SPY on the 1H chart was riding the cynamic resistance of the second upper VWAP line in mid July but then pivoted down out of a head and shoulders at the bottom of the month and is now bounding up and down retesting the support of the mean VWAP line. The ADX indicator shows the flat line directional index. The ZL MACD is upgoing after a cross of the lines at...
Hello Traders, Here is a Brief Overview About The Analysis of NIFTY 50 For Feb 20th, There Are Total of 2 Support Zones Which You Need To Look For And Same 2 Resistance Zones And To Be Mentioned One Grey Area And We Have 3 Imbalance Zones! The Horizontal Lines From Volume To Volume And OI To OI Indicates The Market Range in Between For That Particular...
Hello Traders, Here is a Brief Overview About The Analysis of FINNIFTY For Feb 19th, There Are Total of 2 Support Zones Which You Need To Look For And Same 3 Resistance Zones And To Be Mentioned One Grey Area And We Have 4 Imbalance Zones! The Horizontal Lines From Volume To Volume And OI To OI Indicates The Market Range in Between For That Particular...
Berger paints touch the ATH and currently these stock move in bearish tone for 2 years. For option trader open a PE short call till 350rs and book profit acc to small Target support. For equity traders in this stock you don't buy any stock from now wait for 350 price level or more down. For more chart analysis comment me in this post.
Birla soft in breakout zone and currently confirmed the support in monthly time frame Equity trader buy at this price and sale at 1500 in 6 months or less Option traders enter a CE call position accoridng to your margin and fund For more chart analysis comment me in this post.
QQQ is shown here on the 15 minute time frame. Overlaid are a HMA 7 and SMA 5 to provide moving average crosses. QQQ made a "M" pattern. Options charts are shown in the updates. First Trade SQQQ is opened at 9:48 for $ 6.00 per call contract times 16 contracts. It is closed at 10:05 less than 20 minutes later at $20.00 per contract. $96 dollars the only...
Analyzing the options chain and the chart patterns of ABR Arbor Realty Trust prior to the earnings report this week, I would consider purchasing the 13usd strike price Puts with an expiration date of 2024-3-15, for a premium of approximately $1.87. If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
On the 15-minute chart, TSLA has been in a downtrend and for about one week, a correction has been underway. Based on a Fibonacci analysis of the downtrend and and its retracement, I do not believe that TSLA will breakthrough the fib level zone. The zero-lag MACD is showing bearish divergence from the price action. In that consideration, I have held my put...
If you haven`t bought LLY before the previous earnings: Then analyzing the options chain and the chart patterns of LLY Eli Lilly prior to the earnings report this week, I would consider purchasing the 680usd strike price Calls with an expiration date of 2024-2-16, for a premium of approximately $15.35. If these options prove to be profitable prior to the...
This is my weekly analysis for SPY. Understand carefully and if you have any questions do not hesitate to ask. NOTE: DO NOT SHORT
NASDAQ:WULF Another one in the series of, “using sunlight photon beams to mine bitcoin”. This is the epitome of harnessing sunlight
NET on the 15-minute chart demonstrates the swing-long trades of this past week. 5-6 entries and 3-4 exits- accumulating a few shares at a time and closing only one at a time to gradually average up. The setup is explained in the chart textboxes. Using TV indicators for line crossing alerts to minimize the effort of time. Trade is still open and following the...
If you haven`t sold PINS ahead of the previous earnings: Then analyzing the options chain and the chart patterns of PINS Pinterest prior to the earnings report this week, I would consider purchasing the 38usd strike price Calls with an expiration date of 2024-2-9, for a premium of approximately $3.10. If these options prove to be profitable prior to the...
PYPL had some events in the past 2 years that determined its price action. Went down after its CFO left for Walmart: Had a technical rebound buy opportunity after reaching the 2017 support: and determined a lot of users leaving their platform after announcing a $2.5K fine for spreading misinformation: Now analyzing the options chain and the chart patterns of...
Using PIVOTs, DIY Indicators and Price action to seek confluence and trade. Step1) COnfirmed Reversal from PIVOT point (Daily Pivot) Step2) Observed Higher High, Higher Low Step3) Move above 200EMA confirmed Bullishness Step4) Use Matrix Series and Ehlers to combine with above view and trade the trend. Step5) Use the Support and Resistance Levels on DIY...
This stock is looki g bullish at cmp with targets of 280+ .
Nifty is looking bullish with targets of 22100 on almost all time frames so we need to respect that. NOTE: DO NOT SHORT
If you haven`t sold MA on its exposure to Russia news: Then analyzing the options chain and the chart patterns of MA Mastercard prior to the earnings report this week, I would consider purchasing the 450usd strike price Calls with an expiration date of 2024-3-15, for a premium of approximately $7.90. If these options prove to be profitable prior to the earnings...