Veo canal alcista hasta los 4,20 aprox. donde en caso alcista podrá tomar rumbo a los 4,35 o 4,45. Caso de descenso se podría ir a los 3,75 o 3,65. Como mi usuario indica soy Novato y aprendiendo :P Se agradecen comentarios.
FOR THOSE WHO DO NOT KNOW SANTANDER S.A. IS ONE OF THE MOST IMPORTANT BANKS IN SPAIN. THE STOCK VALUE HAS BEEN DECREASING SINCE MAY 2015 WHEN THE PRICE WAS WORTH 6.80 € A SHARE. NOW SANTADER IS 3.87 € A SHARE AFTER 1 YEAR AND 3 MONTHS APROX. THIS FALL HAS STOPPED NOW. FIRST SIGN OF CHANGE OF DIRECTION WAS THE TRIPLE GROUND SUPPORT LEVEL BELOW. THE MARKET CHANGED...
IAG just broke through a triangular pattern and has been staying lately above the 50D moving average. I just opened a long position. SL1 4.50 and SL2 4.43
Sacyr has moved past the 200D MA and it keeps above the Ichimoku cloud. I am maintaining my long position
Possible testing overcome the bearish trend to regain the upward trend Posible testeo de la directriz bajista superada para recuperar la senda alcista
The 200D MA has stopped the Price which has been moving within a rising cannel. I have a long position according to the trading plan shown on chart.
Español: 2 ideas. B) Largo tras superar zona 4.50-4.55 (intención y volumen en esa zona) B') Corto tras rechazar precio zona 4,50 English: Two ideas. B) Long after overcoming area 4.50-4.55 (intention and volume in that area) B ') Short after rejecting 4.50 price zone
BME:BBVA Safe Trades; Good luck :) open.spotify.com
So far so good. The price has been going in the right direction as far as the long strategy I opened a few days ago.
European Banking scenario is quite unstable and untrusted. If the crisis situation on the EU zone wasn't enough add breixt to that. This bank Caixabank (CABKE) is actually catalan bank, where and independency process is taking place. If that will take place in fact is somethong nobody know right now. But this is another element of turbulence. Despite of that....
CAF has reached the minimum TP of the wedge formation and is hitting a resistance line. I am maintaining my long position on this price.
BBVA is in my radar. We need to see prices around 4.2 - 4.3 euros and see the evolution from there before deciding on some trading strategies
This price has been hard beaten by the Brexit result. I believe it needs to complete the 5th wave of the bearish impulse to posible restructure by means of a double bottom. I will keep it in my radar.
Largo a máximos, volúmenes profesionales cierres gap, acumulación.
Bad candle on result day. The SL has not been breeched on the close yet. I expect some reaction
I like this price. I have been long for the last weeks. Technically, I believe it may reach the 58 euros in the coming weeks without too much problem. TH SL is below 47 euros.