EURGBP BUY SIGNAL EURGBP
I neither trade the news nor any SMC or chart patterns, etc. I trade solely and exclusively based on algorithmic structure. According to the algorithm, a long swing trade is warranted here. I have mentioned the entry level and TP (Take Profit) and SL (Stop Loss) below.
BUY
ENTRY = 0.84345
STOPLOSS = 0.84042
TARGIT 1 = 0.84991
TARGET 2 = 0.85400
TARGET 3 = 0.86016
Growth
Smallcap short term investing idea - KRYSTALKrystal Integrated Services is an integrated facilities management service (FMS) company with a focus on healthcare, education, and public administration.
Started in 2000 with security services in Mumbai.
Expanded to become a full-fledged integrated facilities management company. Offers services in integrated facility management, security, staffing solutions, and catering. Serves various industries including pharma, manufacturing, airports, retail, etc.
Future Growth Strategy:
Aim to grow at 25-30% annually.
Focus on acquiring new business in sectors like manufacturing, healthcare, education, and waste management.
Plans to expand geographically to reduce dependence on Maharashtra and Tamil Nadu.
Emphasis on service efficiency, training, and recruitment to improve margins.
Operational Insights:
Majority of revenue comes from government contracts.
Contracts typically 3+1 year, with rebidding after the renewal period.
Renewal rate for government contracts at 65-70%.
Robust project selection criteria to ensure strategic bidding.
Plans to establish training centers in different geographies to enhance training capabilities.
Quant mutual fund has bought stock recently
Invest in 4 phases, starting now.
Expecting 1500+ levels in less than 18 months
LINKUSDTHi guys
It seems that we have an upward channelized trend. And currently, the ceiling of the RSI negative divergence channel has also been issued.
The support area of $17.24 is still preserved.
Provided that this support area and the upward trend line are maintained, there is a high possibility of forming an upward trend similar to the drawn upward scenario.
in case of breaking the upward trend line and losing the support range of $17.24; The downside scenario is more likely.
What do you think?
(JASMY) jasmyThe volume value of Jasmy right now is actually not so high that it is worrying. Surely there will be days when the price of crypto is like a weekend from work or even times when people get speculative. The three larger values of volume in comparison to the price lines on the graph itself. Where will the price go from here?
LIDR a technology penny stock LONGLIDR in the past week enjoyed a price and volume surge as can be seen on the 2H chart.
It is currently price at a discount of 99% off the prior ATHs of three years ago. LICR makes the
laser and vision systems to be used in self driving vehicles which is part of the story for TSLA
and others in terms of future growth including the concept of RoboTaxis. That is to say LIDR
is part of the supply chain for EVs and will play a role in their market penetration in future
years. I will take a long trade here and swing it into the next earnings period for LIDR. My initial
target is 4 with a stop loss at 3.25 to be raised as the price moves higher.
LMT a defense large cap dips for buyers LONGLMT has been flat sideways since a good earnings beat 5 weeks ago. Lockheed Martin as a
defense contractor is in a growth environment with the US supplying arms to Ukraine as well
a Isreal. Domestic stockpiles and those of NATO are somewhat depleted. The contraacts will not
catch up for years. Gone are the days of making face masks and gowns during COVID to keep
revenues flowing in. I see this 2% dip as a change to get a small discount on what should
be a stock with upside for some years to come. This is a long swing trade not expectant of
a 3-4% profit in a week. I expect to hold this at least until the next earnings if not through
the presidential elections where the defense and national security perspectives of the
incoming or returning president may be a factor in the fundamentals of defense contractors.
MNTS- Momentus secures federal contract LONGMNTS is now contracted with the Pentagon and NASA for space exploration work including
satellites and a space station pages.optimallivingdynamics.com
Traders and investors reacted in the past day or two. MNTS is currently priced at about 99.9 %
of its ATH of about $1250 three years ago. Accordingly, it is a penny stock with a potential
1000X upside. That is to say $ 1000 could become $1 M. 135 million shares traded in the past
day. Revenue increased 4X quarter to quarter. The Price X Volime Trend had and impressive
pop I will take a speculative long trade here for a long duration swing trade to see if
MNTS can launch higher.
NIO ? Are traders ready to love it again LONGNIO on the daily is 95% below its ATH Winter of 2021 and 50% lower YTD. In China NIO is
competing well with XPEV, LI , BYD and TSLA while it makes further penetrative into the
EU market. Its unique concept in action is battery leasing and battery swapping making
charging time no longer relevant. Apparently, the battery swapping time from a depleted
battery to one carrying a charge is 15-20 minutes. Being a bottom-seeking bargain hunter quite
often, I will take a long trade here with a planned duration of two earnings periods.
Is Gokul Agro Resources Ltd. a Good Opportunity to Buy?I'll highlight the key financial ratios and quality aspects that make this company an attractive investment opportunity. Financial Highlights:
Revenue Growth: GOKULAGRO has consistently demonstrated revenue growth, with a CAGR of 15.6% over the past three years. This indicates a strong demand for its products and services.
Profitability: The company has maintained a healthy profit margin, with a net profit margin of 8.4% in FY2022-23. This suggests that GOKULAGRO is able to generate significant profits from its operations.
Return on Equity (ROE): GOKULAGRO's ROE has improved significantly over the past three years, from 6.4% in FY2019-20 to 12.1% in FY2022-23. This indicates that the company is generating higher returns from its shareholders' equity.
Debt-to-Equity Ratio: GOKULAGRO's debt-to-equity ratio is relatively low, at 0.43, indicating that the company has a manageable debt burden.
Quality Aspects:
Management Team: The company has a strong and experienced management team, with a proven track record of driving growth and profitability.
Business Diversification: GOKULAGRO has diversified its business operations, with a presence in multiple segments, including agro-processing, food processing, and renewable energy. This reduces its dependence on a single segment and provides a stable revenue stream.
Innovation: The company has a strong focus on innovation, with a dedicated research and development team that is constantly working on new products and processes.
Technical Analysis:
I'll also walk you through my analysis and highlight the key technical indicators that suggest a strong trend is in place.
Daily Timeframe Analysis: The daily timeframe chart of GOKULAGRO shows that the stock is currently trading at an all-time high. This is a significant milestone, as it indicates that the stock has broken out of its previous resistance levels and is now trading in uncharted territory.
Midpoint Support Line: One of the key technical indicators that I've been following is the midpoint support line drawn at the midpoint of the long candle of 20 days. This line has been providing strong support to the stock, and it's likely to continue doing so.
Weekly Timeframe Analysis: When we switch to the weekly timeframe chart, we can see that the midpoint support line is also providing strong support to the stock. This is a significant confirmation of the trend, as it suggests that the stock is not only strong on the daily timeframe but also on the longer-term timeframe.
Trend-Catching Entry Opportunity: Given the strong support provided by the midpoint support line and the stock's all-time high, I believe that this is a potential trend-catching entry opportunity. The stock is likely to continue its upward trend, and buying at this level could provide a good entry point for investors. Key Takeaways:
GOKULAGRO is trading at an all-time high, indicating a strong trend.
The midpoint support line drawn at the midpoint of the long candle of 20 days is providing strong support to the stock.
The weekly timeframe chart also confirms the trend, with the midpoint support line providing strong support.
This is a potential trend-catching entry opportunity, with the stock likely to continue its upward trend.
Conclusion: Based on the financial highlights and quality aspects, I believe that Gokul Agro Resources Ltd. is a good opportunity to buy. The company's consistent revenue growth, healthy profit margins, and improving ROE make it an attractive investment opportunity. Additionally, its strong management team, business diversification, and focus on innovation provide a stable and sustainable growth trajectory.
Taiwan Semiconductor - Unknown stock with trading potentialNYSE:TSM is one of the rather unknown stocks with an impressive market capitalization of 680 billion dollars.
Just a couple of months ago TSM finally broke above a major previous resistance level and confirmed the bullish triangle breakout. Momentum is quite strong so far so maybe we will never see the previous structure again. In this case there is no need to actually chase the all time high. However, a pullback might still be quite likely and this might present an interesting long opportunity in the future.
Levels to watch: $130, $100
Keep your long term vision,
Philip - BasicTrading
DELL moves higher in continuation LONGDELL on the weekly chart shows its bullish trend which accelerated this past March as shown
on the Prive Volume Trend. The relative volume indicator shows some spiking blue volume
bars of buying volume = 3 of the 13 weeks in the past quarter. I see this as a long swing trade
or even an investment to hold at an easy to get into price compared with SMCI. DELL may be
a bit overbought and overextended but I am convinced it is for good reasons and that a trade
here will pay profit over time. The dip of 5% in the past trading day provides a good entry.
More All-Time Highs for the Stock MarketI’m just floored that the S&P 500 is well above 5000 and, now, steadily approaching 6000 level. What I find most interesting, is that if you read the average news headline or spend time on the Internet, you'll most likely walk away with a sense of dread i.e. something is wrong somewhere! Or, the world is in shambles. This all seems almost counterintuitive; while many people perceive the world as being in a dire state, the stock market is sending a completely different message. The market appears to be booming, which is a stark contrast to the widespread sentiment.
There is an important lesson in all of this.
First of all, the market's robust performance is supported by several factors that are bigger than any individual economic indicator. For example, technology continues to thrive and create new efficiencies. Obviously AI comes to mind, but under the surface, there is also a brewing interest in new energy sources (fusion energy) and of course other tools like crypto, which is making money even more mobile than it was before. All of this trickles into growth.
The lesson:
This phenomenon highlights a fundamental lesson about the markets that many people struggle to understand, often taking years to fully grasp: price movements can tell you much more than the news. The market speaks, but not everyone is willing to listen.
Warren Buffett once said, "The stock market is designed to transfer money from the Active to the Patient." The S&P 500 hitting all-time highs again today is another reminder of that.
Nvidia Stock Eyes Apple’s 2nd Spot After Monster 30% Gain in MayChip giant racked up nearly $700 billion in market cap last month and is on track to become the world’s second-largest company.
If you’ve been extremely online and following the headlines for a while, you know how this blog will kick off: Nvidia (ticker: NVDA ) crushed, smashed, and shattered all expectations while reporting record profits and revenue. The artificial intelligence (AI) bonanza is so strong it’s literally no-froth-gains-only out there.
Not that much in the loop? Let’s catch you up. For the fiscal first quarter, Nvidia reported record revenue of $26 billion, up 262% year-over year. Along the way, shares of the AI-focused company soared past $1,000 a pop and the stock is now threatening to overtake iPhone maker Apple (ticker: AAPL ) as the world’s second-largest company .
Blink and You’ll Miss It. You Blinked, Right?
Not that long ago — in March 2019 — Nvidia was a little-known GPU provider with its niche found in the gaming sector and the crypto mining corner. And, worth mentioning, it was chugging along as the 84th company in the world by market cap with shares changing hands at $30 a piece.
Fast-track to nowadays, Nvidia’s market cap hovers near $2.7 trillion after gaining a monster 3,755% from its March 2019 lows. It also swooped in as the third-biggest company globally, replacing Amazon (ticker: AMZN ).
Nvidia’s Big Gains Could Dethrone Apple
The AI mainstay picked up more than $700 billion, or 30%, in valuation over May as its shares hit a record high of $1,160. The big leap positioned the company’s market cap less than 10% shy of Apple’s $2.95 trillion. This said, another $250 billion and Nvidia will become the second-biggest company in the world, trailing Microsoft ( MSFT ), valued at $3.2 trillion. That is, if Apple stays where it is now.
The iPhone maker, on the other end of the spectrum, is having a rough year. The victim of a monopoly lawsuit , Apple is witnessing its shares linger around a 3% gain for the year, compared with Nvidia’s 130% rise.
What’s more, spiraling iPhone sales in China added to the brewing troubles.
Can Nvidia Sustain Its Bonkers Revenue Growth?
Looking forward, Nvidia expects to rack up revenue of $28 billion for the current quarter . Recent quarterly performance shows that this type of guidance is not only being met, but it’s being comfortably exceeded.
That’s what happens when you have big tech companies lining up to be your loyal customers. Nvidia is happily selling its hot hardware to the biggest and baddest out there — Microsoft (ticker: MSFT ), Google (ticker: GOOGL ), Tesla (ticker: TSLA ) and privately-held ChatGPT parent OpenAI are all scrambling to get their hands on the powerful chips made by Nvidia.
These heavyweights usually pre-order the good stuff and sign contracts worth billions and billions of dollars, allowing Nvidia to predict how much revenue it will bring in over a quarter.
Coming for That Margin
Investors poured hundreds of billions into Nvidia as they sought to capture the AI train. What this has done to the industry is to propel a single company to the forefront while leaving a huge gap for the rest of the companies that a) have ample amounts of cash to invest, and b) are looking to get a piece of the AI action.
Here’s Nvidia’s weak point: it boasts a huge profit margin. For the past quarter, Nvidia churned out a net income of $14.88 billion on its $26 billion revenue. That’s a clear invitation for other players in the ecosystem to swoop in and attack that profit margin.
Rivals such as AMD (ticker: AMD ) could be looking to get involved in the battle for margin and launch a product that’s slightly better, slightly faster, and slightly cheaper than what Nvidia is making. The incentive is there — the question is when will a rival roll out a competitive product worthy of attention?
Let’s Hear from You!
What’s your take on Nvidia and the AI race? Do you own Nvidia shares or maybe AMD shares? Join the discussion below.
How I pass Prop Firm Challenges Using HedgingHere I explain my strategy on the basics of hedging. Hedging can be a great way to improve your consistency and grow your account but you have to do it properly. It takes time to get it right. If you give up too soon you miss out on winning in trading. You can't be weak if you want to be a trader. You cannot give up so easily on learning. Get tough, up your game and let's win!!!!
Ryan Specialty Holdings (RYAN): Super Stock!Fundamentals:
RYAN (Ryan Specialty Holdings) is a super stock in my book. The balance sheet is booming off the charts with accelerating earnings and sales. It is in a healthy industry and has great cashflow. Some off-loading of funds for a quarter, but that is probably temporary. 73% return on equity.
Technicals:
Daily:
Technically, on the daily chart, there is a cup-with-handle pattern to boot within a larger weekly cup-with-handle pattern.
Weekly:
Comment:
I already bought it around 55ish and at 49.87 before the breakout based on a higher time frame pullback. Target is 100 by end of year and stop is 41.77.
Apple Rebounds with Strong Earnings and $110B BuybackApple and Nvidia have been dominating the market conversation lately. Apple's stock rebounded significantly after a rough start to the year, partly due to better-than-expected earnings and a massive $110 billion buyback announcement. Despite concerns about China and the iPhone cycle, the sentiment has turned positive. With WWDC and AI developments on the horizon, Apple’s outlook appears strong.
$TSLA Might be About to Make a Big MoveTSLA has been compressing into a multi-year squeeze on the charts.
Whether it's the global economy going into a rough patch, the uncertainty of the 2024 US presidential election, or multiple wars happening in the East there seem to be a lot of potential market forces possibly pushing high multiple stocks down for the near future.
But Tesla as a company is on track for 50% YoY growth, completely dominating the global EV market while traditional OEMs pull back their EV efforts, Chinese OEMs struggle with margins, and other pure EV companies struggle to turn a profit at all.
Personally, I think TSLA will have a rough winter as the market hedges their bets on a market level, after which it will be primed for a huge upward breakthrough once the dust settles on the other side.
NOT – analysing the most hyped altcoin of the week | 29.05Listed on the WhiteBIT exchange on May 28 , Notcoin's (NOT) marketcap surged to over $927 million.
One side of the trend expects the coin to hit the $1 mark, and the other is still uncertain about this volatile cryptocurrency. Is it the right time to buy this coin or wait for corrections? Let’s find out.
Since there is not much data to analyze in the chart, the current price action follows an uptrend upward channel pattern. On launch, the NOT price surged to $0.037 and corrected to the current price of $0.009 with a weekly surge of 68.5%.
Looking at the real-time use case of Notcoin, being a rewarding asset to players of Telegram Tap to earn game, NOT will gear up from the short correction and may rally to a high near $0.2.
Going beyond that will need a sheer amount of social attention and a spike in several game players on the Telegram app. In the present scene, investors should watch the lower support zones $0.004800 and $0.005100 and the higher resistance of $0.1 level to decide to enter.
OGI - a MJ penny stock upgraded LONGOGI got an upgrade from hold to buy and with it a target of 5.25 or more than double current
valuation. The ballot iniative in Florida and legalization in Gremany are recent news. VP Harris
seeks to make legalization an lection issue this fall while pushing for a DEA reboot on the whole
cleassification of MJ. Prospects for growth seem more clear for OGI . I will take a long trade
here with the National MJ Day upcoming this weekend. I will target the horizontal levels
of recent pivots as drawn in black on the 60 minute chart.
MEN LIE, WOMAN LIE, BUT CHARTS DON'T LIE. Vertical lines represent bearish and bullish sessions. The next reads to be a Bullish Session. The price is questionable. The 3-month space is just an idea of what might happen. Bubbles represent price zones.
I will not play Wizard and predict where the price will end up. I'm only being honest. Price action, sessions, and pi cycles read how and where. Prices are also thought ranges.
Hanging Man made the dip.
Bullish Engulfing has not been completed yet. It's still in process. In my opinion, it will be a bullish engulfing because two bottom body candles are even and the pattern has a BE pattern type but not confirmed yet.
Pi Cycles meaning: to have a crash, red MA must first cross the green MA which has not.
Neither will the price fall below the red MA. I've applied a white MA for security, the RED MA must not fall below it.
Please see PI CYCLE's previous idea. Follow the red and green MA. When the Red MA crossed the green MA on cycles 1 and 2, then came the dip.
1 and 2 blue trend is part of the halving pattern.
This idea meets the criteria for STOCH RSI. When using STOCH RSI on a 1WK volume chart, it shows the bull momentum making the CROSS. BULLS have made null and void the HM.
Red and white MA's work like a magnet with volume candlesticks.