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TSMCQ2NetProfitSurges77%
Everyone Is Talking About TSMC's Record Profit. I Think the Bigger Story Is What Management Just Told the Market.
When a company reports 77% profit growth, most investors immediately look at one thing:
"Did earnings beat expectations?"
TSMC did exactly that.
Net profit reached NT$TSMbillion (around $22billion), up 77.4% year-over-year. Revenue climbed to NT$1.27trillion ($40.2billion), while gross margin expanded to an impressive 67.7%. Every major financial metric came in ahead of market estimates.
On paper, this was close to a perfect quarter.
Yet the stock slipped
TSM-2.32%
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MrFlower_XingChen
#TSMCQ2NetProfitSurges77%
Everyone Is Talking About TSMC's Record Profit. I Think the Bigger Story Is What Management Just Told the Market.
When a company reports 77% profit growth, most investors immediately look at one thing:
"Did earnings beat expectations?"
TSMC did exactly that.
Net profit reached NT$706.6 billion (around $22 billion), up 77.4% year-over-year. Revenue climbed to NT$1.27 trillion ($40.2 billion), while gross margin expanded to an impressive 67.7%. Every major financial metric came in ahead of market estimates.
On paper, this was close to a perfect quarter.
Yet the stock slipped after the results.
That tells me investors weren't searching for a better quarter.
They were searching for clues about what comes next.
The first thing that caught my attention wasn't the profit number.
It was where that profit came from.
TSMC revealed that 77% of its wafer revenue now comes from advanced process technologies (7nm and below). Even more interesting, 5nm contributed 33%, 3nm contributed 30%, and 2nm generated revenue for the first time, accounting for 3% of total wafer sales.
That may look like a simple breakdown of manufacturing nodes.
I don't think it is.
To me, it shows how quickly the semiconductor industry is moving toward increasingly advanced chips. Every generation requires more engineering, more investment, and stronger customer demand. The fact that 2nm has already started contributing to revenue suggests that the next phase of chip innovation is no longer a future plan—it's already becoming part of TSMC's business.
Another number deserves just as much attention.
High-Performance Computing (HPC) now represents 66% of total revenue.
That's an extraordinary shift.
Not long ago, smartphones were the industry's biggest growth driver. Today, AI servers, cloud infrastructure, and advanced computing platforms have become the engine behind TSMC's business.
This reinforces something I've believed for months.
Artificial intelligence isn't simply creating demand for software.
It's creating demand for an entirely new generation of semiconductor manufacturing.
Every new AI model requires faster processors.
Every faster processor requires more advanced manufacturing.
And every advanced chip ultimately increases demand for companies capable of producing them at scale.
That's exactly where TSMC sits.
So why did the stock decline after delivering one of the strongest earnings reports in its history?
Because the market had already expected exceptional earnings.
The surprise wasn't the results.
The surprise was the company's willingness to spend even more.
Management raised its 2026 capital expenditure guidance from $52–56 billion to $60–64 billion. At the same time, it reaffirmed plans to commit an additional $100 billion toward expanding manufacturing capacity in the United States.
To me, this completely changes how the report should be interpreted.
Most people will remember the 77% profit growth.
I believe investors should remember the billions of dollars in new investment.
Companies don't increase capital spending by this magnitude because they expect business to slow six months later.
They do it because they believe demand will remain strong enough to justify building more factories, installing more equipment, and producing more advanced chips.
In other words, management appears to be making a statement.
The AI infrastructure cycle is not something they view as temporary.
They're investing as if it has many years left to run.
Of course, that doesn't mean there are no risks.
Higher capital expenditure always brings greater execution pressure. Building advanced fabrication facilities requires enormous financial commitment, and investors will now expect these investments to translate into stronger production capacity, higher future revenue, and sustained profitability.
If AI spending across the industry slows unexpectedly, markets may begin questioning whether this aggressive expansion was too ambitious.
But based on today's report, I don't think that's what management expects.
I think they're preparing for a future where AI demand continues expanding faster than existing semiconductor capacity.
That's why I believe this earnings report matters far beyond one quarter.
It isn't just about record revenue.
It isn't just about record profit.
It's about a company making one of the clearest long-term commitments to the AI economy that we've seen this year.
For investors, one lesson stands out.
Quarterly earnings tell us how a company performed yesterday.
Capital expenditure tells us what management believes about tomorrow.
And after reading this report, I think tomorrow is exactly what TSMC is investing in.
#SummerCreationCamp
@Gate_Square
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Yusfirah:
To The Moon 🌕
#Ogn breakdown that can be tracked
#Ognusdt $ogn #btc #Bitcoin
OGN2.22%
BTC-1.66%
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Welcome to join my plaza for lively chat—I'll sync my trading ideas every day!
https://gate.onelink.me/Hls0/group?chatroom=AEZDKakCsx&ref=VFVBVFFAVA&ref_type=105
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#USDTDepositEarningsDoublePlay 💰🚀
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$HYPE
A huge whale that had been silent for 5 months is back, transferring $4.15 million to an exchange—what are they trying to do, 🌚🌚🌚 continuing to blow things up?
#夏日创作营
HYPE-8.36%
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TalkingAboutMemeAsTheCoinMakes:
Buying the dip and entering 😎
$SENT | 1h | Momentum Breakout
Bias: Long
Entry Zone: 0.01435 to 0.01455
Stop Loss: 0.01395
Targets:
TP1: 0.01480
TP2: 0.01510
TP3: 0.01555
Invalidation:
Close below 0.01395
Why This Setup:
I’m bullish while price is holding above the recent breakout area and pushing through short-term resistance with stronger volume. I want a continuation move if it can hold the 0.0143 to 0.0145 zone and keep building above the prior swing highs.
SENT6.90%
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🚨 WARNING: The Bitcoin scam that nobody is seeing
[Link in bio]
BTC-1.66%
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VanEck’s PFXF ETF lifts STRC to about $207M in holdings, now the top position at ~8.63% of assets. $STRC
STRC-2.54%
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Risk is exposure to uncertainty. In other words, risk is the chance of loss or an adverse outcome.
Risk exposure is the extent to which environmental or market risks result in actual risk that a business or investor faces.
Risk management is the process by which an organization or individual determines the level of risk to be tolerated, measures the actual level of risk to be incurred, and ensures that this level is consistent with the predetermined risk level, with the goal of:
Maximizing the value of the company or portfolio, or maximizing overall satisfaction or benefit for an individual.
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$PI #SummerCreationCamp
1. Market Context
· Trend: Strong bullish momentum (+9.13%).
· Price: $0.08270 (trading above all major MAs and EMAs).
· Volume: Healthy (27.51M PI traded).
· Momentum: Overbought territory (KDJ J: 95.80, MACD positive but DIF/DEA gap widening).
2. Trade Setup (Long Bias)
· Entry Zone: $0.07960–$0.08050 (pullback to MA5/EMA5 or previous breakout level).
· Stop-Loss: $0.07650 (below MA30 and recent swing low).
· Take-Profit Levels:
· TP1: $0.08510 (near recent high).
· TP2: $0.09060 (next resistance).
· TP3: $0.09500 (if momentum continues).
3. Risk Management
·
PI6.92%
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#美伊冲突再升级
US-Iran Tensions Escalate: BTC Falls Below $80K, Oil Explodes Higher, NFP Data in Focus
Global financial markets entered a fresh wave of volatility on May 8 after geopolitical tensions between the United States and Iran intensified near the Strait of Hormuz. Reports surrounding US military responses to Iranian activity immediately triggered panic across equities, crypto, commodities, and risk-sensitive assets.
The timing of this geopolitical shock could not be more critical because it arrived only hours before the highly anticipated US Non-Farm Payrolls (NFP) report — a macro eve
BTC-1.66%
DOW-1.29%
NDAQ3.18%
SPX500-1.03%
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🎉 27,700 OpenAI ($OPENAI) — Issue 1 subscription allocation, GT airdrop rewards, VIP-exclusive airdrops, and super agent distributor airdrops have all been completed for unified distribution!
$OPENAI will enter Pre-IPOs pre-market trading, supporting 7×24h trading.
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Minting $GUSD: https://www.gate.com/staking/USDT?pid=3
GT-1.34%
GUSD-0.10%
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GateUser-3343223f:
👍
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The number one largest token holding in CZs wallet is $ANDY
Probably nothing but well!
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China stockmarket starting to look like China flag. 🇨🇳
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BTC & ETH UPDATES
gate liveLIVE
1,658
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#TSMCQ2NetProfitSurges77%
TSMC Q2 2025 Earnings: Record Profits Fueled by AI Revolution
Taiwan Semiconductor Manufacturing Company (TSMC), the world's largest contract chip manufacturer and Asia's most valuable company, has delivered another stunning quarterly performance that underscores the transformative power of artificial intelligence on the semiconductor industry. The company reported a remarkable 77% surge in net profit for the second quarter of 2025, reaching a record NT$706.6 billion (approximately $19.65 billion), significantly surpassing market expectations.
Financial Performanc
TSM-2.32%
NVDA-2.36%
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What makes you bulish about $ANSEM ?
Drop it below
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$DOGE
1. Market Context
· Trend: Mildly bearish (-1.99%), trading below MA30.
· Price: $0.07183 (near session low).
· Volume: 184.76M DOGE traded (healthy).
· Momentum: Weak (MACD negative, KDJ K=30 low but J=43 curling up).
2. Trade Setup (Bounce/Reversal Long)
· Entry Zone: $0.07100–$0.07150 (near 24h low and support).
· Stop-Loss: $0.07040 (below recent swing low).
· Take-Profit Levels:
· TP1: $0.07300 (MA30 resistance).
· TP2: $0.07450 (recent high).
· TP3: $0.07550 (if breakout).
3. Risk Management
· Risk per trade: 1–2% of portfolio.
· Leverage: Use 5–10x (not 20x) due to choppy
DOGE-1.67%
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【Sinyal KAITO】Bullish Breakthrough + 4-Hour Expansion Momentum
The 1-hour RSI has fallen back to 65, but the upper Bollinger Band on the 4-hour chart at 0.8879 has not been breached yet, indicating significant support from funds. There are many buy orders in the 0.8799-0.8826 range, showing active buying.
🎯Direction: Buy
⚡Entry/Pending Order: 0.879952 - 0.882600
🛑Stop Loss: 0.873774
🚀Target 1: 0.895839
🚀Target 2: 0.902459
🛡️Trade Management:
- Execution Strategy: Reduce the position by 50% after reaching Target 1 and move the stop loss to break-even. If the price drops back to the entry l
KAITO22.11%
EIGEN-2.73%
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Tonight’s CPI: Full Coverage · Analysis
gate liveLIVE
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SDyahaya:
let's support each other 💯
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