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Can anyone help me with the following: How is it possible that the money flow index at the moment: - 1 week time chart - negative (near the top) - 1 day chart - positive (at the bottom) - 1 hour chart - negative (near the top) - 15 minute chart - positive (at the bottom) Totally different signals. Can someone explain to me what this means? Thanks in...
Fundamental Analysis 1. Industry: A food delivery website ++ (Corona time) 2. Price: Cheap 3. Upward potential: 19% 4. Risk-Reward Ratio: 1:7,5 Technical Analysis 1. Volume is growing 4. Morningstar growth rate: A 5. Short-term target: 105 6. Long term target: 125
Fundamental Analysis 1. Industry: Solar wafers and modules ++ 2. Price: Relatively Cheap 3. Upward potential: 35% (on short term) 4. Risk-Reward Ratio: 1:15 5. 5Y EPS Growth: 20-40% (Simply Wall St) Technical Analysis 1. Volume is growing 2. Support of the MA100 3. Growing profit margin 4. High Sentiment Score: 88% 5. Short-term target: 30 6. Long term target: 50-100
Fundamental Analysis. 1. Industry: Corona Vaccin ++ 2. Price: Relatively Cheap 3. Upward potential: 20-40% 4. Risk-Reward Ratio: 1:10 Technical Analysis. 1. Volume is growing 2. Support of the MA30 4. Financial Morningstar Score: A 4. Growth rate: 93% 5. Short-term target: 180 6. Long term target: 200- 7. High Dividend Rate
Fundamental Analysis. 1. Industry: Lithium ++ 2. Price: Stable growth 3. Upward potential: 20-100% 4. Risk-Reward Ratio: 1:8 5. 5Y EPS Growth: Technical Analysis. 1. Volume is growing 2. Support of the MA30 5. Short-term target: 80 6. Long term target: 100-150
Fundamental Analysis 1. Industry: Hybrid and electric powertrains for trucks ++ 2. Price: Very Cheap 3. Upward potential: 50-100% 4. Risk-Reward Ratio: 1:50 Technical Analysis 1. Volume is growing 2. Support of the MA30 3. Boilinger Percentage: 38% (high short-term potential) 4. Short-term target: 25 5. Long term target: 30-60
Fundamental Analysis. 1. Industry: Environmentally responsible distributed baseload power solutions ++ 2. Price: Still Relatively Cheap 3. Upward potential: 44% 4. Risk-Reward Ratio: 1:5 Technical Analysis. 1. Volume is growing 2. Support of the MA30 5. Short-term target: 25 6. Long term target: 300-400!
Fundamental Analysis 1. Industry: Renewable wave energy technology ++ 2. Price: Cheap 3. Upward potential: 40-200% 4. Risk-Reward Ratio: 1:14 Technical Analysis 1. Volume is growing 2. Support of the MA100! 3. Growth rate: 98% 4. Strong upward trend
Fundamental Analysis 1. Industry: Engages in the development of cloud-based platforms for the healthcare industry ++ 2. Price: Relatively Cheap 3. Upward potential: 40% 4. Risk-Reward Ratio: 1:5 5. 5Y EPS Growth: 50% Technical Analysis 1. Volume is growing 2. Support of the MA 100 3. Morningstar growth rate: B (92%) 4. Short-term target: 30 5. Long term target: 50
Fundamental Analysis 1. Industry: A workforce operational solution platform (e-commerce) ++ 2. Price: Relatively Cheap 3. Upward potential: 69% 4. Risk-Reward Ratio: 1:7 5. 5Y EPS Growth: 80-100% Technical Analysis 1. Volume is growing 2. Support of the MA100 5. Short-term target: 10 6. Long term target: 14
Fundamental Analysis 1. Industry: Information technology (IT), infrastructure management software ++ 2. Price: Very Cheap 3. Upward potential: 61% 4. Risk-Reward Ratio: 1:8 5. 5Y EPS Growth: 30%-50% Technical Analysis 1. Volume is growing 2. Support of the MA9 3. Boilinger Percentage: 17% (high short-term potential) 4. Morningstar growth rate: B (91%) 5....
Fundamental Analysis 1. Industry: A health and wellness company with mass retail partners and e-commerce channels ++ 2. Price: Cheap 3. Upward potential: 116% 4. Risk-Reward Ratio: 1:23 5. 5Y EPS Growth: 20-40% Technical Analysis 1. Volume is growing 2. Support of the MA30 3. Short-term target: 3 4. Long term target: 5