2023 saw one of the narrowest bull markets in history, with only 10 stocks contributing 14.3% out of the 20.6% rally during the first 7 months of the year. Since then, markets have turned with the S&P 500 and the MSCI World dropping around -7% since their top1. Looking forward to the rest of 2023 and beyond, uncertainty is high: The Federal Reserve (Fed) has...
Dividends are a fundamental source of returns for investors. Looking at an investment in the S&P 500 since 1930, 41% of the performance generated would have come from dividends1. This is almost half of the total returns. Having said that, there are many ways to invest in dividend-paying stocks: from focusing on companies with high past dividend yields, to...
There is a potential for a bearish pullback in price, which could lead to a movement towards the support level at 1.72500 in the upcoming period.
History never repeats itself, but it often does rhyme. The recent collapse of Silicon Valley Bank (SVB) and Signature Bank in the US and the forced takeover of Credit Suisse by rival UBS have triggered concerns of contagion across the global financial system. The current stress in the banking sector is reminiscent of the 2008 financial crisis. However, unlike the...
Despite the banking industry turmoil, central banks continued to raise rates last week. This marked moves from the European Central Bank (ECB) by 50Bps, Federal Reserve (Fed) by 25Bps, Bank of England by 25Bps, Swiss National Bank by 50Bps, Norway by 25Bps, the Philippines by 25Bps, and Taiwan by 12.5Bps. Central banks appear determined to show they have the tools...
Looking at equity markets as a conflict between Value stocks and Growth stocks has become a reflex for many market commentators. ‘Growth is beating Value’ (or the other way around) is always a good headline. Value stocks are defined as basically cheap stocks and it is, therefore, possible in any index, to point to the Value side of that index. Growth stocks are...
AUDJPY is highly volatile these days , however it is expected to fall to 92.10. Entry - 93.20 TP -92.10 SL - 94.03 Max Risk - 5% of Capital.
2022 continues to prove difficult for investors around the globe. The conjunction of heightened geopolitical risks, increasingly hawkish central banks, and runaway inflation has forced many investors to change tack and modify their asset allocation significantly over the last 12 months. Duration has been lowered across asset classes, and a survey we commissioned1...
Looking at US30 sells to SELL SIDE LIQUIDITY on weekly timeframe which is 26021.6 The sells should just continue because we moving off a daily FVG based on stock indices SMT divergence. Price failed to reach into the fvg on NAS100 and it was really slight on SPX500.
Looking at the graph, we can see a very high-quality inverted head and shoulders pattern, because the second top made a way higher top than the first top. To add to that, the volume is decreasing rapidly, meaning we are very near the next bottom. This would be definitive for the ETF, because if this ETF increases in price, than the house prices would drop. This...
This chart shows ES with 4 long term averages - 1 year, 5 year, 10 year, and 20 year. I marked some periods where we dipped below the 1 year average and some volume spikes I saw as relevant. 2015 - Eurozone Crisis: The issues in Europe cause us to finally break the long held trend for the first time since the GFC recovery. It was preceded by a high volume...
If you are looking for quality stocks, this is what you are looking for, 56% from here just to cover a MEGA GAP, strong fundamentals, low PE ratio 15 and the price is at pre pandemic levels when nobody used internet to buy everything.
i am going to trade BTC/USDT SHORT for next 48hrs my target in my cellulation small dump in 24hrs
Liking the way GEO is holding on this pullback and wondering if it has more potential leg here. During summer's flight to quality stocks, GEO squeezed when investors sought REIT names in the IYR space. If deflation takes hold, I believe it could happen again. We'll see.
TVC:IXIC CURRENCYCOM:US100 TVC:NDX
With an increasingly strong dollar and crude oil prices on the move there's some belief the Fed could need to move faster on rate hikes than previously planned. This should be a net positive for BHVN assuming. Were hoping most of the rout from XLV and IBB will clear soon against the backdrop of a strong dollar.
Investing, truley believeing in a project. Transparency. Value. Thats how I describe Cardono 1 Eth = stake premieum 50% 1 Ada = stake discount 85% Bullisg scenerio. Hopium. Good coin to risk managemnt in a bear market. If this truley a bear market? Wave 5 hopium? ADA gave the best returns in the bull market. Quality token. #1 ADA Stake Coin #2 $Ankr #3...
Steps used for deriving these picks: Put following filters into tradingview screener with timeframe set to Monthly Market Cap : Above 1B Average Volume 90 days : 1M+ Return On Equity (TTM) : Above or Equal to 20 Return On Assets (TTM) : Above or Equal to 10 Return On Invested Capital (TTM) : Above or Equal to 5 Debt to Equity : Between...