buying oppertunityAirfrance doing better and KLM does not have to reduce flightcycles. Airliners are always risky. But they both making good profits now and are at an all time low!Longby Rob1n2Apr 22, 20242
LVMH Investment Opportunity (Short)Risky trade on LVMH which is bullish in long terme, I can potentially see a wyckoff in place, with liquidity take and and a brake of structure on left side and also now internally in daily timeframe after last days economic news, this is why i think it's interesting to take trade targeting first green line (demand zone) on which bullish orders where place and eventually second target line.Shortby EvergreenWealthAdvisorApr 12, 20242
IPN Investment OpportunityWe can see that IPSEN is in a bullish momentum. It took the previous Low (inducement), accumulate bullish orders represented by the Wyckoff and now is initiated a bullish move, I'm expecting the price to continue this move and reach at least the first green target line.Longby EvergreenWealthAdvisorApr 12, 20240
Investment Opportunity VIVWe can see that VIV took the inducement and did a distribution to place Sell orders, which result in a break of structure in daily timeframe. This corroborate the huge bearish trend initiated, I'm expected now the price to continue this bearish trend and to reach at least 8$ before potentially continue downside.Shortby EvergreenWealthAdvisorApr 12, 20240
Investment Opportunity CAEven if CA is currently accumulating order in long term, we can see a beautiful Wyckoff in place (accumulation), the main reason of this investment opportunity is that the liquidity was taken from SC, and the brake of structure happen, I'm expecting now the price reach "BC", this is really a long term investment as the price is moving slowly but the technical analysis was really interesting so I share it.Longby EvergreenWealthAdvisorApr 12, 20241
PROSUS bullish target +79% from current pricePress has a double bottom structure activated and with a benefit/risk relation of 7.85. ELongby compoundinterest7Mar 7, 20240
Investment Opportunity ERFWe can see a clear reaction of ERF in the demand zone which initiated the previous bullish trend and broke the structure on the left side, this reaction is validated by a brake of structure in weekly timeframe, I'm expecting now the price to be bullish and potentially make new all time highs.Longby EvergreenWealthAdvisorApr 12, 20241
SHELL - correction in an uptrendhi Traders Shell has been in an uptrend but it looks like a correction has started. Entry for short: 30.770 stop loss: 31.205 target: upsloping trendline After reaching the target, we expect a solid bounce .Shortby vf_investmentUpdated Apr 8, 20248
JMT Jeronimo Martins up 3% after MACD divergences#stockoftheday for 8/Apr was $JMT.LS #jeronimomartins, ⬆️ 3% after MACD divergences. Ideally would climb to 20D EMA, find support on the 8D EMA and try to close the gap near 50D SMA #trading #euronext #PSI20 #stocksLongby StocksPortugalApr 8, 20242
[ATO] French Stock for lotto playHere is a bleeding stock on the French market with very bad managment and fondamental side. The shares are going for dilution soon. So why I am speaking about it ? Because this stock is the one from a great French Company (or was) and we potentially can except it to rise up again if great change are made. "When there is blood in the streets" is time to buy but not without a proper strategy and here we start to see a potential long level of rejection. Great Trade !Longby ArnoSGUpdated Apr 8, 2024101015
Investment Opportunity SOCIETE GENERALEWe can observe a major wyckoff in place, the liquidity of previous all time lows was taken before initiating a massive upside move, the price is now consolidating on the market shift, creating another wyckoff in lower timeframe (Weekly/Monthly). I'm expecting the price to reach my demande zone (14.5$ to 18$ in grey) before initiating an upside move to reach 37$ first and then 55$ and even more. Downside risk 20% Upside profit 200% and more.Longby EvergreenWealthAdvisorApr 7, 20240
Investment Opportunity SLB (Short)SLB is Bearish in 6months timeframe, the price is back on supply which initiated this bearish trend, we can see now that the price ic currently accumulating orders, a wyckoff is in place. I'm expecting now the price to reach downside liquidity at 39.5 $ and potentially continue until 16$. Upside risk 15% Downside max profit 67%SShortby EvergreenWealthAdvisorApr 7, 20240
Investment Opportunity CDI (Short)Wyckoff in place, UT done liquity swept before the price did a meaningful downside movement. Test was done this week and price broke downside during the NFD day, I'm expecting now that the price will go take liquidities : 1st target 618$ EQL 2nd and last target 513$ SC Downside % profit 31% Upside % risk 11% Shortby EvergreenWealthAdvisorApr 7, 20240
EDP short but look for bounce on retest of lowsThe #stockoftheday for 5/Apr was $EDP.LS #EDP, ⬇️ 2,4%. Mid-session 3.55 looked like a great place to short on breakdown of flag. However, look for retest of 21/Mar lows on 1D MACD divergences and break of downtrend #trading #euronext #PSI20 #stocksLongby StocksPortugalApr 6, 20240
Teleperformance : Bubble about to pop.Ladies and gentlemen, i'm trying a new format here. Please let me know what you think about it. What is Teleperformance ? Teleperformance is an omnichannel company headquartered in France. Company revenue totaled US$5.258 billion in 2018. The action outperforms most of the french assets during the last 8 years with an increase of more than 1200%. Type of trade : Reversal. Type of market : irrational (bubble). My view : People who follow me know something : "Trees don't grow to the sky".And i'm the woodcutter. The chart has make a nice parabolic structure which is about to end. Let the crash begin. Stop-loss : Over/= 221. Please tel me in the comment section which asset you would see me to analyse. DISCLAIMER : I'm not financial advisor. You trade at your own risk. CONTACT : If you want more information, please send me a pm. Shortby KassandrA_dotcomUpdated Mar 31, 20244417
TotalEnergies Surges Towards New Highs: Breakout WatchThe key technical level to watch is $63 per share. A decisive break above this resistance could trigger a fresh wave of buying, pushing the stock toward uncharted territory. Investors are advised to monitor the price action closely in the coming days to see if a breakout materializes.Longby Z4F4RMar 27, 20242
Hermès (RMS) Faces Resistance: Breakout or Pullback?Luxury goods giant Hermès International (RMS) is testing its mettle against a key resistance level on the three-month price chart. Currently trading at $2,387, the stock has reached a critical juncture, prompting to question whether a breakout or a pullback is more likely. The resistance level in question represents a three-month trend line, acting as a barrier for further upward price movement. Historically, similar situations have resulted in two distinct outcomes: Breakout: If RMS can decisively break above the resistance line, it could signal a surge in investor confidence and propel the stock to new highs. This scenario would be particularly bullish for those anticipating continued growth in the luxury goods market. Pullback: Alternatively, the stock could experience a pullback, retreating from the resistance level. This wouldn't necessarily be negative but could indicate a period of consolidation before another attempt to break through.by Z4F4RMar 27, 20240
AXA: Bearish -DEEP CRAB detected.AXA: Lower-DEEP CRAB detected. (1) In Weekly: A DEEP CRAB -Bearish was detected on AXA and was confirmed. Following this bearish harmonic pattern, a new BEARISH trend can potentially begin. (2) ROC and RSI: Note the Bearish divergence building up like dark clouds announcing a potential reversal on the horizon. (3) Detection of a SELL signal using ROC and RSI indicators; Following this, I expect the market to move down to the 33.63 level, then 30.55, and finally towards the 29.49 and 25.84 levels, depending on the 50 and 200 EMAs.Shortby Le-Loup-de-ZurichMar 25, 20241
BUY RENAULT finally !!!BUY RENAULT Tp1 : 43.3 Tp2: 48 sl : 31.150 if you have any questions do not hesitate to contact me.Longby elmehdisaddatiUpdated Mar 23, 20246
SOITEC BUY SupportWaiting for a confirmation to buy some and you ? It's a good support 120 eurosLongby Sabronx19Mar 23, 20241
SHELL Broke Out Of a 24 Year Downtrend. Probably Nothing.Shell looks insanely good right now after breaking out and flipping on support. This will go up over the upcoming years. NFA!ELongby MickYe333Mar 21, 20244
It’s happening soon! It is never too late to make profits but the market only rewards those who have patience.Longby Sal98Updated Mar 19, 2024442
LVMH: Bearish according ICHIMOKU 714 is possibleLVMH is on a polarity zone the price could go down to 714 confirmation with “Tenkan” (Weekly) and “Kijun” (Daily) thanks to ICHIMOKU Then the market could go down to €685 (Doji), then rebound and go back up to find the gaps above or 2nd scenario: the market could rise and seek to increase the gap of 854 and complete the harmonic figure “BAT” and go back down to the 714 an options strategy "purchase of PUT" is possible slightly on this position or wait for the gap of 854EShortby Le-Loup-de-ZurichUpdated Mar 12, 20246
Forcased // JUST EAT TAKEAWAY.COM N.V.Forecast for JUST EAT TAKEAWAY.COM N.V. 2014-2026 Over the period from 2014 to 2026, JUST EAT TAKEAWAY.COM N.V. has navigated through significant volatility and is charting a course for potential recovery. The historical performance shows a sharp decline from earlier highs, reflecting the challenges faced in the market. Notably, a period of consolidation appears to have occurred around 2024, with the share price stabilizing at around €13. In this period, various strategic positions were taken as indicated by the 'Long' and 'Short' markers on the chart. These moves possibly reflect investor sentiment and market reactions to the company's financial health and growth prospects. Looking forward, a significant upturn is forecasted. By the start of 2026, the projection indicates a substantial increase in the share price to €20.50, which translates to a gain of 157.69% over the next two years (730 days). This optimistic forecast could be underpinned by the strong growth estimates previously discussed, suggesting a turnaround in the company's fortunes. The projected share price of €33.50 by January 1st, 2026, further solidifies this outlook, embodying a bullish scenario for the company. This turnaround is presumably driven by the anticipated growth, successful new ventures, restructuring efforts, or other positive corporate developments expected to bear fruit in the coming years. Investors considering this forecast should remain cognizant of the inherent uncertainties and risks in such long-term projections. Market conditions, competitive dynamics, management decisions, and broader economic factors could all significantly impact the actual future performance of JUST EAT TAKEAWAY.COM N.V. Longby MarioMoermanMar 11, 20242