FINNAIR: Fakeout IdeaIf you believe Tuesday's move to the downside to be a fakeout, one potential play could be as shown on the chart. Target would be range highs. Personally would not consider trading this move.by M0_BTC1
Finnair: Heading for new lows?Price has failed to break above the descending trend line and currently struggling to hold the support area.by M0_BTCUpdated 2
NESTE has potential to doubleDivergence on all timeframes, looks like an ABC retracement, reached 61.8 fib of the whole move up. Good place to buy, in my oppinionLongby shiftpark3
WITH: Potential BuyCurrently in a range consolidating above the 1 EUR psychological level, we'll see if it holds supported by a trend line. Personally I'd consider WithSecure as a long term buy. S/R zones marked to look out for.Longby M0_BTC2
NESTE: Potential BuyPrice has broken the descending short term trend line while holding the key level area supported by a trend line. A confirmation of the direction could be a short term range breakout with price closing above the range highs. Areas marked to look out for.Longby M0_BTC1
STERV - 10 months HEAD & SHOULDERS══════════════════════════════ Since 2014, my markets approach is to spot trading opportunities based solely on the development of CLASSICAL CHART PATTERNS 🤝Let’s learn and grow together 🤝 ══════════════════════════════ Hello Traders ✌ After a careful consideration I came to the conclusion that: - it is crucial to be quick in alerting you with all the opportunities I spot and often I don't post a good pattern because I don't have the opportunity to write down a proper didactical comment; - since my parameters to identify a Classical Pattern and its scenario are very well defined, many of my comments were and would be redundant; - the information that I think is important is very simple and can easily be understood just by looking at charts; For these reasons and hoping to give you a better help, I decided to write comments only when something very specific or interesting shows up, otherwise all the information is shown on the chart. Thank you all for your support 🔎🔎🔎 ALWAYS REMEMBER "A pattern IS NOT a Pattern until the breakout is completed. Before that moment it is just a bunch of colorful candlesticks on a chart of your watchlist" ═════════════════════════════ ⚠ DISCLAIMER ⚠ The content is The Art Of Charting's personal opinion and it is posted purely for educational purpose and therefore it must not be taken as a direct or indirect investing recommendations or advices. Any action taken upon these information is at your own risk.Longby TheArtOfCharting1
Finnair: Pennant pattern on 1h chartFinnair has broken the 4h TL and 1h pennant pattern. For this reason I'm short term bullish. In case we break the most recent support zone, the pennant pattern has failed.Longby M0_BTCUpdated 0
NOKIA: Daily Chart UpdateNews are shaking the price so good luck trying to guess the direction. Based on the trend lines I'd still expect upside coming in the next few weeks if we keep diving lower.by M0_BTC220
NOKIA: Intraday UpdateAfter testing the strong daily key level multiple times the price is heading lower towards next support zones.by M0_BTCUpdated 552
NOKIA: Areas to look out for on a 4h chartCurrently in a downtrend, things might take a turn as we're going towards strong key levels.by M0_BTCUpdated 1
FIA1S December OutlookLooking out for the regression and RSI trend. Expecting pullbacks or reversal from the highlighted zones.by M0_BTC0
Is the Finnish Bank OmaSp about to collapse?The charts are suggesting caution. On the above 10-day chart: 1) Double top in price. 2) Regular bearish divergence. The higher the timeframe you look the more ugly this divergence is. Laterally I’m wondering if the small banking crisis that hit the US is now venturing to other parts of the world. OmaSp does not appear to be in isolation. There were some tell-tell signs before the collapses of Silicon Valley and Signature Banks. (No one in Europe heard of those banks!) They were: 1) Strong bond market exposure. AND 2) Same TA as above. “OmaSp has been active in the bond market since 2013” says their website. Very true.. Until recently you could get the information on their Bond market exposure.. You click on the WebPage today and you get: www.omasp.fi “Unfortunately the webpage you were looking for can not be found” Oh dear… Ww Type: Trade, short Risk: <=3% Timeframe: Candles closing at 19 and under. 10-day Silicon Valley Bank before after 10-day Signature Bank before after Editors' picksby without_worriesUpdated 3030751
Nokia catch this wave up!!I guess we cant go lower and we are about to break out upwards. Lest see how it will go.Longby G1D3onnUpdated 3
Are you blind!?Previous Close 4.4545 Open 4.4700 Bid 4.4480 x 0 Ask 4.4495 x 0 Day's Range 4.4410 - 4.4925 52 Week Range 4.1180 - 5.7690 Volume 3,407,332 Avg. Volume 10,904,368 Market Cap 25.032B Beta (5Y Monthly) 0.57 PE Ratio (TTM) 16.47 EPS (TTM) 0.2700 Earnings Date Jul 21, 2022 Forward Dividend & Yield 0.08 (1.80%) Ex-Dividend Date May 02, 2022 1y Target Est 57.72 No sell only buyLongby UnknownUnicorn5836947Updated 119
Buy ideaBuy idea after the breakout with force the vwap indicator by a big green candle with a large green volume. Thanks!by PAZINI192
Wärtsilä LongOMXHEX:WRT1V Wartsila inverse H&S pattern daily and week time frames. OTC:WRTBFLongby Hanssk12
why is nokia in a hard timeStrengths Let’s start with the first part of SWOT analysis of Nokia which is strengths: The biggest strength of the company is their brand name. Many consumers often opt for Nokia more than any other brand because of the reliability, durability, and creativity their phones provide. Most of Nokia’s highly qualified personnel have teamed up with Microsoft’s experts as a part of the acquisition deal. The phones provided by Nokia have a much higher re-sale value compared to other mobile phone brands. Many of Nokia’s products are easy to use and are usually coupled with a variety of handy accessories. Products offered by the company are available in all price ranges. Weaknesses The next part of SWOT analysis of Nokia is their weaknesses: The company, though, is often criticized for poor after sales services. Took a long time to enter the highly productive and booming smartphone market. As a result the company lost a lot of its once huge market share. Some of Nokia’s products are not affordable for middle and lower class consumers, which often affects their searches negatively. The Finnish mobile company has made comparatively lower profits due to drop in sales that result from tough competition. According to statistics, the company’s profits have fallen by 7% in the second quarter of 2014. There are slumps in the company’s development with its Windows Lumia range of smartphones because of constant competition from rivals Android and iOS. Opportunities After discussing the internal factors of SWOT analysis of Nokia, let’s shift our focus towards external factors: The Microsoft-Nokia deal is a win-win situation for both companies. The deal possesses great opportunity if both utilize resources in a proper way. Opportunities to expand the range of products and their prices. Also bring in new features and applications on to Windows OS. Threats The final part of SWOT analysis for Nokia is the threats: Strong competition from other smartphone companies will make it hard for Nokia to maintain and expand their market share. Low-cost threats by China mobile companies and others can cause big problems. So, after proper analysis, we have come to the conclusion that Nokia is going through a tough time in the market due to a variety of factors. However, with Microsoft and Nokia personnel teamed up, there is no doubt in saying that many of these problems can be overcome if Nokia strategizes, plans and uses its resources properly.Shortby stanbolle12772
Getting into a long here seems like a smart choiceNokia stock is well bottomed out and I believe sellers have sold. It is ranging between 4 and 5 for a good while and there are signs of accumulation. It is a very food R:R to go long here as entire market looks like it's going to bounce at least 10%. Setup is nice as it's invalidated with mere -7% from current price level, which means that there can be a tight stop loss.Longby Owcheew80
VCP patternHey folks, welcome back to another post! KOJAMO seems to be forming the Minervini VCP perfectly on the weekly timeframe! This seems like a good spot to buy this stock since there's a high chance that the stock will go up with a 20% expected gainLongby kenhuangsy21