Investing
$ZYNE - local opportunity to get higherNASDAQ:ZYNE can show a local jump to 0.4 (about 18% from the current values) in a pair of weeks.
if it go higher, this can show, that we will need to implement an addintional analysis for the next possible moving.
Due to my previous view for a long period of time, this company can show an excelent results in the future, but we before we need to hit a bottom and to confirm a turning around.
Does not constitute a recommendation
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$ZYNE shows a shape for the quick long positionNASDAQ:ZYNE draws an upside-down shoulders on 30m representation as well as it was moved before from the historical triangle shape on 1D graph.
Expectation, that it can bring 25% in a month.
NASDAQ:ZYNE :0.42->0.54::28%::1 month
Does not constitute a recommendation.
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$USDRUB reached a ceil of the channel
MOEX:USDRUB_TOM hit the top of the channel and should turn around and start a correction phase.
Two scenarios of the events development before the next iteration of growth are seen by me:
Scenario 1: FX_IDC:USDRUB ::81.4->70::+14%::Jul 2023
Scenario 2: FX_IDC:USDRUB ::81.4->64::+21%::Jul 2024
Does not constitute a recommendation.
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Head & Shoulder Neckline breakdown Pattern seen in BankniftyHello Dear Traders. I hope you all will be doing good in your trading career.
Guy's we have seen Head and Shoulder Neckline Breakdown Pattern in 30 mints chart and Banknifty also have broken Important support zone of 44200-44300. Chances are high we can see sharp downfall from here, So guy's plan your trade accordingly. Global news also coming negative and FIIs also have sold in good volume in friday session. Let's see what is going to happen.
Important levels for Banknifty:-
Sale From current levels, even if you see gap down take it in less qty and accumulate in the range of 44200-44300.
Targets we can see 43941/43702/43531.
Keep stop loss at 44587.
Disclaimer:- Please always do your own analysis or consult with your financial advisor before taking any kind of trades.
Dear traders, If you like my work then do not forget to hit like and follow me, and guy's let me know what do you think about this idea in comment box, i would be love to reply all of you guy's.
Thankyou.
Gujarat Fluorochemicals: Symmetrical Triangle breakout CMP: 2916 | Industry: Chemicals
P/E: 26.3 | Industry P/E: 29.9|ROE: 13.7% | ROCE: 27.1% |BV: INR 503 | EPS: INR 111| MCAP: 32,033 Cr.
Aggressive Entry: 2,916 | Resistance Levels: 3,152 | 3,552| 4,076 Stop Loss: 2,680
Confirmation entry levels > 3,049 | CCI: -82 | EMA (9d): 2,793 | S. RSI: 25
Analysis: GFCL has been in the formation of a symmetrical triangle pattern since June 2022. It has rejected to break out from a declining trendline twice previously in Oct’22 and May’23. This time stock seems to be in strong momentum with rising volumes for 2 weeks consecutively. Momentum indicators are recovering from Oversold regions and with an uptick in direction too. If the stock closes above 3,049 entries can be taken for the nearest breakout levels of 3,152, 3,559 and the long-term target of 4,076. In case of pattern failure stop stands at close below 2,680.
EUR/USD Daily Chart Analysis For Week of August 11, 2023Technical Analysis and Outlook:
This week, the price action of the Eurodollar remained stagnant between the Mean Res 1.102 and Mean Sup 1.094. Thursday's reversal tips its hand to continue the pivotal down-move mode with the target, Outer Currency Dip 1.087. However, another jump toward the Mean Res 1.102 level is also possible in this rigged market.
Bitcoin(BTC/USD) Daily Chart Analysis For Week of August 11,2023Technical Analysis and Outlook:
To its price action, Bitcoin experienced a "dead cat bounce," as projected by Trade Selector. Its current trajectory points to resuming the retest of the completed Outer Coin Dip 28900 and moving towards the next Outer Coin Dip 28200 and 26900, respectively. However, another jump toward the Mean Res 30050 level is also possible in this reactionary market.
AAPL Longterm viewI’m looking for buying some shares at 160$,
as you can see, sellside liquidity was taken, which is my first confirmation, my second confirmation is displacement above the previous, i would like to see it retrace to 160$ or lower, which sits below 0.5 fib AKA discount zone, anything there is buying zone for me.
This is purely technical analysis, since i believe in this stock.
$APPS (Digital Turbine) good investing today$APPS is inside the downward channel, but has a chance for the turning and is able to touch the top line of the current channel.
In my view, if it breaks through SMA 200 line, it starts an arrangement of a new ascending channel for long-term bull's position for this instrument.
$APPS::$11.2->$15::34%::1-2 weeks
Does not constitute a recommendation.
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Welspun India Strong Bullish 30% Move1) Monthly has broken out of a double-bottom pattern and is in a strong uptrend.
2) Weekly has broken the recent consolidation resistance.
3) Daily time frame price action looks interesting - key takeaways,
Price Psychology - Price understanding:
After 3 times of sellers attempt to pull down the price, buyers won at 104.30 levels and then after the breakout, again the sellers made their attempt, Inside candles have been formed for 4 days, and a doji, indicates buyers are intact still.
Also, this consolidation has been happening in 38.2% Fibonacci retracement levels which also indicates aggressive bullish action.
If the price sustains above Friday's close for about 75 mins, the price will lead into the supply zones marked in the Daily time frame.
If the price reverses look for the demand levels marked in 75 mins time frame.
For a Swing trade, A plausible 30% up move from CMP is visible. If the price retraces to demand level of 104, then a smaller SL of 90 levels with a target of 145 may be on the cards.
Please do your diligence, happy trading!
$FIVE keep on running upMOEX:FIVE shown Flag form and started rally to the top.
Resistance is on the level of 2000-2200.
Does not constitute a recommendation.
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Basics of Options TradingIntroduction
Options trading is a versatile and potentially lucrative investment strategy that allows traders to speculate on the future price movements of underlying assets. Unlike traditional stock trading, options trading grants investors the right, but not the obligation, to buy or sell an asset at a predetermined price (the strike price) within a specified time frame. This article aims to provide a comprehensive overview of the basics of options trading, empowering readers with essential knowledge to navigate this exciting financial market.
Understanding Options
Options are financial derivatives that derive their value from an underlying asset, such as stocks, commodities, indices, or currencies. There are two types of options: call options and put options.
• Call options: A call option provides the holder the right to buy the underlying asset at the strike price before or on the expiration date.
• Put options: A put option grants the holder the right to sell the underlying asset at the strike price before or on the expiration date.
The Option Contract
Each option contract represents a specific quantity of the underlying asset, known as the contract size. For equity options, one contract typically covers 100 shares of the underlying stock. The contract's expiration date determines the period during which the option can be exercised, making it crucial for traders to choose an appropriate time frame for their investment objectives.
Option Premium and Factors Influencing Pricing
The option premium is the price paid by the option buyer to the seller for acquiring the option. Several factors influence the pricing of options:
• Intrinsic Value: The difference between the current price of the underlying asset and the option's strike price. For call options, the intrinsic value is positive when the underlying asset's price is above the strike price. For put options, the intrinsic value is positive when the underlying asset's price is below the strike price.
• Time Value: The additional value attributed to the option due to the time remaining until expiration. The more time an option has until expiration, the higher its time value, as it provides more opportunities for the underlying asset's price to move favorably.
• Implied Volatility: A measure of market expectations for the underlying asset's future price volatility. Higher implied volatility results in increased option premiums, as uncertainty enhances the potential for significant price swings.
Trading Strategies
Options offer a wide array of trading strategies, catering to different risk appetites and market outlooks. Some popular strategies include:
• Buying Call or Put Options: Traders purchase call options if they anticipate the underlying asset's price to rise, and put options if they expect the price to fall. This strategy limits the potential loss to the premium paid while allowing unlimited profit potential.
• Covered Call: Involves holding a long position in the underlying asset while selling call options against it. This strategy generates income through the premium received but caps the potential upside.
• Protective Put: Involves buying put options to protect an existing long position in the underlying asset. If the asset's price drops, the put option provides downside protection.
• Straddle and Strangle: Both strategies involve buying both call and put options simultaneously. Straddles work when significant price movement is expected, while strangles work when traders anticipate moderate price movement.
Conclusion
Options trading offers a dynamic and flexible approach to investing, empowering traders to profit from various market conditions and tailor strategies to their risk tolerance. By understanding the basics of options trading - the types of options, pricing factors, and popular strategies - investors can effectively leverage options as a valuable tool in their financial toolkit. However, it is essential to recognize that options trading involves inherent risks and complexities, and beginners are encouraged to start with a solid understanding of the fundamentals and practice prudent risk management before diving into this exciting financial realm.
Coinbase (COIN) | Solid Price Action From The Current Bottom.Hi,
COIN has made quite a decent bottom price action but is it enough? Some months ago mentioned in the chat room that $50 can be the spot from where to grab it technically, and back then it worked quite well. The second option was after the breakout above $75.
Currently, we have a break above $75 and for me, this is quite a decent breakout - this mini bullrun managed to push above:
1. Bottom price action has drawn a bullish chart pattern called Inverted Head & Shoulders and it is activated because the mini-bullrun managed to break above the pattern neckline - now, if the price comes back and retests this area then it is an optimal buying zone and it should act as a support level.
2. Weekly EMA50 supporting the price. Basically, the average price of the last 50 weeks start to act as a support level of around $75
3. The round number $100 even got broken after the mini-rally.
4. The strong horizontal area itself got smashed and now this entire area should act as a support level to hold the price, gray horizontal line.
* Considering technical analysis then the optimal buying zone should stay between $50 to $75
* First target will update on the chat.
Good luck!
$ZIM can show a longNYSE:ZIM potentially touched the bottom.
We are observing creation of the reversed double bottom + divergence on the 1h time range.
Expectation, that it will brake a downward channel and will start moving to 16.
Does not constitute a recommendation
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