Conclusion: A substantial break above 100, preferably above 107 signals a short term bullish potential, challenging ATH and beyond. A drop below 75 on the other hand renders long term bearish or at least choppy consolidation. For short term play targeting 108 minimally, with tight stop just under 96, R:R will at least be 2:1. If break out successful, keep...
Hello, we have falling peaks chart pattern on AIRBUS stock. So it can be a good scalping trade if market will not break out 118.78 price. Now we need to wait when market will break support line at 116.16 price. Your entry price should be bellow that price. I think this can be a good trade with 1:2 risk ratio.
Is a sell off for equities about to happen...? A sell signal for world equities has just been given. See attached chart for the MSCI World index; rising support is broken, divergences with RSI and stochastic. MACD negative, DMI cross.
Long position untill the targets. Aftet that a retest to recent lows before long again.
UBI in a possible turning point. If you are looking for long this is an interesting point. Wait for the setback with a possible entry long in the marked area. Enjoy, thump up and follow for more ideas!
Big investors seem interested in Philips, and that’s been happening for a while now. For various legal vicissitudes the Stock has had to suffer a pressure from part of some types of investor and for last the collapse happened some days before. However, the trend towards short-term reductions by institutional investors and professional investors has not been...
Seems like free money, but this rising wedge is the sign of an incoming crash. Nonetheless we can trade the bounces. Not very afraid of a crash, in fact I plan to buy it, because METEX is great for inflation and for the future, given they use bacteria to make food, oil and plastic and it's undervalued by a factor 10.
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Here is a long term idea on Alstom EURONEXT:ALO a French multinational rolling stock manufacturer. I will make a case why a long term view on the company is warranted from technical analysis with some commentary on its financials and business operation. Technical The weekly chart is presented here. It shows bullish momentum as indicate by my directional...
Philips has reached it's (nearly) lowest levels for the last 3-5 years, The reason seems to be a recall of equipment of a value of about 4bl$. In general the company is quite healthy, no debts, positive cashflow, not very impressive, but still good PE and EPS ratios. They have concrete development plans and solid background for upcoming profits. The stock price...
Hello Reader, The last call was quite good... Check by yourself, the related link below. With this new post here: The price entered a breathing period where it needs to gather and collect more orders in the market. So i don't ride it but i find/suggest find other stocks which you are confortable with ! Don't touch #ALO for the moment. In the today's...
Long term highly likely to profit from major ESG investments of the EU. Short term need higher high to confirm bottom is in, will update upside target once 1-2 setup is clear. RSI and stochastic indicate leaving oversold zone and ready to take off. Disclosure: beside long term holding, already bought Sep 2022 calls, strike 40 & 45 for short term plays, start to...
Ideally come down a little bit more, first tranche initiating at 4 seems very reasonable for long term holding.
URW Broke downtrendline, expect upwards motion in the coming weeks.
Royal Dutch Shell 'A' - Short Term - We look to Sell at 19.49 (stop at 20.37) Short term momentum is bearish. This is negative for short term sentiment and we look to set shorts at good risk/reward levels for a further correction lower. We have a Gap open at 19.49 from 25/11/2021 to 26/11/2021. We expect a move lower in a corrective sequence, targeting...
Altri is good condition to ascending to 8 euros area. I see a channel and the price is the botton of this channel.
BCP is an ascendent tendency and recently touch the lowers of this tendency. My target is 0.19 euro.