Merck & Co., Inc., d.b.a. Merck Sharp & Dohme outside the United States and Canada, is an American multinational pharmaceutical company headquartered in Kenilworth, New Jersey. It is named after the Merck family, which set up Merck Group in Germany in 1668. Merck & Co. was established as an American affiliate in 1891 Entry on the bullish break of the dynamic...
Invitae offers gene panels and single-gene testing for a broad range of clinical areas including hereditary cancer, cardiology, neurology, pediatric genetics, metabolic disorders, immunology, and hematology. The price is on a strong weekly pattern, decent long opportunity on probable bullish rebound.
VMware, Inc. is an American cloud computing and virtualization technology company headquartered in California. VMware was the first commercially successful company to virtualize the x86 architecture. Excellent bullish break of a head and shoulders on a monthly timeframe that can be used as an entry point on this asset.
Vertex Pharmaceuticals, Inc. is an American biopharmaceutical company based in Boston, Massachusetts. It was one of the first biotech firms to use an explicit strategy of rational drug design rather than combinatorial chemistry. Excellent bullish divergence on the monthly. Great time for a long trade on this asset that could attempt a retarget in the $ 240 zone.
Splunk Inc. is an American technology company based in San Francisco, California, that produces software for searching, monitoring, and analyzing machine-generated data via a Web-style interface. Interesting situation on this asset, with a good price movement on the weekly basis. Scenario that opens the possibility to different operations with an excellent...
PayPal Holdings, Inc. is an American multinational financial technology company operating an online payments system in the majority of countries that support online money transfers, and serves as an electronic alternative to traditional paper methods such as checks and money orders Divergence on the daily for PayPal. Excellent opportunity with 1: 2 risk return
Alibaba Group Holding Limited, also known as Alibaba Group and Alibaba.com, is a Chinese multinational technology company specializing in e-commerce, retail, Internet, and technology. Strong divergence on the monthly. The price level at which Alibaba now stands has always been characterized by high volatility in the past. The market has always reacted with a...
Riot Blockchain, Inc. is a Bitcoin mining company, supporting the Bitcoin blockchain through rapidly expanding large-scale mining in the United States. This asset is directly related to the Bitcoin price trend. At the same time, it offers less risk than the cryptocurrency market. The trend seems to want to reverse its trend in the short term. Great scenario for...
With international production and distribution across five continents. Cronos Group is committed to building disruptive intellectual property by advancing cannabis research, technology and product development. With a passion to responsibly elevate the consumer experience, Cronos Group is building an iconic brand portfolio. Cronos Group’s portfolio includes PEACE...
Tilray is a Canadian pharmaceutical and cannabis company, incorporated in the United States with primary operations headquartered in Toronto, Ontario. Tilray also has operations in Australia, New Zealand, Germany, Portugal, and Latin America. Second asset of the cannabis sector analyzed. Bullish divergence on the daily timeframe flanked by a double top that...
Prysmian is a Italian leading company with headquarters in Milan, specialising in the production of electrical cable for use in the energy and telecom sectors and for optical fibres. GOOD BULL TREND A decidedly healthy and balanced bullish trend and a strong growth in the semiconductor sector suggest a continuation of the bullish trend in the medium / long term.
Buzzi Unicem S.p.A. is an Italian multinational specialized in the production of cement, active in Europe, the United States and South America. In Italy it is the second largest operator in the country with a market share of 16%. It is listed on the FTSE MIB index of the Milan Stock Exchange. A sector extremely positively correlated to the growth of inflation, on...
Juventus Football Club, colloquially known as Juventus and Juve, is a professional football club based in Turin, Piedmont, Italy, that competes in the Serie A, the top tier of the Italian football league system Possible recovery of a part of the bearish trend with an advantageous scenario for different types of operations.We will have confirmation of a reversal...
Prysmian is a leading Italian company with headquarters in Milan, specialising in the production of electrical cable for use in the energy and telecom sectors and for optical fibres. Market that is close to breaking the highs, given the fundamentals and the sector, we can expect a continuation of the medium / long-term uptrend with a target of € 50.
Gruppo Campari is a leading company active since 1860 in the branded beverage industry. It produces spirits, wines, and soft drinks. DISCOUNT ON THE PRICE FOR CAMPARI Excellent buying opportunity for this asset after a discount of about 7% from the highs, the market is returning to recover value. Interesting opportunity to continue the trend with a target of €...
Brembo is an leader Italian manufacturer of automotive brake systems, especially for high-performance cars and motorcycles. Its head office is in Curno, Bergamo, Italy. The company has excellent fundamentals and recently opened the first dedicated digitization branch in Silicon Valley. BULLISH HEAD AND SHOULDERS Excellent possibility of upward entry in the medium...
KCS is the native token of KuCoin, which was launched back in 2017 as a profit-sharing token that allows traders to draw value from the exchange. It was issued as an ERC-20 token running on the Ethereum network and was supported by most Ethereum wallets. The total supply of KCS was set at 200 million, and there is a planned buyback and burn until just 100 million...
GLD is a fund that reflects the price of gold . It has a direct correlation with the underlying. When the price of gold increases, that of the fund increases, while when the price of gold decreases, the price of the fund decreases. It is a highly protective asset that helps diversify portfolio risk. It has a long-term bullish statistical bias and is particularly...