DXY, EUR/USD, USD/JPY, GBP/USD, AUD/USD, USD/CAD
GENERAL ELECTRIC COMPANY, HELIOS AND MATHESON ANALYTICS INC, SPDR S&P 500, ADVANCED MICRO DEVICES, INC., SPDR SELECT SECTOR FUND - FINANCIAL, ISHARES MSCI EMERGING INDEX FUND
S&P 500, Nasdaq Composite, Dow 30, Nikkei 225, DAX Index, FTSE 100
Gold, Silver, Crude Oil, Natural Gas, Corn, Bitcoin
BTC/USD, ETH/USD, BCH/USD, XRP/USD, LTC/USD, ETC/USD
US 10Y, Euro Bund, Germany 10Y, Japan 10Y Yield, UK 10Y, India 10Y
Gold, Brent Oil, Crude Oil, CFDs on Natural Gas, Palladium, Silver
ENV has great fundamentals and just recently broke out of it's bullish flag. The play is to be long above $44 with a target of $57 - a potential 22% return.
Pivot L/H n/a
Entry Date Watching
Cost Basis $43 to $42
Current Price 45.14
Closed %Gain 0.00
Fundamentals Approximately,EPS Due Date 11/4/14
EPS Rating 98
SMR Rating A
Technicals Horizontal S&R 0
Channel S&R yes
MA S&R 20MA=.2 50MA=.5 200MA=1 ok
Pearsons R >87 no
Price within Fib ...
Just my personal view again here - I'll be patient.