Latest News on Suche.One

Latest News

NZDCAD 1H 15/02 AM

Moving sharply upwards with IeC potentially forming an MTop.

Ogtry

Og is above The cloud It will break all resistance BTC is stucking with the same price when that happens every time price will be pumped. Now we are n the historical alt season begging Targets on the chart cheers You can also follow me on telegram and the twitter BINANCE:BTCUSD BINANCE:OGTRY

TESLA looks ready on the daily. Still some risk that it's a trap

Tesla looks good on the Daily, great on the weekly and monthly Stochastic Momentum Index just triggered a buy Trend Trader still shows bearish momentum, yet Trend Trader is bullish on the Weekly, which matters even more Great that this week was just a huge wick

ORDI Reversal....possible or not!!!!!

The Ordinals protocol has garnered attention for integrating NFTs into the Bitcoin ecosystem, allowing for the creation of unique digital assets known as "Ordinal Inscriptions" on satoshis There you have a full cycle. A bullish impulse followed by a long-term correction. After this long-term correction, a new cycle can develop. The next move is a bullish move, a bullish wave, a bullish trend. Higher highs and higher lows; long-term growth. 1️⃣ Break Above EMA 20 & SMA 50 – Reclaiming $14.50+ with volume would be an early sign. 2️⃣ Higher Lows & Higher Highs – A HL above $12 and a HH above $14.50-15 would confirm trend reversal. Key Considerations for Entry: ✅ Current Price (~$12.67) Near Historical Support – ORDI is near a major correction low, making it an attractive entry if accumulation is happening. ✅ RSI Showing Strength – A bullish RSI divergence hints at possible momentum shift. ✅ Market Structure Reset – If ORDI breaks above $14.50–15 with strong volume, it signals a new uptrend. Potential Trade Plan: ? Aggressive Entry: Accumulate near $12–$13 with a stop-loss below the recent low (~$11). ? Conservative Entry: Wait for a break above $15 (confirming trend shift) before entering. ? Profit Targets: $25, $50, $100, and $252 (long-term).

Analyse zu J.P. Morgan Chase (JPM)

1️⃣ Einschätzung des Managements ?? Laut der jüngsten Aussagen des Managements sieht JPMorgan sowohl Risiken als auch Chancen für die Zukunft: ? Risiken: Wirtschaftliche Unsicherheit ?⚠️ Geopolitische Spannungen und wirtschaftliche Abschwünge könnten das Geschäft belasten. Zinsumfeld ?? Schwankende Zinssätze könnten das Nettozinseinkommen (NII) beeinflussen. Regulierungen ⚖️ Strengere Kapitalanforderungen (Basel III) könnten Auswirkungen haben. Kreditrisiken ?? Potenzielle Risiken im Bereich Gewerbeimmobilien und Verbraucherkredite. ? Chancen: Starke Konsumenten- & Unternehmenslage ?? Widerstandsfähige Verbraucher und profitable Unternehmen bieten Wachstumspotenzial. Investment Banking & Kapitalmärkte ?? Erhöhte M&A- und Underwriting-Aktivitäten können das Geschäft stärken. Technologische Innovationen ?? Weiterentwicklung digitaler Finanzdienstleistungen und Fintech-Integration. Internationale Expansion ?? Wachstum in globalen Märkten, insbesondere im Zahlungsverkehrsbereich. ? Das Management bleibt vorsichtig optimistisch und setzt auf eine starke Bilanz, technologischen Fortschritt und globale Expansion, um zukünftige Herausforderungen zu meistern. 2️⃣ Fundamentalanalyse ? Umsatz pro Aktie: $58.07 ? Gewinn pro Aktie (EPS): $20.35 ? Operative Marge: 35.04% ? EPS-Wachstum: 20.66% im letzten Geschäftsjahr ? ? Gewinnprognosen für das aktuelle Jahr: Basierend auf dem EPS-Wachstum und den aktuellen Marktbedingungen wird ein weiteres Wachstum erwartet. ? Verschuldung, Cashflow & Dividendenpolitik: JPMorgan hat eine starke Bilanz und ist bekannt für seine zuverlässigen Dividendenausschüttungen. 3️⃣ Bewertung & Fair Value ? KGV (P/E Ratio): 11.78 ? KUV (P/S Ratio): 4.13 ? P/B Ratio: 2.00 ? PEG-Ratio: Nicht direkt verfügbar, aber das KGV in Relation zum EPS-Wachstum deutet auf eine faire Bewertung hin. ? Fair Value auf Basis eines DCF-Modells: Das aktuelle KGV deutet auf eine faire Bewertung im Vergleich zum Sektor hin. ⚖️ Aktueller Kurs vs. Fair Value: Der aktuelle Kurs scheint im Einklang mit dem fairen Wert zu stehen. 4️⃣ Technische Analyse ?? Aktueller Kurs: $276.59 ? 52-Wochen-Hoch: $279.23 ? 52-Wochen-Tief: $176.15 ? Der aktuelle Kurs nahe dem 52-Wochen-Hoch deutet auf eine starke technische Position hin. 5️⃣ Wettbewerbsanalyse & Moat ?? ? Vergleich mit direkten Konkurrenten: Bank of America & Citigroup sind Hauptkonkurrenten. JPMorgan hat eine stärkere Marktposition und höhere Margen. ? Wettbewerbsvorteile (Moat): Starke Marke & Vertrauen ? Diversifiziertes Geschäftsmodell ? Technologische Innovationen ? ⚠️ Risiken: Strenge Regulierung ⚖️ Makroökonomische Unsicherheiten ? 6️⃣ SWOT-Analyse ? Stärken ? ✅ Globale Präsenz ? ✅ Starke Bilanz & Finanzkraft ? Schwächen ⚖️ ❌ Regulierungsdruck Chancen ? ✅ Digitalisierung ? ✅ Wachstum in Schwellenländern ? Risiken ⚠️ ❌ Wirtschaftliche Unsicherheiten ? ❌ Cybersecurity-Bedrohungen ? 7️⃣ Investmentstrategie nach Zeithorizont ⭐ Kurzfristig (0-6 Monate): ? ⭐⭐⭐ Potenzial für kurzfristige Gewinne. Mittelfristig (6-24 Monate): ? ⭐⭐⭐⭐ Wachstumschancen durch Digitalisierung. Langfristig (2+ Jahre): ? ⭐⭐⭐⭐⭐ Stabile Buy-and-Hold-Option für langfristige Investoren. 8️⃣ Cash-Secured Put (CSP) Levels ? Volatilitätsanalyse: JPMorgan hat eine moderate Volatilität. Ideale Strike-Preise für CSPs: Interessant knapp unter dem aktuellen Kurs für Prämienstrategie. 9️⃣ Insideraktivitäten & Institutionelle Investoren ? Insideraktivitäten: Keine relevanten Veränderungen bekannt. Top-Institutionelle Investoren: Starke institutionelle Unterstützung. ? Fazit: Kaufen, Halten oder Verkaufen? ? ? JPMorgan Chase & Co. ist eine solide langfristige Investition! Halten oder Kaufen – abhängig von der Strategie. ? ? Strategien für verschiedene Anlegertypen: Trader: Kurzfristige Gewinne durch technische Stärke. Langfristige Investoren: Stabilität & Wachstumspotenzial nutzen. ? Besondere Risiken & Chancen: Risiken: Strenge Regulierung & wirtschaftliche Unsicherheiten ⚠️ Chancen: Digitalisierung & globale Expansion ?

Der "Cami Cut" ist die pflegeleichteste Trendfrisur des Jahres – und wächst auch ohne Nachschneiden perfekt nach

Ein neuer Schnitt, aber dafür monatelang schönes Haar: Das gelingt mit dem neuen “Cami Cut” – ein Konzept, das zu kurzen, mittellangen und langen Haaren passt.

Harmonic Pattern Trading: Ultimate Guide for 2025

Harmonic trading is a powerful price action-based strategy that uses Fibonacci ratios to identify high-probability reversal zones. These patterns fall under XABCD structure, meaning they have five key points (X, A, B, C, and D) and rely on Fibonacci retracements and extensions. By mastering harmonic trading, you can identify trend reversals early and achieve higher win rates compared to traditional technical analysis methods. ? Key Principles of Harmonic Trading 1️⃣ Structure of Harmonic Patterns (XABCD) All harmonic patterns follow the same five-point structure: X → A: The initial move. A → B: The first retracement. B → C: A counter move. C → D: The final leg, forming the Potential Reversal Zone (PRZ). 2️⃣ Fibonacci Ratios in Harmonic Patterns Harmonic trading is Fibonacci-driven, meaning each pattern is defined by specific retracement and extension levels: Common Fibonacci Retracements: 38.2%, 50%, 61.8%, 78.6%, 88.6% Common Fibonacci Extensions: 127.2%, 141.4%, 161.8%, 200%, 224%, 261.8% 3️⃣ Potential Reversal Zone (PRZ) The D-point of the pattern is where price is expected to reverse. This PRZ zone is validated by Fibonacci confluence, support/resistance, and other confirmation signals (RSI, MACD, divergence, etc.). Entry: Around D-point reversal confirmation Stop Loss: Beyond the PRZ invalidation zone Take Profit: Based on Fibonacci extension levels (often 61.8%, 100%, or 161.8% retracements). ? Primary Harmonic Patterns & Their Structure 1️⃣ Gartley Pattern ? ✅ Most popular & reliable harmonic pattern ✅ Predicts trend continuation or reversal ✅ Respects 61.8% Fibonacci retracement from XA Gartley Pattern Structure: AB = 61.8% retracement of XA BC = 38.2% or 88.6% retracement of AB CD = 78.6% retracement of XA D-point PRZ → Strong reversal expected ? Trading Tip: Look for confluence with trendlines, supply-demand zones, and RSI/MACD divergence. 2️⃣ Bat Pattern ? ✅ High-probability reversal setup ✅ Stronger deep retracement of XA compared to Gartley ✅ Ideal for trend continuation & reversal trades Bat Pattern Structure: AB = 38.2% or 50% retracement of XA BC = 38.2% or 88.6% retracement of AB CD = 88.6% retracement of XA D-point PRZ → Expect strong reversal ? Trading Tip: Bat patterns often provide low-risk entries with tight stop losses due to their deep XA retracement. 3️⃣ Butterfly Pattern ? ✅ Predicts deep trend reversals ✅ Used for aggressive counter-trend trades Butterfly Pattern Structure: AB = 78.6% retracement of XA BC = 38.2% or 88.6% retracement of AB CD = 127.2% or 161.8% extension of XA D-point PRZ → Strong trend reversal expected ? Trading Tip: Butterfly PRZ zones are more extended, so look for price exhaustion & divergence before entering. 4️⃣ Crab Pattern ? ✅ The most extended harmonic pattern ✅ Strong 161.8% XA extension creates powerful reversals Crab Pattern Structure: AB = 38.2% or 61.8% retracement of XA BC = 38.2% or 88.6% retracement of AB CD = 161.8% extension of XA D-point PRZ → Extreme overextension, likely strong reversal ? Trading Tip: Use confluence with key support/resistance levels & volume analysis to confirm reversals. 5️⃣ Deep Crab Pattern ? ✅ More reliable version of the Crab Pattern ✅ D-point extends further for deeper pullbacks Deep Crab Pattern Structure: AB = 38.2% or 61.8% retracement of XA BC = 38.2% or 88.6% retracement of AB CD = 224% - 261.8% extension of XA D-point PRZ → Strong reversal expected ? Trading Tip: Similar to the Crab, but requires stronger confirmation signals before entry. 6️⃣ Cypher Pattern ? ✅ High accuracy harmonic pattern ✅ Faster entries compared to other patterns Cypher Pattern Structure: AB = 38.2% to 61.8% retracement of XA BC = 127.2% to 141.4% extension of AB CD = 78.6% retracement of XA D-point PRZ → Price reversal likely ? Trading Tip: Look for RSI/MACD divergence at the D-point for added confirmation. 7️⃣ Shark Pattern ? ✅ Newer harmonic pattern variation ✅ Similar to Crab but uses different Fibonacci rules Shark Pattern Structure: AB = 113% - 161.8% extension of XA BC = 113% - 161.8% extension of AB CD = 88.6% retracement of XA D-point PRZ → Strong reversal expected ? Trading Tip: Shark patterns often appear before larger trend reversals, so they work well for early trend detection. ? Advanced Harmonic Patterns Overview ? 3-Drives Pattern Predicts the end of trends using 3 equal price movements Each drive follows Fibonacci retracements/extensions Strong reversal happens after the 3rd drive completes ? Alternate Bat Pattern Similar to Bat but has a deeper B-point retracement (50% of XA instead of 38.2%) More accurate for identifying trend continuation trades ? White Swan & Black Swan Developed by harmonic trading expert Scott Carney Similar to the Crab, but focuses on psychological market structure ? How to Trade Harmonic Patterns Successfully Step 1: Identify the Pattern & PRZ Use harmonic pattern scanners or manual Fibonacci tools. Step 2: Wait for Reversal Confirmation Look for candlestick patterns (pin bars, engulfing candles). Check RSI, MACD, and volume divergence. Step 3: Place Your Trade Entry: Once price reacts at PRZ. Stop Loss: Beyond PRZ invalidation level. Take Profit: Fibonacci retracement levels (38.2%, 61.8%, 100%, 161.8%). ? Summary – Why Harmonic Trading Works ✅ High accuracy when Fibonacci ratios are respected ✅ Works across all timeframes (forex, stocks, crypto, indices) ✅ Combines price action, Fibonacci, and confluence factors If you master these harmonic patterns, you'll consistently spot reversals early, maximize profits, and minimize risks! ??

Is BTC ready to go higher?

BTCUSD on the 4-hour timeframe is showing signs of contraction within a descending channel, indicating potential accumulation before a breakout. The price has been testing the descending trendline resistance, with multiple touches of the outer zone, suggesting buyers are stepping in and attempting to establish higher lows. Volume remains moderate, but a breakout above $98,304 could lead to a test of the next major resistance at $102,000, signaling a shift in momentum. The RSI is hovering near the midline, showing a balanced market without extreme overbought or oversold conditions, leaving room for a strong move in either direction. If BTC fails to break out, a retest of lower support near $94,000-$95,000 could occur, but given the price compression and trendline pressure, a breakout appears increasingly likely. Disclaimer: This analysis is for educational purposes only and should not be considered financial advice. Trading and investing involve risk, and independent research or consultation with a professional is recommended before making any financial decisions.

btc best sell zone

btc best sell zone Not financial advice trade and manage your own risk .

Voice of reason BTC

Two scenarios are in play right now: 1. We are long past the distribution phase—“smart money” has exited, and a “lower high” is forming this week before fear and capitulation set in. 2. We are in the last stage of the bull run, with one more blow-off top expected around $114,000–$120,000. Either way, if you are long, I suggest taking profits or partially closing margin positions. The bull run is not over, but the market needs a correction. Spring and summer are likely to be bearish/accumulation phases, with Bitcoin’s final top expected in autumn. The same applies to altcoins—you might not see significant growth until Bitcoin tops toward the end of the year. In all cycles alt season started when BTC.D was already going down BTC made a blow of top and then alt-coins made their run. Rotation of money needs to happen. None of the cycle peak indicators have turned green yet, so I’m confident we will see another Bitcoin top, but it might not happen right now. Take a close look at your portfolio and assess how you can profit before either of these two scenarios plays out. Avoid FOMO—it could end very badly. Stay safe! Not financial advice ;)