Buy signal Amzon Entry:209 SL:194 TP:256 R/R:3 #stock #amzn
Key Indicators On Trade Set Up In General 1. Push Set Up 2. Range Set up 3. Break & Retest Set Up Notes On Session # BJs Restaurants Inc. Stock Quote - Double Formation * (Area Of Value)) At 38.50 USD | Subdivision 1 * 22.50 USD | Completed Survey & Entry Bias | Subdivision 2 - Triple Formation * Numbered Retracement | Uptrend Indication * WXY Wave | Subdivision 3 * Daily Time Frame | Trend Settings Condition Active Sessions On Relevant Range & Elemented Probabilities; European Session(Upwards) - US-Session(Downwards) - Asian Session(Ranging) Conclusion | Trade Plan Execution & Risk Management On Demand; Overall Consensus | Neutral
Bitcoin is currently consolidating near a support level and may bounce upward. A breakout above 104,103.66 could result in a strong upward move, with clear take-profit targets (TP1 and TP2). If the price falls below the 102,865.82 support, the bullish scenario might be invalidated.
A great opportunity to buy Apple stock Entry:230 SL:220 TP:270 R/R:4 #STOCK #AAPL
Ich gehe davon aus dass die große Korrektur bei Euro beendet ist . Aktuell kann man Long einsteigen.
ETH recently completed the second wave with a price of USD 2129. Currently, the bottom of the second wave of the third wave has been completed at USD 2926. ETH is now on the verge of completing the second wave of the third wave, which is currently at around USD 3130. This enables the start of the third wave of the third wave. ETH hat kürzlich die zweite Welle mit einem Preis von 2129 US-Dollar ergänzt. Aktuell wurde der Boden der zweiten Welle der dritten Welle bei 2926 US-Dollar ausgebaut. Nun steht ETH kurz vor dem Ausbau der zweiten Welle in der dritten Welle, die sich aktuell bei etwa 3130 US-Dollar befindet. Dies ermöglicht den Start in die dritte Welle der dritten Welle.
Let me talk about a topic today, a point that you might think to yourself after I say it, "What is this idiot saying?" Of course, I know. Let me explain it to you, then comment on your thoughts. Probability and uncertainty mean lack of knowledge, and this lack of knowledge and not knowing comes from lack of knowledge and experience. In short, when you are in the market and don't know which direction the trend is going to go, you are afraid. This is the same psychological problem that arises from not knowing, and this means that you are weak in analyzing the trend. The result is that when you don't make mistakes in your analysis, everything goes well from zero to one hundred. So we don't know something, we don't know how to do something, we have to learn it, we have to make sure that there is something incomprehensible about it.
Reliance Industries Ltd. engages in hydrocarbon exploration and production, petroleum refining and marketing, petrochemicals, retail, FMCG, and telecommunications, Digital Entertainment and Media. Reliance is one of the biggest Indian companies and vivid sectoral presence. Reliance Industries Ltd. CMP is 1302.35. The Positive aspects of the company are Company with Low Debt, Company with Zero Promoter Pledge, Annual Net Profits improving for last 2 years. The Negative aspects of the company are high Valuation (P.E. = 25.5) and Declining Net Cash Flow. Entry can be taken after closing above 1303 Targets in the stock will be 1355, 1378, 1414 and 1451. The long-term target in the stock will be 1522 and 1556+ Stop loss in the stock should be maintained at Closing below 1184. Disclaimer: The above information is provided for educational purpose, analysis and paper trading only. Please don't treat this as a buy or sell recommendation for the stock or index. We do not guarantee any success in highly volatile market or otherwise. Stock market investment is subject to market risks which include global and regional risks. I or my clients might have positions in the stocks that we mention in our posts. We will not be responsible for any Profit or loss that may occur due to any financial decision taken based on any data provided in this message. Do consult your investment advisor before taking any financial decisions. Stop losses should be an important part of any investment in equity.
Comprehensive OKB/USDT Analysis ? Introduction: The OKB token, native to the OKX exchange, is currently moving within a well-defined ascending channel. This analysis examines the price behavior within the channel and highlights Fibonacci targets. Precision in decision-making is crucial at this key juncture. ? Technical Analysis: 1️⃣ Ascending Channel Status: Current Movement: The price, after hitting the midline of the ascending channel, has entered a correction phase and reached the daily support zone at $42.85 - $44.53. Channel Significance: The ascending channel is a critical structure for OKB. A breakout to the upside will face resistance but could trigger a strong bullish move if successful. 2️⃣ Possible Scenarios: A. Bullish Scenario (Resistance Breakout): Key Resistance Zone: $59.52 - $68.95 Fibonacci Targets in the Ascending Channel: 1.618 Level: $95.15 - $113.84 2.272 Level: $145.12 - $173.63 2.618 Level: $192.96 - $230.87 Sharp Movement: A breakout above the channel could lead to a rapid and powerful move toward higher targets. B. Bearish Scenario (Resistance Rejection): If the price fails to break the red resistance zone, a decline toward the channel bottom and the gray support zone ($32.07 - $35.57) becomes likely. 3️⃣ Relative Strength Index (RSI): Current Position: RSI is within a descending channel, sitting near its midline. Bullish Potential: Support at this level could strengthen the move toward the channel’s top and higher targets. ? Recommended Entry Points: Safest Entry: After a breakout above the red resistance zone ($59.52 - $68.95) and price consolidation above it. Stop Loss: Below the gray support zone ($32.07 - $35.57). Volume Confirmation: A valid breakout must be accompanied by an increase in buying volume. Breakouts without volume confirmation are likely to be false. ⚠️ Key Risk Management Tips: Stop Loss: Ensure stop-loss orders are placed within the suggested zones. Confirmation: Wait for a valid breakout and price stabilization before entering a trade. Capital Management: Adjust trade size based on the sensitivity of the analysis to effectively manage risk. ✨ Final Conclusion: Bullish Scenario: If RSI support holds and buying volume increases during the resistance breakout, the price may move toward higher Fibonacci targets. Bearish Scenario: Failure to break the resistance could lead to a price drop toward the channel’s bottom and the gray support zone. ? Recommendation: To minimize risk, only enter trades after observing a valid breakout and price stabilization in key zones. Decisions based on volume confirmation and breakout validations are crucial in this analysis. ? Note: This analysis is based on current market data and requires continuous monitoring for updates.
SPELL Token from the popular Abracadabra MIM ecosystem has broken out of strong correlation with SHIB which should result in gains to SHIB; typically, when one moves the other follows. I am thus LONG on SHIB as a breakout to the upside is statistically probable.