TRX - цена запрыгнула на уровень 0,035…/TRX price has risen TRX - цена запрыгнула на уровень 0,035…
TRX график выглядит довольно сильно после вчерашнего роста +10%
Фиксируемся на уровне 0,035$
Индикаторы показывают продолжение бычьего треда.
Канал тренда изменил угол (ремарка: если сравнить уголы тренда графиков Tron с BTC, мы приходим к выводу, что нам есть куда расти.)
Покупка: 0,035$ - 0,036$
Цель 1 : 0,040$
Цель 2: 0,045$
Цель 3 : 0,051$
Стоп-лосс : 0,032$
TRX price has risen to the 0.035 level
TRX graph seems to be really strong after yesterday’s massive growth in the amount of +10%.
The focus area is on $0.035.
Indicators keep showing the Bullish trend.
The trend channel has changed the angle. Comparing the trend angles of the Tron charts and BTC ones, we see the ability to grow more.
Buy: $0.035 - 0.036$
Goal #1 : $0.040
Goal #2: $0.045
Goal #3 : $0.051
Stop-Loss: $0.032
Поиск идей по запросу "INDICATORS"
Amazon.com (NASDAQ:AMZN) Heffx Stock TechnicalsOverall, the bias in prices is: Upwards.
Short term: Prices are moving.
Intermediate term: Prices are trending.
Note: this chart shows extraordinary price action to the upside.
By the way, prices are vulnerable to a correction towards 1,363.62.
The projected upper bound is: 1,575.98.
The projected lower bound is: 1,436.91.
The projected closing price is: 1,506.44.
AMAZON COM is currently 36.0% above its 200-period moving average and is in an upward trend. Volatility is extremely low when compared to the average volatility over the last 10 periods. There is a good possibility that there will be an increase in volatility along with sharp price fluctuations in the near future. Our volume indicators reflect volume flowing into and out of AMZN.O at a relatively equal pace (neutral). Our trend forecasting oscillators are currently bullish on AMZN.O and have had this outlook for the last 40 periods.
EURGBP 4H Chart: Guided by several patternsThe Euro has been constrained in several long and short-term channels which have guided the exchange rate lower since August 2017. The currency pair has been trading in a large-scale triangle after it touched the upper boundary on August 29.
The combination of the 55-,100-, and 200-hour SMAs was restricting the pair for making any bullish movement. Also, technical indicators suggest that bears’ might grow stronger.
This bearish sentiment is likely to continue within the following trading session until it breach the weekly S1 at 0.8768.
ETP will soon explode, this is a very underrated productThe market is about to unfold and on wave B in the BTC, we can just go upstairs. My final goal for the spring is 20-22 dollars. Indicators are also close to a reversal. wt-cross reached the bottom of the day, this is very good
vk.com
ETP tests a double bottom and is sent to the next target of 9-12According to the figure, a double bottom arises, the indicators are also going to turn up, we are fixed above 4.5, this is good.
BTC/USD Trand power cooling down+RSI show it well.Not only price have trend. Also indicators can create support and resistance, for help to indicate strong and weak point in financial instruments. Here can see how trend powerfully go up on chart and RSI. Go by wave, with FIbbo Time expansion. But 29-09-17 indicator go under trend line, back to reflect and continued under it. and wave 4 lose trend power.
RSI 55-50 is pivot zone for trend. all can see on charts and RSI. On RSI can see that 54.4 is critical and important for turn around or reflect of trend. So can predict that next price touch is peak of wave 3 (4,230-4,240).
aslo can leave without attention 4,365$ where broken so many dreams at 9,11,112 September. Price create 3 peaks before falling down based on negative news. But 4,365$ is market feeling, big volumes would like go over it.
WE cant know future , but we can learn from pass.
forgive me my easy English....
AUDCAD(SELL)Австралийская валюта на протяжении чуть больше недели показывает отрицательный результат в связи с неопределенностью центрального банка Австралии, так же последствия снижения кредитного рейтинга Китая, с которым Австралиец тесно связан в экономическом плане, а так же неудовлетворительные экономические показатели отталкивают от покупок данной валюту.
Что касается канадского доллара, то CAD показал достаточно неплохие цифры в добычи и экспорте древесины, а так же получил хороший импульс от цен на нефть марки BRENT, что позволило укрепится и с американским долларом . Экономически-важные данных сегодня не будет, торговля будет спокойно насыщена техническим анализом.
Рекомендую продавать данную валютную пару до отметки : 0.99456 .
The Australian currency for a little more than a week shows a negative result due to the uncertainty of the central bank of Australia, as well as the impact of the decline in the credit rating of China, with which the Australian is closely linked economically, as well as unsatisfactory economic indicators are pushing away purchases from this currency.
As for the Canadian dollar, CAD showed quite good figures in the extraction and export of timber, as well as received a good impetus from the price of BRENT oil, which would strengthen and with the US dollar. Economically important data today will not be, the trade will be quietly saturated with technical analysis.
I recommend selling this currency pair to the mark: 0.99456
Покупка ФСК ЕЭС Покупка ФСК ЕЭС по цене в районе 0,20 р -0,21 р под дивиденды в районе 10-12%. С технической точки зрения, наблюдается ретест.
С фундаментальной точки зрения:
Чистая прибыль компании увеличивается;
Операционная прибыль компании увеличивается с 2013 года вместе с рентабельностью продаж;
EBITDA за 9 месяцев 2016 года почти сравнялась с 2015 годом, а ещё впереди 4 квартал; Рентабельность по EBITDA растёт с 2013 года;
Чистый денежный поток стал положительным и думаю продолжит увеличиваться;
За счёт роста чистой прибыли компании и увеличения чистого денежного потока, чистая прибыль и чистый денежный поток на акцию выросли;
Обязательства приходящиеся на активы компании и капитал уменьшились, что способствовало
сокращению чистого долга компании;
Капитал компании также неизменно растёт с 2013 года;
Популярный мультипликатор P/E=4,5 очень привлекательный для покупки акций.
На данный момент цена акций на рынке 0,20 р, что в два раза меньше балансовой
стоимости акций. Сравнивая нынешние показатели с показателями прошлых лет, они
выше + увеличение тарифов + холодная зима, а также ещё показатели 4 квартала будут,
а также низкая инфляция, которая приведёт к инвестированию в дивидендные
бумаги. Потенциал роста около 100% + дивиденды в размере 10%.
Все финансовые модели можете посмотреть в моей в группе в вконтакте, указонной в профиле.
Buying FEES at a price in the region of 0.20 -0.21 p p a dividend in the region of 10-12%. From a technical point of view, there is a retest.
From a fundamental point of view:
Net income increases;
Operating profit increased in 2013 with the return on sales;
EBITDA for the first 9 months of 2016 almost equal to 2015, and is still to come Q4; EBITDA margin increases from 2013;
Net cash flow became positive, and I think will continue to increase;
Due to the growth in net income and an increase in net cash flow, net profit and net cash flow per share increased;
Liabilities attributable to the company's assets and capital have decreased, which contributed
reduce the company's net debt;
The company's capital is also growing steadily since 2013;
Popular multiplier P / E = 4,5 very attractive to buy shares.
Currently, shares of the market price of 0.20 p, which is two times less than the carrying
the value of shares. By comparing current performance with previous years, they
increase in tariffs above + + cold winters, as well as more indicators will be 4 quarters,
as well as low inflation, which will lead to investment in dividend
paper. The growth potential of around 100% + dividend of 10%.
All financial models can see in my group in VKontakte, ukazonnoy profile.
ФСК FEES BuyПокупка ФСК ЕЭС по цене в районе 0,20 р -0,21 р под дивиденды в районе 10-12%. С технической точки зрения, наблюдается ретест.
С фундаментальной точки зрения:
Чистая прибыль компании увеличивается;
Операционная прибыль компании увеличивается с 2013 года вместе с рентабельностью продаж;
EBITDA за 9 месяцев 2016 года почти сравнялась с 2015 годом, а ещё впереди 4 квартал; Рентабельность по EBITDA растёт с 2013 года;
Чистый денежный поток стал положительным и думаю продолжит увеличиваться;
За счёт роста чистой прибыли компании и увеличения чистого денежного потока, чистая прибыль и чистый денежный поток на акцию выросли;
Обязательства приходящиеся на активы компании и капитал уменьшились, что способствовало
сокращению чистого долга компании;
Капитал компании также неизменно растёт с 2013 года;
Популярный мультипликатор P/E=4,5 очень привлекательный для покупки акций.
На данный момент цена акций на рынке 0,20 р, что в два раза меньше балансовой
стоимости акций. Сравнивая нынешние показатели с показателями прошлых лет, они
выше + увеличение тарифов + холодная зима, а также ещё показатели 4 квартала будут,
а также низкая инфляция, которая приведёт к инвестированию в дивидендные
бумаги. Потенциал роста около 100% + дивиденды в размере 10%.
Все финансовые модели можете посмотреть в моей в группе в вконтакте, указонной в профиле.
Buying FEES at a price in the region of 0.20 -0.21 p p a dividend in the region of 10-12%. From a technical point of view, there is a retest.
From a fundamental point of view:
Net income increases;
Operating profit increased in 2013 with the return on sales;
EBITDA for the first 9 months of 2016 almost equal to 2015, and is still to come Q4; EBITDA margin increases from 2013;
Net cash flow became positive, and I think will continue to increase;
Due to the growth in net income and an increase in net cash flow, net profit and net cash flow per share increased;
Liabilities attributable to the company's assets and capital have decreased, which contributed
reduce the company's net debt;
The company's capital is also growing steadily since 2013;
Popular multiplier P / E = 4,5 very attractive to buy shares.
Currently, shares of the market price of 0.20 p, which is two times less than the carrying
the value of shares. By comparing current performance with previous years, they
increase in tariffs above + + cold winters, as well as more indicators will be 4 quarters,
as well as low inflation, which will lead to investment in dividend
paper. The growth potential of around 100% + dividend of 10%.
All financial models can see in my group in VKontakte, ukazonnoy profile.
EUR/USD continues eyeing 1.1115/00"I regard it as unwise to continue a normalization strategy in an environment of declining market-based inflation expectations."
- James Bullard, St. Louis Fed President (based on Bloomberg)
Pair's Outlook
In general the pair is hovering on the downside, while closely monitoring the nearest support zone at 1.1115/00 represented by the monthly R2, weekly S1 and 20-day SMA. Alongside, these levels are all strengthened by the September low and 200-day SMA at 1.1087/51. Such a state of affairs may cause a short-term revival in the direction of the 1.1238/46 area, also given that daily indicators maintain the confident bullish outlook. Beyond today, however, we see EUR/USD struggling to cope with selling pressure.
Traders' Sentiment
There is a ten percentage point negative gap between the long and short participants in the SWFX market. However, pending orders are mainly set to acquire the 19-nation currency against the Dollar, in 52% of all cases for both 50 and 100-pip ranges from the spot price.
Gold awaits consolidation above 200-day SMA"The Federal Reserve will keep monetary policy looser than previously anticipated in the months ahead as global economic headwinds prompt officials to postpone their hiking plans until the second half of 2016."
- BMI Research (based on CNBC)
Pair's Outlook
American currency weakened across the board yesterday, while pushing safe-haven prices further to the upside. XAU/USD penetrated 200-day SMA for the first time since October, while nearing the first monthly resistance at 1,143. This supply is strengthened by weekly R2 and 2015 downtrend at 1,145/47. A climb above them will shift our attention to the May-Oct trend-line at 1,164. Alongside, ability to fix gains above 200-day SMA on Thursday will proclaim that bullish sentiment is strong. As for daily aggregate technical indicators, the signal is maintaining a mixed stance today.
Traders' Sentiment
Over the last 24 hours of trading the share of long positions on the SWFX market dropped by two percentage points to 53% from 55%.
GBP/USD on the edge of closing below 1.41"The pound has tumbled this year and, based on both fundamentals and valuations, we believe this depreciation is excessive."
- BlackRock (based on Bloomberg)
Pair's Outlook
The Cable managed to climb 31 pips higher yesterday, despite having dropped to the lowest in six years earlier that day. Even though the pair has been recovering for the past two days, risk of it slumping today and piercing the weekly S1 increased. As a result, the GBP/USD could even put the monthly S3 to the test, while bearish technical indicators are bolstering the possibility of the negative outcome. However, a positive surprise in fundamental data could also trigger a rally, with the Pound confirming the down-trend, which in turn is bolstered by the weekly PP and the monthly S2.
Traders' Sentiment
Bulls grew in numbers, as 67% of all open positions are now long. Meanwhile, the portion of buy orders added 22% points up to 54%.
USD\JPYTarget level : 119.1584
Target period : 2 days
Analysis :
Figure Channel down has broken through the resistance line 13-Jan-03:00 2016 GMT. A possible increase in prices in the next 2 days to 119,158.
Supporting Indicators :
A Rising Moving Average
Resistance Levels :
( B ) 118.847 Last pivot point resistance line Descending Channel.
Support Levels
( A ) 116.6925 Last pivot point support line of the Descending Channel.