Current market #drawdown is already in a row of worse ones since 1900's. As per average it needs 86 months for full rebound since Dec'22 peak. Are you ready to wait until 2029?
US #treasury curve now at Global Financial Crysis level. But today we don't have 5.25% of #Fed #Rate nor #Inflation at 4.3%. Will they be able to print money to prevent GFC-II without affecting inflation?
#markets / #rates / #money take your copy: www.tradingview.com
123-days of correlation still exist: INDEX:BTCUSD vs AMEX:ARKK
🟢 +20%: #Buy Stop NYSE:CLF @18.77 / TP 22.61 / SL 17.49
🟢 +10%: #Buy Stop NYSE:CE / TP 154.48 / SL 135.24
🟢 +18%: #Buy Stop NYSE:CALX @33.45 / TP 39.33 / SL 31.49
🟢 +8%: #Buy Stop NYSE:AVY @164.03 / TP 177.05 / SL 159.69
🟢 +17%: #Buy Stop NYSE:AVNT @46.42 / TP 54.31 / SL 43.79
🟢 +11%: #Buy Stop NYSE:APAM @55.14 / TP 60.99 / SL 53.19
🟢 +18%: Buy Stop #ALB @187.26 / TP 221.13 / SL 175.97
A very stable upward channel was formed on NASDAQ:QQQ chart with more than 100 days length. Long position can be opened from the channel bottom side (currently level is ~262.6 ) with 7.8% potential profit within 2 weeks . The entry point is also supported by the 200MA on 1 hour timeframe. Stochastic oscillator at oversold level (< 30) will be an...
Long -term investment idea for ETF AMEX:SPY on potential 2nd COVID-19 market drop. SPY 40% profit / Long trade 241.98 -> 338.96 / TrailStop 48.49 of price amount Profit: 40%, Risk: 20%, Risk ratio = 1/2 Allocation: 30% of the portfolio See the full ETF balanced portfolio based on Yield/Risk maximisation in linked ideas: SPY - 30% allocation, 40% profit IHI -...
Long -term investment idea for ETF AMEX:IHI on potential 2nd COVID-19 market drop. IHI 23% profit / Long trade 225.39 -> 278.02 / TrailStop 26.32 of price amount Profit: 23%, Risk: 11.5%, Risk ratio = 1/2 Allocation: 15% of the portfolio All equities from our ideas was fundamentally checked and have good ratios (P/E, Debt/Equity, Sales past 5Y, Profit Margin)...
Long -term investment idea for ETF AMEX:VGT on potential 2nd COVID-19 market drop. VGT 41% profit / Long trade 194.23 -> 273.52 / TrailStop 39.65 of price amount Profit: 41%, Risk: 20.5%, Risk ratio = 1/2 Allocation: 15% of the portfolio All equities from our ideas was fundamentally checked and have good ratios (P/E, Debt/Equity, Sales past 5Y, Profit Margin)...
Long -term investment idea for ETF AMEX:VUG on potential 2nd COVID-19 market drop. VUG 59% profit / Long trade 127.20 -> 202.00 / TrailStop 37.4 of price amount Profit: 59%, Risk: 29.5%, Risk ratio = 1/2 Allocation: 25% of the portfolio All equities from our ideas was fundamentally checked and have good ratios (P/E, Debt/Equity, Sales past 5Y, Profit Margin)...
Long -term investment idea for ETF SOXX on potential 2nd COVID-19 market drop. SOXX 47% profit / Long trade 182.98 -> 269.57 / TrailStop 26.32 (Trailing Stop with _ below the market). Profit: 47%, Risk: 23.5%, Risk ratio = 1/2 Allocation: 15% of the portfolio All equities from our ideas was fundamentally checked and have good ratios (P/E, Debt/Equity, Sales...
Short-term trade idea for NASDAQ:CME : Long 184.66 -> 206,9 / Stop: 178.21 Profit: 12%, Risk: 3%, Risk ratio = 1/4 Size: 5% of portfolio Idea based on triangle pattern Stay tuned with more ideas and market signals with our Telegram-bot.