:57In this video, we explore whether September's traditionally bearish market presents a buying opportunity, analyzing historical trends and the potential impact of upcoming Federal Reserve interest rate cuts. Additionally, insights are shared on specific companies with strong economic moats that could benefit from this market volatility, emphasizing the strategy of buying high-quality stocks during dips.
22:51In this video, the host explores investment opportunities in a high-market environment, emphasizing that even during all-time highs, undervalued gems can still be found among the stocks. By analyzing various companies within the S&P 500, he highlights the importance of a bottom-up approach to investing, showcasing specific undervalued stocks and providing insights on how to assess their quality using tools like Stock Oracle.
22:57In this concluding part of the series on healthcare stocks, the video delves into calculating the intrinsic values of United Health and Novo Nordisk while assessing whether these stocks represent opportunities or value traps. The presenter discusses various financial metrics, market analysis, and personal investment strategies, urging viewers to consider their own financial situations before making investment decisions.
26:07In this first part of a two-part series, the video explores the current state of healthcare stocks, questioning whether they represent a significant investment opportunity or a potential value trap as prices hit historic lows. Focusing on companies like United Health and Novo Nordisk, the discussion delves into the factors affecting their valuations and potential for recovery amidst recent market challenges.
12:29In this inspiring video, dialysis nurse Juper Panar Dondo shares his incredible journey from healthcare to investing, achieving over 260% returns in less than four years after joining Piranha Profits. He discusses the valuable lessons learned through the courses, his investment strategies, and the importance of mindset, illustrating how he has transformed his life to become a full-time investor and spend more time with his family.
14:48In this video, the presenter discusses the ongoing debate about whether U.S. stocks are too expensive or in a bubble, referencing various predictions and metrics that have been used over the years to support this claim. He emphasizes the importance of analyzing individual company valuations rather than relying solely on broad indicators, and invites viewers to join his upcoming live online event, Retail Rebellion, to learn about specific investment opportunities.
31:47In this video, we explore the debate surrounding US exceptionalism and the potential impact of spiraling government debt on investment strategies, questioning whether to shift focus from US stocks to international markets like China and Europe. The presenter shares personal insights and research supporting continued investment in US equities, highlighting their historical performance, profitability, and the structural incentives that drive growth compared to other global markets.
28:13In this informative video, we analyze the potential impact of Trump's newly signed "Big Beautiful Bill" on the stock market, exploring both the sectors that may benefit and those that could be negatively affected. Tune in to discover how significant tax cuts and increased government spending might influence corporate earnings, consumer spending, and overall market dynamics.
24:47This video analyzes the current state of U.S. stocks, with the S&P 500 nearing its all-time high and the NASDAQ already surpassing it, discussing the potential for continued gains despite concerns about market overvaluation and geopolitical events. The speaker emphasizes the importance of focusing on high-quality investments and ignoring negative news hype that can lead to poor decision-making.
27:23In this video, the host discusses the recent rebound in the stock market, attributing it to the "TACO Effect," where fears over tariffs issued by President Trump often lead to short-term volatility followed by recovery. The analysis includes market trends, the shift in investor behavior, and the potential for a positive year ahead, despite ongoing economic uncertainties.
28:44In this video, Adam Coup analyzes the current state of the US dollar amidst protectionist policies and tariffs, discussing its recent decline and rebounding trend against major currencies. He examines historical data, the dollar's status as a global reserve currency, and the implications for investors holding dollar-denominated assets, ultimately suggesting that the long-term outlook remains more positive than negative.
34:05In this video, we analyze the recent downturn in healthcare stocks, the worst-performing sector in the market, and explore the potential for a significant rebound of 50% to 100%. We discuss the reasons behind the current poor performance, including sector rotation and regulatory uncertainties, while emphasizing that long-term, healthcare remains a robust investment opportunity due to demographic trends and industry resilience.
26:31In this video, the presenter discusses the current economic climate, addressing recession fears while analyzing the US stock market's performance and offering insights into resilient investment strategies. He shares specific stocks to consider buying, explaining their potential to thrive even in a recession, and emphasizes the importance of focusing on quality businesses rather than macroeconomic predictions.
19:02In this video, we explore whether it's the right time to short the S&P 500, as suggested by Bank of America, which warns of a potential market decline due to a significant shift in global investment dynamics. We analyze the technical indicators, market trends, and insights from financial experts to assess the probabilities for both bearish and bullish scenarios, ultimately emphasizing the importance of long-term investing strategies over short-term market fluctuations.
23:41In this video, Adam Coup discusses the recent entry of major stock indexes into a bear market and his strategy for capitalizing on potential market corrections. He emphasizes the historical patterns of rapid market declines and rebounds, highlighting the opportunity to acquire high-quality stocks at significant discounts during such downturns.