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CAD/JPY For Bearish

you can go short now or wait for pull-back near by entry point and then go short general trend is up trend current phase is pull-back have fun :)

FCPO Week 14 2025: Retracement before going BEARISH.

Price went higher today and this might be only a retracement before going lower again. For the remaining of the week, price might consolidate a bit before having any momentum to continue lower. If it indeed going lower, price will up the gaps before targeting TP1. Depending on price action TP2 is a possibility. For price to fully go bullish, a close above 6600 is required.

POTENTIAL SHORT TRADE SET UP FOR CHFJPY

Analysis: Utilizing chart patterns, highs & lows, and impulses & corrections, the focus is on identifying a continuation corrective structure following a breakout. Entry: The price has reached the upper boundary of a higher time frame (HTF) bearish continuation structure, approaching this zone with an ascending wedge on the mid time frame (MTF). On the lower time frame (LTF), a bearish impulse has developed, and we will be watching for a continuation pattern to pinpoint a potential entry point for the trade. Expectation: A downward move is anticipated, targeting the lower boundary of the HTF bearish continuation structure. ⚠️ Reminder: Always conduct your own analysis and apply proper risk management, as forex trading involves no guarantees. This is a high-risk activity, and past performance is not indicative of future results. Trade responsibly!

(XAU/USD) 15-Minute Chart Analysis – April 2, 2025

Market Structure & Key Zones Current Price: 3,124.24 Selling Zone: 3,143.07 - 3,148.98 Buying Zone: 3,077.10 - 3,083.68 Observations & Key Market Behavior: Compression Pattern: Price is forming a descending triangle/consolidation range, indicating a possible breakout soon. Liquidity is building up on both sides. Potential Trade Scenarios: ? Bearish Scenario (Preferred) If price moves into the 3,143 - 3,149 supply zone, watch for rejection. Ideal Entry: A break of structure at this zone with a strong bearish reaction. Target: 3,094.63, then 3,083.68 demand zone. ? Bullish Scenario (Alternative) If price moves into the 3,077 - 3,083 demand zone, expect a bounce. Ideal Entry: Confirmation via bullish price action (engulfing candles, wicks, etc.). Target: 3,143.07, possibly higher to 3,148.98 before a reversal. Key Takeaways: ✔ Current Price Action is Ranging → Breakout needed for clarity. ✔ High-probability Sell Setup at Supply (3,143 - 3,149) ✔ High-probability Buy Setup at Demand (3,077 - 3,083) ? Best Play: Wait for price to enter either zone before taking action! ?

Gold price falls, short sellers make big profits

Yesterday, gold fell under pressure at 3150 and then tested the 3100 mark again in the evening, breaking the previous trend line that had been rising for several days. The market gradually slowed down from strong bullish trend, and the daily line turned negative. Don’t expect the market to turn to bearish and fall sharply at this point. The long-short conversion needs time to brew, and now it is still a bullish trend, so the probability of forming a volatile trend here is relatively high, with a range of 3138-3100. Only when it breaks below 3100 can we see the market turning to bearish. If the daily line is just a single negative correction, it will not change the overall upward trend. It depends on whether it can continue to close negative today. The previous trend line support broke and turned into a pressure line, basically coinciding with the 3135-3138 first-line pressure line. The three consecutive positive waves this morning just touched it. The key depends on the performance of the European session: If the European session suppresses the decline and weakens, then the third test of 3100 may break. If the European session continues to strengthen and break through 3138, it will also hit the high point of 3148-3149 In terms of trading, a total of three orders were operated yesterday: 1. In the morning, it directly rose and broke the high, aggressively chased more at 3132, and stopped profit at 3145; 2. After the afternoon, it fell back to 3133 and continued to buy more. The callback was too large and stopped loss at 3125; 3. The European session rebounded several times without success and remained sideways. At night, it was lightly short at 3132, and automatically stopped profit at 3110 around midnight.

ETH-----Sell around 1900, target 1820 area

Technical analysis of ETH contract on April 2: Today, the large-cycle daily level closed with a small positive line yesterday, and the K-line pattern was a single positive line with continuous negatives. The price was at a low level, and the attached indicator was a golden cross with a shrinking volume, but it can be seen that the fast and slow lines are still below the zero axis, which is an obvious price suppression, and the current pullback trend is only a correction performance, which is difficult to continue and difficult to break. This is the signal, so the downward trend remains unchanged; the correction trend of the four-hour chart for two consecutive trading days is also completed. At present, the K-line pattern is continuous negative, and the price is under pressure and retreats. Whether the European session can break down is very critical. The short-cycle hourly chart of the previous day's US session hit a high in the early morning and retreated under pressure in the morning. The current K-line pattern is a continuous negative and the attached indicator is dead cross running. It is still bearish during the day. The starting point is near the 1850 area. The European session depends on the breakout of this position. Therefore, today's ETH short-term contract trading strategy: sell at the pullback 1900 area, stop loss at the 1930 area, and target the 1820 area;

Mara has entered an extended bear cycle

I do not expect Mara to change trend until at least September 2025, which is based on past data. There will most likely be a push up to the 50 SMA/EMA at some point in the future but It will most likely be rejected , which has happened in the past. Mara is only good for day and swing trading and any long term investment will just fester for months. I have higher confidence that all targets will be hit during this time. I will update when there is an actual trend change.

Solana Best Buying Zone

As crypto markets crashed , Solana is now on its weekly Support zone followed by Monthly support zone . Simple SnR concept is applied here .

INTO INDIA SERIES EP1: ADANI'S CURRY

LIKE COMMENT FOLLOW "for more nifty comment india" Mumbai is the new New York with increased activity says some US news source i read last year So lets see whats going on outside of trumpville Technical price is downtrending currently at a point in the downtrend where so many different resistances and zones are intersecting like the past lower highs if you think my target is ludacris look at 09/01/23 youd call anyone that forecasted that crazy too but that was breaking news... even though there was a BoS and continuation the stock price hadnt been the same since looking so unatural range spike in a week range spike in a week no steady progress i wont speculate beyond the charts but like jan 3 2023 ..... Investor sentiment is often heavily influenced by news and reports, especially negative ones. The market has reacted strongly to the Hindenburg allegations, the volatility of the stock market, and overall uncertainty in global markets among recession fears. this was interesting who knew there was life outside new york this is like a drama cooking books of accounts "allegedly" like its curry bro was brewing something in hes pot TATA CHEM ANALYSIS https://www.tradingview.com/chart/TATACHEM/kyAK83Ql-TATACHEM-FORECAST-FY24-FY26-HOT-DZAMN-THE-COMEBACK-KID/ A.I take for the drama lovers The stock performance of Adani Enterprises has been influenced by a combination of factors, both internal and external. Here's a breakdown of the key factors at play: ### 1. **Corporate Governance and Financial Practices** - **Scrutiny Over Financial Practices**: One of the major issues surrounding Adani Enterprises is its corporate governance. Critics have raised concerns over the group's financial transparency and related-party transactions. These issues have led to concerns about the sustainability of the group's business model. - **Debt Levels**: The Adani Group, including Adani Enterprises, has been under scrutiny for its high levels of debt. Investors are wary of the risks associated with the group’s ability to service its debt amid market uncertainty. - **Hindenburg Report**: In January 2023, the Hindenburg Research report accused the Adani Group of stock manipulation and accounting fraud. This report caused a sharp drop in the stock price of Adani Enterprises, triggering investor fears. The group has denied these allegations, but the controversy lingers. ### 2. **Market Conditions** - **Broader Market Volatility**: As with many companies, Adani Enterprises' stock price is affected by the broader market environment. Economic uncertainty, rising interest rates, inflation, and shifts in global market sentiment can all affect stock prices. - **Global Economic Conditions**: Being a large conglomerate with interests in infrastructure, energy, and ports, Adani Enterprises is also sensitive to global supply chain issues, commodity price fluctuations, and changes in government policy. ### 3. **Political Factors** - **Government Relations**: The Adani Group is often seen as having strong political ties in India, especially with the ruling party. This has been both a strength and a point of contention. On one hand, it has helped the company secure major contracts and government projects; on the other hand, it has drawn criticism regarding favoritism and crony capitalism. - **Regulatory Scrutiny**: Increased regulatory scrutiny, especially after the allegations mentioned in the Hindenburg report, has led to greater risk for the company. The government’s stance on such matters, including potential investigations into corporate practices, could also have an impact on stock performance. ### 4. **Operational Challenges and Market Sentiment** - **Diversification Efforts**: Adani Enterprises is a diversified conglomerate with businesses spanning ports, energy, agriculture, real estate, and more. While diversification can be a strength, it can also expose the company to risks in various sectors, each with its own challenges. - **Market Sentiment**: Investor sentiment is often heavily influenced by news and reports, especially negative ones. The market has reacted strongly to the Hindenburg allegations, the volatility of the stock market, and overall uncertainty in global markets. ### 5. **Impact of Corporate Practices on Stock** - **Corporate Practices Impact**: The corporate practices of Adani Enterprises have indeed had a significant impact on the stock. The allegations of fraudulent activities and questionable financial dealings have led to a loss of investor confidence. Trust in a company's management is crucial for stock performance, and doubts regarding the company's transparency and ethics can lead to stock sell-offs. - **Investor Confidence**: If investors feel uncertain about a company’s leadership and practices, they may choose to sell their holdings or avoid buying, which can lead to a decrease in stock price. Adani Enterprises has faced significant outflows from institutional investors as a result of these concerns. ### In Conclusion: Yes, corporate practices, especially concerns over governance and transparency, are having a significant impact on Adani Enterprises' stock. While market conditions and global factors also play a role, the company's internal issues—particularly related to its financial management and corporate governance—have created volatility and uncertainty. This has contributed to the stock price fluctuations and led to decreased investor confidence in the short term. However, the long-term impact will depend on how the company addresses these issues and whether it can restore confidence among investors.

“Ich bin Fashion Editor, und diese 6 zeitlosen (und easy!) Styling-Tipps sind für mich der Schlüssel für guten Stil”

Zeitlose Trends, die ihr Investment wert sind? Easy Styling-Kniffe, um stilvolle Looks zu kreieren? Fashion Editor Madeline verrät ihre Tipps für einen guten Stil.