Die Zölle für China werden vermutlich kommen. Wenn das 60% für China werden, dann verkaufen die so gut wie nichts mehr in die USA. Sie brauchen also andere Absatzmärkte. Die chinesische Regierung hat bereits begonnen den Inlandskonsum zu stimulieren. Sie werden das verstärken, koste es was es wolle. Wer profitiert davon? Inländische Handelsriesen wie BABA oder JD. Deren Umsatz wird steigen. Strategie: Kauf einer kleineren Position. Warten bis der chinesische Aktienmarkt abstürzt mit der Verkündung der Zölle. Dann diese verstärkt billig einsammeln.
Tesla befindet sich aktuell in einer entscheidenden Phase, und zwei mögliche Szenarien zeichnen sich ab: Szenario 1: Marginal tieferes Tief in die Unterstützungsbox Der Kurs könnte noch ein marginal tieferes Tief erreichen und in die markierte Unterstützungszone zwischen 348,02 und 380,41 Punkten fallen. Diese Zone dient als potenzieller Wendepunkt, von dem aus eine letzte Aufwärtsbewegung in Richtung der Welle 5 der Welle C oder III starten könnte. Szenario 2: Direkte Aufwärtsbewegung Sollte der Kurs die Unterstützungszone nicht mehr antesten, könnte der aktuelle Bereich bereits als Ausgangspunkt für die nächste Aufwärtsbewegung dienen. Diese Bewegung würde das Ziel zwischen 559,82 und 611,36 Punkten ansteuern, was entweder der Welle 3 oder Welle C entspricht. Haftungsausschluss: Diese Analyse dient ausschließlich zu Informations- und Bildungszwecken und stellt keine Anlageberatung dar. Jegliche Entscheidungen basieren auf dem eigenen Risiko des Traders.
Ihr würdet gerne mehr sparen, aber es fällt euch schwer? Die “52 week savings challenge” könnte euch den passenden Impuls geben. So funktioniert die Methode.
Hi guys , today we are going to overview one of the retail giants COSTCO. Fundamentals : Revenue Growth and Profitability : Consistent Revenue Growth: Costco has demonstrated steady revenue growth, driven by an expanding membership base, increased same-store sales, and international expansion. Profit Margins: While Costco operates with low gross margins due to its focus on low pricing, its operating margins benefit significantly from recurring membership income. This structure ensures financial stability even in competitive environments. Financial Health: Balance Sheet Strength: Costco has a strong balance sheet with manageable debt levels and ample liquidity. Its ability to generate robust free cash flow supports both operations and shareholder returns. Dividend Growth: Costco pays a reliable dividend, which has seen consistent growth over the years. Additionally, the company occasionally issues special dividends, highlighting its commitment to returning value to shareholders Valuation Metrics: Price-to-Earnings (P/E) Ratio: Costco often trades at a premium valuation compared to peers due to its consistent performance and strong brand equity. Price-to-Sales (P/S) Ratio: Reflecting its robust revenue generation capabilities, Costco’s P/S ratio is higher than the retail industry average but supported by predictable growth. And some potential risks : Thin Margins: Costco’s low-margin strategy leaves little room for error, and rising costs (e.g., labor, logistics) could pressure profitability. Economic Sensitivity: While generally resilient, Costco could face challenges if economic conditions significantly impact discretionary spending or if competition intensifies. Foreign Exchange Risk: With international operations, Costco is exposed to currency fluctuations that could affect earnings. Technical analysis : The company has been running on a very healthy uptrend throughought 2024 and has had 4 green earning seasons which gives a positive bullish trend conversion,with analysists focusing on another green earnings in their Q4 report this gives us the necessary confirmations for a up-trend: Entry has been made at : 921 Target will be above the ATH : 1030 As always my friends happy trading! P.S. If you have questions or inquiries about one of my existing set-ups or personal questions / 1 on 1 sessions consider joining my community so you can follow up with me in private!
WHSELFINVEST:COPPER Copper's Bullish Momentum: Key Levels and Fibonacci Targets Analysis: The chart displays the 4-hour price action of Copper (CFDs on Copper) with several key indicators and annotations. The price has recently broken out of a consolidation phase, indicated by the Break of Structure (BOS) and Change of Character (CHoCH) annotations. The price is currently in an uptrend, evidenced by higher highs and higher lows. Key Levels: Resistance Levels: 4.33718, 4.33718 Support Levels: 4.19412, 4.08290, 4.01726 Fibonacci Retracement Levels: 0.382 (4.27901038), 0.5 (4.254595), 0.618 (4.23017962), 0.705 (4.21217845), 0.786 (4.19541874) Indicators: Volume Profile: Shows significant volume accumulation around the 4.19412 level, indicating strong support. Relative Strength Index (RSI): Currently at 75.60, suggesting overbought conditions but also indicating strong bullish momentum. Buy Strategy: Entry: Enter a long position at the current price level (4.34107) or on a pullback to the 0.382 Fibonacci level (4.27901038). Take Profit 1 (TP1): 4.33718 (58 pips) Take Profit 2 (TP2): 4.40000 (589 pips) Stop Loss (SL): 4.19412 (147 pips) Sell Strategy: Entry: Enter a short position if the price breaks below the 4.19412 support level. Take Profit 1 (TP1): 4.08290 (111 pips) Take Profit 2 (TP2): 4.01726 (177 pips) Stop Loss (SL): 4.254595 (60 pips) VIP Signal: Buy: 4.34107 TP1: 4.33718 (58 pips) TP2: 4.40000 (589 pips) SL: 4.19412 (147 pips) Sell: 4.19412 TP1: 4.08290 (111 pips) TP2: 4.01726 (177 pips) SL: 4.254595 (60 pips) Follow @Alexgoldhunter for more strategic ideas and minds This analysis leverages Price Action, Smart Money Concepts (SMC), and ICT Elliott Wave strategies to provide comprehensive buy and sell strategies. The identified levels offer optimal entry and exit points for traders.
Congratulations! Trade Result 1. Market: BTC/USD 2. Target: $95,000 3. Result: TARGET HIT 4. Status: SUCCESSFUL Enjoy your profit! Well done!
As we approach NFP release, this is developing on $GBPUSD. the price went above the accumulation phase as indicated by the red box, thereafter, we saw lower prices until yesterday when distribution phase ended. Now we seeing triggers of price reversal aided by SMT with $EURUSD. I expect price to go higher from 1.228300 area targeting the previous week's high. Buy!
Hello TradingView Family / Fellow Traders. This is Richard, also known as theSignalyst. ? After being stuck in an accumulation phase for almost two years, SQ has finally broken above its range. The shift in momentum is now confirmed in favor of the bulls, with the price trading within the rising channel marked in blue. ? As SQ retests the lower blue trendline, I will be looking for trend-following long positions, targeting the $200 round number. ? Always follow your trading plan regarding entry, risk management, and trade management. Good luck! All Strategies Are Good; If Managed Properly! ~Rich
The US Federal Reserve (Fed) will clings to data of NFP print, combined with these other data, this could drive the market pricing of the Fed's next policy action. today will be full volatility Average Hourly Earnings m/m 0.3% 0.4% USD Non-Farm Employment Change 164K 227K USD Unemployment Rate
GBP/USD triple bottom 1.500 area 4 years Fib retrace fib ext