Within a 100K Account Balance the split on Trade & Risk Management = 1/10% - 1/20% margin as an Execution Range, to set up an Order Entry and select a per Trade on Average, to avoid any drawdown hit regarding to Stop Loss & to execute Risk on Management Specifics. Trail Stop efforts are a Focus of Attention to the set up in general when Volatile-Price-Action is involved, mainly because of the usage of an Intraday-Scalp-Position tool on behalf on the Trade Plan in general
Key indicators on Trade Set Up in general;
1. Push Set Up
2. Range Set Up
3. Break & Retest Set Up
Active Sessions on Relevant Range & Elemented Probabilities;
* Asian(Ranging) - London(Upwards) - NYC(Downwards)
* Weekend Crypto Session
#VARTA AG Income Statement
Last quarter (Q3 2022), VARTA AG's total revenue was €193.92M, a decrease of -13.72% from the
same quarter last year. In Q3, VARTA AG's net income was €-22.92M
#VARTA AG Cash Flow
DE:VAR1's free cash flow for Q3 2022 was €41.16M. For the 2022 fiscal year, DE:VAR1's free cash
flow was decreased by €4.71M and operating cash flow was €-31.85M
*VARTA AG’s (VAR1) 10-Day exponential moving average is 9.83, while VARTA AG’s (VAR1) share
price is €2.544, making it a Buy
*VARTA AG’s (VAR1) Relative Strength Index (RSI) is 54.19, creating a Neutral signal
*VARTA AG’s (VAR1) Trend Strength Indicator (ADX) is 20.63, creating a Neutral signal
*VARTA AG’s (VAR1) Commodity Channel Index (CCI) is 68.75, creating a Neutral signal
*VARTA AG’s (VAR1) Price Rate of Change (ROC) is 9.54, creating a Buy signal
Conclusion | Trade Plan Execution & Risk Management on Demand;
VARTA AG (VAR1) Stock Price & Analysis: Overall Consensus | Neutral