Qualcomm Loses Apple Modem Business; Amazon Offers $60 Billion Exit Path
📊 AAPL — Piyasa Yorumu
■ neutral · 55%The news headline combines two different developments: Qualcomm losing Apple's modem business could provide a long-term cost advantage for Apple, but creates short-term uncertainty. The phrase 'Amazon's $60 billion exit path' is unclear; this uncertainty may limit market reaction. Technical indicators are strong: price is above SMA20 and SMA50, RSI at 65.9 is approaching overbought territory, and MACD is positive. After a 5% increase in 24 hours, short-term profit-taking may occur. Therefore, the direction is uncertain, and a neutral stance is appropriate.
📊 AMZN — Piyasa Yorumu
■ neutral · 55%The news headline suggests Qualcomm lost Apple's modem business and Amazon offers a $60 billion exit path, but this is not a direct clear catalyst for AMZN stock. Technical indicators are mixed: price slightly above SMA20 but below SMA50, RSI at 59 in neutral territory, and MACD positive above signal line. The 24-hour change is nearly flat. Since the news impact is uncertain, short-term direction seeking may continue. Therefore, I foresee a neutral outlook.
📊 QCOM — Piyasa Yorumu
▼ down · 60%Qualcomm's loss of Apple's modem business signals a long-term revenue loss, but the headline's mention of an 'Amazon $60 billion exit' is vague and likely exaggerated. Technical indicators point to a 3.8% rise in the last 24 hours; RSI at 58.7 is not in overbought territory and MACD is above the signal line. Price is trading above SMA20 and SMA50, indicating positive short-term momentum. However, the negative perception from the Apple loss news could trigger profit-taking in the short term. Therefore, the 1-3 day direction is downward, but confidence is moderate.
📊 JST — Piyasa Yorumu
■ neutral · 30%The news focuses on Qualcomm and Apple and does not have a direct connection to the JST (JUST) token. Therefore, the short-term impact of the news on JST is likely to be neutral. Technical indicators show that JST has increased by 6.19% in the last 24 hours and the RSI14 is at 75.7, in overbought territory; this points to a risk of a correction or consolidation in the short term. The MACD is positive and the price is above the SMA20 and SMA50, so the trend is still upward. However, due to overbought conditions and the irrelevance of the news, there is no clear signal on direction; it is advisable to be cautious.