Based on history, silver follows gold pricing as well as charts very closely on average. Based on the fact that nothing has been truly settled and the dollars power has recently gained. It is opening up a perfect time to get in as ride the up swing just wait for the MAC D for example to switch directions heading up. Based on the time of the charts. Indicators are...
GBPJPY - Weakening, Below GA VaR Edge 5 Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern Portfolio Theory (some "Stylized...
WCC - Price Strength: Leptokurtic Pivot, Above Volatility Range Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern Portfolio...
VRTV - Leptokurtosis Approaching GA VaR Edge 7, Trading Area Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern Portfolio...
AUDCHF - Running Throughout the Trading Area, Approaching GA VaR Edge 6 Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern...
SPX500 - High Volatility, Developing the Trading Area Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern Portfolio Theory...
OIL - From the Leptokurtic Pivot the Throwback to GA VaR Edge 4 Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern Portfolio...
OIL - A Platikurtic Throwback with Positive Leverage Effect Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern Portfolio...
CADJPY - Shortened the Bullish Thrust and The Throwback Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern Portfolio Theory...
EURNOK - Leptokurtic Pivot, Above the Volatility Range Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern Portfolio Theory...
XRPUSD - Shortened the Thrust, Going below the Volatility Range Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern Portfolio...
USDHUF - Trading Area Development,Testing A New Simplified Tool Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern Portfolio...
NZDUSD - Negative Leverage Effect, Platykurtosis Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern Portfolio Theory (some...
EURUSD - Still Not Ready, But Kurtosis has Weakened Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern Portfolio Theory...
ETHUSD – Hesitation to Advance, Transitional Place, Buying Wave Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern...
BTCUSD – Over Extended Price, Leptokurtic Pivot, Outliers Candle Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern...
BCHUSD – Price On GA VaR Edge 6, Flat Volatility, Buying Wave Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern...
DASHUSD - Hesitation, Transitional Place, Buying Wave Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern Portfolio Theory...