Still BullishAs stated in last analysis (on 03-12-2024) that it can easily touch 35-36, and it did. Now it should retrace till 32.50 - 32.80 & then move upside towards 40 - 42 & even 47. However, if 36.60 - 37 is Crosses & Sustained, we may witness 45 - 47 soon. Inshaa ALLAHby House-of-TechnicalsUpdated 9
Cresndo Buy CallChart have developed double uptrend bar. PE = 2.7. MACA uptrend indicator. EBITDA is above positive level for QR and AR too. Longby success_base1
KION Stock Quote | Chart & Forecast SummaryKey Indicators On Trade Set Up In General 1. Push Set Up 2. Range Set up 3. Break & Retest Set Up Notes On Session # KION Stock Quote - Double Formation * Trend Line 1 | Support * Trend LIne 2 | Resistance - Triple Formation * Wedge Structure | Range | Entry | Subdivision 1 * Top Structure | Survey Valid | Subdivision 2 * Retracement | 1.618)) | 1)) | 0)) | Subdivision 3 Active Sessions On Relevant Range & Elemented Probabilities; London(Upwards) - NYC(Downwards) Conclusion | Trade Plan Execution & Risk Management On Demand; Overall Consensus | Neutral by TradePolitics0
Rising Wedge Pattern Analysis on ACHR -Potential Reversal Ahead.**Bearish Trade Plan for ACHR** - **Entry**: **$8.83** (Confirmation of breakdown below wedge support) - **Stop Loss (SL)**: **$9.30** (Above the key resistance level) **Targets**: - **Target 1 (T1)**: **$8.32** (First support level, red line) - **Target 2 (T2)**: **$7.56** (Major support level, green line **Trade Rationale**: The rising wedge breakdown signals bearish momentum. The stop loss at **$9.30** protects against invalidation of the setup, while the downside targets align with key support levels. Monitor volume for confirmation of selling pressure.Shortby Xeeshan790
AMD ready for a comeback? AMD's financials this year are exceptional, with revenue up 17.57%, net income soaring 157.86%, and earnings per share rising 31.43%. Despite these strong results, the share price is down 8% from the start of the year, creating an attractive buying opportunity. In August, the price surged from $121 to $161 in just 15 days, reaching the second target in no time. The current entry point is $124.18, with targets of $147 and $161. Financials Overview (2024): AMDโs financials this year have been outstanding, with significant growth across key metrics: Revenue: $6.82 billion (+17.57% YoY) Operating Expenses: $2.93 billion (+7.14% YoY) Net Income: $771 million (+157.86% YoY) Net Profit Margin: 11.31% (+119.19% YoY) Earnings Per Share (EPS): $0.92 (+31.43% YoY) Operating Profit: $1.48 billion (+41.36% YoY)Longby ValchevFinance11
Merck Could Be SicklyMerck has struggled for most of the year, and now some traders may look for another push to the downside. The first pattern on todayโs chart is the series of higher lows from mid-November through early last week. MRK has dropped below that line, which may be viewed as a bear-flag breakdown. Second, prices tested the 50-day simple moving average and stayed below it. That may suggest its intermediate-term trend is headed lower. Next, compare this price action with similar patterns in September. Also note that Wilderโs Relative Strength Index (RSI) slipped below its 14-day average both times. (See white arrows.) Finally, MRK is pushing against the $99.14 level where it bottomed in 2023. Are double digits the new normal for the pharmaceutical giant? TradeStation has, for decades, advanced the trading industry, providing access to stocks, options and futures. If you're born to trade, we could be for you. See our Overview for more. Past performance, whether actual or indicated by historical tests of strategies, is no guarantee of future performance or success. There is a possibility that you may sustain a loss equal to or greater than your entire investment regardless of which asset class you trade (equities, options or futures); therefore, you should not invest or risk money that you cannot afford to lose. Online trading is not suitable for all investors. View the document titled Characteristics and Risks of Standardized Options at www.TradeStation.com . Before trading any asset class, customers must read the relevant risk disclosure statements on www.TradeStation.com . System access and trade placement and execution may be delayed or fail due to market volatility and volume, quote delays, system and software errors, Internet traffic, outages and other factors. Securities and futures trading is offered to self-directed customers by TradeStation Securities, Inc., a broker-dealer registered with the Securities and Exchange Commission and a futures commission merchant licensed with the Commodity Futures Trading Commission). TradeStation Securities is a member of the Financial Industry Regulatory Authority, the National Futures Association, and a number of exchanges. TradeStation Securities, Inc. and TradeStation Technologies, Inc. are each wholly owned subsidiaries of TradeStation Group, Inc., both operating, and providing products and services, under the TradeStation brand and trademark. When applying for, or purchasing, accounts, subscriptions, products and services, it is important that you know which company you will be dealing with. Visit www.TradeStation.com for further important information explaining what this means.by TradeStation6
DPZ - An excellent buying opportunity?Clearly they're doing something right - with their impending move toward a more tech-sentric NASDAQ and bullish sentiment from fresh investors like Warren Buffet - DPZ is almost too big to fail and food does not get replaced by any emerging sector (at least pizza doesn't) and as the largest pizza chain in the world, they're set up for success and are proving it in their reports. Technically, as you'll see in the video, we've been setting up very nicely on a HTF for a large-scale breakout and are just digging for some more bulls to sustain a larger move. Within our very controlled white selling algorithm, we are right where we want to be as we build a higher base and we attempt to head for ATH with a stronger base of buyers. Trade at your level and always do your own analysis - this is just my way of reading the market and sharing some education on how you can do it yourselves irrelevant of the specific stock. You've all seen me be wrong on positions at different times and that's why I'm always managing my risk and preparing my trades for execution at areas that I pre-identify. Happy Trading all :)Long09:01by ReigningTrades2
Atour: The Smart Way to Invest in China's Hospitality Marketโ Abstract Atour Lifestyle Holdings Limited is taking advantage of China's fast-growing hotel industry. The hospitality sector of China is expected to reach $157.46 billion by 2032, growing at a rate of 8.23% each year. This growth comes from a strong economy, more people moving to cities, and an increase in travel. Atour uses a smart business model that allows for quick expansion while keeping costs low. They offer a variety of hotel brands and even sell sleep-related products. In FY23, Atour's sales jumped to $657.4 million, a 106% increase from the previous year, along with strong earnings growth. With over 83 million members in its loyalty program and a focus on great customer experiences, Atour is set for continued success in China's hospitality market. Overview of the Hotel Service Industry in China. Continue reading full article here: โ Overview of the Hotel Service Industry in China China's hotel service industry is on the cusp of a remarkable growth spurt, fueled by the country's soaring economy, rapid urbanization, and an unprecedented surge in domestic and foreign travel. โ Projected Market Value: $157.46 billion by 2032 โ Growth Rate: 8.23% Compound Annual Growth Rate (CAGR) from 2024 to 2032 โ What's Driving this Growth? โ Economic Growth: China's economy continues to expand, boosting disposable incomes and travel budgets. โ Urbanization: As more Chinese citizens move to cities, they're seeking better travel experiences and accommodations. โ Increased Travel: Both domestic and foreign travel are on the rise, driving demand for hotels and travel services. As China's hotel service industry experiences rapid growth, Atour Lifestyle Holdings NASDAQ:ATAT Company has established itself as a prominent force in the market. By delivering a unique blend of comfort, style, and local charm, Atour is redefining the hospitality landscape in China. Atour's strategic focus on mid-to-upscale hotels enables the company to provide immersive local experiences, innovative design, and exceptional service. This distinctive approach has fostered a loyal customer base and positioned Atour for continued success in China's burgeoning hotel market. โ Investment Advice ๐ก Buy Atour Lifestyle Holdings NASDAQ:ATAT โ Buy Range - 27 - 27.5 โ Sell Target - 36 - 37 โ Potential Return - 30% - 35% โ Approx Holding Period - 12-14 months โ Business Model Atour Lifestyle Holdings Limited utilizes an asset-light, franchise-oriented business model that enables rapid expansion and operational efficiency in China's hotel industry. Here are the key components: โ Manachised Model: Atour primarily operates through a "manachised" model, where franchisees handle capital expenditures and hotel leases while Atour provides management and training. This approach minimizes operational costs and maximizes revenue from franchise royalties. โ Diverse Brand Portfolio: The company offers various hotel brands, including Atour, Atour S, Atour X, and ZHOTEL, catering to different market segments and customer preferences. โ Retail Integration: Atour has expanded into retail by selling sleep-related products, generating significant revenue and enhancing the guest experience. โ Customer Loyalty Programs: The A-CARD loyalty program boasts over 63 million members, driving customer retention and engagement through various benefits. โ Digital Capabilities: Atour leverages technology for a seamless customer experience, allowing easy online bookings and efficient communication during stays. โ Focus on Experience: The company emphasizes delivering unique lifestyle experiences through thematic hotels and tailored offerings. โ Key Competitors 1. Huazhu Group (H World Group): A leading competitor with over 10,150 hotels, Huazhu operates a similar manachised model and has been expanding rapidly, making it one of the largest players in the market. 2. Jin Jiang International: With a vast portfolio exceeding 12,000 hotels, Jin Jiang is another major competitor that employs a mix of franchising and management strategies. 3. GreenTree Hospitality Group: Focused on midscale accommodations, GreenTree operates around 3,000 hotels and utilizes a franchise-based model with manachised elements. 4. BTG Homeinns Hotels: Known for its budget offerings, BTG Homeinns has a significant presence with thousands of hotels primarily targeting domestic travelers. 5. Plateno Group (7 Days Inn): Operating primarily in the budget segment, Plateno utilizes a manachised approach to grow its network of over 3,000 hotels. These companies dominate the domestic market, while international brands like InterContinental Hotels Group (IHG) and Shangri-La Hotels & Resorts lead the high-end segment. โ Strategic Initiatives Powering Atour's Growth Trajectory โ Expanded Hotel Network: 140 new hotels added in Q3 and 732 under development, increasing capacity and driving revenue growth. โ Upscale Brand Introduction: SAVHE Hotel launch in core business districts, enhancing occupancy and average daily rate (ADR). โ Retail Segment Growth: 107.7% year-over-year GMV growth in 'deep sleep' products, boosting revenue and net margins. โ Membership Base Expansion: Over 83 million members, increasing revenue potential through customer loyalty and repeated business. โ Revenue & Profit Analysis โ Year-on-year โย FY23 sales reached $657.4 million, a remarkable 106% increase from $328 million in FY22. โย EBITDA surged to $142 million, up from $36 million in FY22. โย The EBITDA margin widened to 21.6% from 11.15% in the same period. โ Quarter-on-quarter โย Q3 sales reached $270 million, a 9% increase from $247 million in Q2 and a 52% jump from $177 million in Q3 2023. โย Q3 EBITDA climbed to $72.6 million, up from $56.2 million in Q2. โย Q3 diluted EPS rose to $0.39 (LTM) from $0.30 (LTM) in Q2 2024. โ Valuation โ P/E Ratio ATAT has a P/E ratio of 24x, which is fairly valued when compared to the peer average of 23.7x. โ PEG Ratio With a PEG ratio of just 0.15, ATAT appears to be undervalued based on its anticipated earnings growth. โ Profitability Analysis With a 30.7% ROCE, ATAT demonstrates its expertise in generating substantial profits through efficient capital allocation. โ Cash Flow Analysis ATAT achieves remarkable growth in operational cash flow, rising 582% to $280 million in FY23 from $41 million in FY22. โ Debt Analysis ATAT's debt-to-equity ratio stands at 0.67, signaling that debt is not a significant concern for the company. โ Top Shareholders โย Mr. Haijun Wang, CEO of Atour Lifestyle Holdings, holds a significant 19.2% stake. โย Trip.com Group Limited holds approximately 13.6% stake. โ Technical Aspects โย The weekly chart indicates that after a long period of consolidation, the stock price has formed a Rounding Bottom Pattern and is likely to break through its strong resistance zone soon. โย A Pole & Flag pattern has formed on the daily chart, with the stock price targeting higher levels following a successful breakout. โ Conclusion Following a thorough analysis, we believe Atour presents a lucrative investment opportunity. With its appealing valuation, impressive financial track record, and strategic growth initiatives, Atour is well-positioned to capitalize on the growing tourism sector. The company's commitment to delivering exceptional customer experiences further strengthens its potential for long-term growth and value creation for shareholders.Longby NaranjCapital1
Reading Price Action to Tell a Chart's (Liquidity) StoryUsing Domino's Pizza in this case I want to show you how simple and practical it is to find important levels and to understand why price is doing what it's doing at a certain level. If we can map out where we are going to have to put a fight, and know why we are going to put up a fight (i.e. buyers or sellers, who needs what to win the fight, who is building liquidity and in control on a certain time frame) --> Then there is no reason why we shouldn't be able to identify solid trade opportunities and take them when they're given. If we are wrong on an analysis (i.e. we lose money on the trade), it's either that you're executing trades on a different time frame than your analysis is telling you to or there is something about your analysis that is wrong or not effective enough. DPZ Analysis coming next.. Happy Trading :)Education06:46by ReigningTrades4
Tesla And This 3 Step System The problem with trading is it takes confidence even though you have a system or a mentoring program. It gets worse if you don't understand risk management and profit taking strategies. But sometimes losing small is part of the solution.Also finding a great community of traders who are professional When you look at this chart NASDAQ:TSLA It's trending following this 3 step system: ๐The price is above the 50 EMA ๐The price is above the 200 EMA ๐The price has to gap up Now full disclosure I will not participate in this trade because am a Bitcoin Trading Expert That's what a good at but I don't mind sharing what I see could be a good stock to buy according to my Continuing trading education. Remember before you buy to learn risk management and then after that decide when you want to take profit. If you got value from this Rocket boost this content to learn more. Disclaimer โ ๏ธ Trading is risky please learn risk management and profit taking strategies because you will lose money wether you like it or not. Also don't use more than x5 margin. Feel free to use a simulation trading account before you use real money Longby lubosi2
GAZP_Looks bad Looks bad unless a miracle happens. TP levels are on the chart. NFAShortby wovenvoids0
TradingView Idea for Tesla (TSLA)Technical Analysis Summary: Current Signal: Hold Oscillators: Bearish sentiment with Stochastic RSI and Commodity Channel Index suggesting sell signals. Moving Averages: Predominantly bullish, indicating upward momentum. Pattern: Channel up pattern suggests potential bearish movement towards support levels around $449.84. Bollinger Bands: Indicate overbought conditions, suggesting a possible price correction. Overall: Mixed signals with a slight bias towards caution due to bearish oscillators and emerging channel pattern. News Sentiment: Positive Sentiment: Predominantly positive news sentiment with 19 positive articles versus 5 negative ones, potentially driving investor confidence. Fundamental Analysis: Strong Metrics: High return on equity (ROE) of 19.35% and a solid current ratio of 1.84. Valuation Concerns: High P/E ratio of 65.59 suggests potential overvaluation. Analyst Recommendations: Positive Outlook: 28 out of 60 analysts recommend buy or strong buy, indicating potential for growth. Options Strategy Recommendations for Tesla (TSLA) 1. Bull Put Spread trade_id: g-645301 Signal: Bullish Underlying Price: $471.77 Strategy Premium: $0.24 Max Gain: $24.00 Max Loss: $476.00 Breakeven: $392.26 Probability of Profit: 94.97% Leg 1: Action: Sell Strike Price: $392.50 Expiration Date: 27-Dec-2024 Implied Volatility: 69.93% Leg 2: Action: Buy Strike Price: $387.50 Expiration Date: 27-Dec-2024 Implied Volatility: 71.70% 2. Long Call trade_id: g-657308 Signal: Bullish Underlying Price: $471.77 Strike Price: $395.00 Expiry Date: 20-Dec-2024 Premium: $68.92 Stop Loss: $62.03 Take Profit: $75.81 Probability of Profit: 59.39% Implied Volatility: 92.64% Max Loss: $6,892.50 Breakeven Price: $463.93 These strategies align with the current technical analysis and market sentiment, providing a balanced approach to trading Tesla options. If at New York open this is under a Bearish FVG then wait to retest the most recent one to Short Shortby CapitalGainz33113
ASML RISING: Weekly MACD cross up, daily EMA 34/20 cross up.After a clear double bottom AND ASML being the MOST OVERSOLD EVER in the history of this stock, we have a nice +/- 10% upside opportunity on the swing up, with very attractive risk reward ratio (depending on where you anchor your stops but I leave that to you). Daily chart has showed us a lot of bullish divergence over the past weeks and it's clear traders have been loading up on cheap ASML shares while this unique opportunity presented itself and this has slowly exhausted the sellers over the past month, making it ripe for a jump. ASML is ready for a major run up. What I like about this setup is that even if I am wrong about the mid-long term of this move. I capitalize on the short term momentum of the move with minimal exposure to risk. This stock is volatile and I take that into consideration when trading it. I am no expert and none of this is advice, just sharing how I see things, trade at your own risk. Wish you good luck and good fortune!Long04:53by STATICERROR2
KLAC Long PositionKLA Corporation (KLAC) has had promising earnings reports for the past two years and is trading in a larger uptrend for the past years. The stock recently had a small pullback but price action on smaller timeframes indicate the end of this pullback and the continuation of the larger uptrend. Therefore, this seems to be a reasonable moment to enter the trade. Furthermore, multiple US banks are targeting a share price of (little) over $800. I would enter this trade around the current share price of $650, target a share price of $797 and put a stop loss at $610.Longby vf_investment1
One Good Trade: NOW is Showing Continued StrengthThe setup has everything we are looking for: Strong bull bar > 2 standard deviations Strong momentum on the MACD Small pullback with a potential for an aggressive entry Long01:40by JoeRodTrades0
BROADCOM made a Top on the 2year Channel. Potential danger aheadExactly 1 month ago (November 18, see chart below) we gave the buy signal on Broadcom Inc. (AVGO), which turned out to be a big success as shortly after the stock catapulted past our $223 Target: This time however we share with you an analysis that is calling for profit taking on this amazing rally as technically it is coming to an end. The price hit yesterday the top (Higher Highs trend-line) of the 2-year Channel Up, which has approached another 3 times during that time. As you can see, the pattern's structured Legs and Phases are cyclical and repeat themselves. The current Top seems to be similar to the previous Highs (orange circles) that initiated the re-accumulation phases before resuming the uptrend for the final top (red circles) of the Bullish Leg. Both of those pre-Top Highs (orange circles) and their re-accumulation phases that followed, touched the 1D MA200 (orange trend-line) before the final rally of the Bullish Leg. As a result, we won't turn bullish again on AVGO until it tests the 1D MA200 again, which given the aggression of the recent pump, the pull-back could be equally strong. After the re-accumulation Phase is completed, we will resume our long-term bullish Target of $285.00. That represents a +121.85% rise from the August 05 2024 Low, which is the % rise that both previous Bullish Legs had. ------------------------------------------------------------------------------- ** Please LIKE ๐, FOLLOW โ , SHARE ๐ and COMMENT โ if you enjoy this idea! Also share your ideas and charts in the comments section below! This is best way to keep it relevant, support us, keep the content here free and allow the idea to reach as many people as possible. ** ------------------------------------------------------------------------------- ๐ธ๐ธ๐ธ๐ธ๐ธ๐ธ ๐ ๐ ๐ ๐ ๐ ๐by TradingShot5552
Morning Overview: SPY Ranging with Potential to the UpsideIn this video, I covered all of the stocks I am looking at for potential pullback entries. I explained why I like them. I also showed patterns in certain tech charts. NYSE:HPE NASDAQ:PYPL NASDAQ:PLTR NASDAQ:WDAY $NYSE:JOBY. I talked about the current range in the AMEX:SPY and what we can look for there. I also covered two trades that I am currently in. 08:07by JoeRodTrades0
Nvidia (NVDA) Stock Price Falls to a Two-Month LowNvidia (NVDA) Stock Price Falls to a Two-Month Low While the Nasdaq 100 index (US Tech 100 mini on FXOpen) climbed to an all-time high, Nvidia's (NVDA) stock price dropped below $131 during yesterday's trading session for the first time since mid-October. This bearish behaviour suggests a weakening of Nvidia's leading position. What is the reason? A key driver could be the significant surge in Broadcom Inc. (AVGO) shares, a competitor to Nvidia. Following a roughly 20% price increase for AVGO in one day, another growth day followed, as we anticipated yesterday. As a result, amid Broadcom's strong forecast for 2025, AVGO shares have risen by 54% since early December, and investors may be reallocating their portfolios, selling NVDA and buying AVGO. Technical analysis of Nvidia's (NVDA) stock chart reveals a concerning picture โ bears may break the lower boundary of the blue channel, which has acted as support throughout 2024. Importantly, bears managed to push the price downwards both from the $150 level and the $140 level (indicated by arrows). According to the Nasdaq exchange, NVDA's stock price in today's pre-market trading has fallen below $130. If this does not trigger demand for the stock of one of the leading companies in the AI boom, it will be another worrying signal. According to TipRanks, analysts remain optimistic for now: โ 37 out of 40 analysts recommend buying NVDA shares. โ The average price target for NVDA is $177 within 12 months. This article represents the opinion of the Companies operating under the FXOpen brand only. It is not to be construed as an offer, solicitation, or recommendation with respect to products and services provided by the Companies operating under the FXOpen brand, nor is it to be considered financial advice.by FXOpen118
Quantum stocks are on fireQuantum commuting is going to be one of the important impacts of day to day life in near future. Seems like stocks are getting on fire too. Longby FFF02
Is Quantum Computing the next Big Boom? QUBT, QBTS, QTUM, IONQQuantum Computing ( NASDAQ:QUBT ) rose 65% yesterday. QUBT is only around $11. Is this the start of a boom for quantum computing? Google came out with news of the Willow Quantum computing chip. Did this news swing the focus over to quantum computing? Will the big trade houses start to invest? We will see? Add QUBT to your watchlist along with GOOGL, QBTS, IONQ, QTUM. This could be the start of something big?Longby PortfolioBuildersClub2
MUST NET WOTH 600b?Bullish breakout: Entry price 433.29 Take Profit 638.06 Stop Loss 336.81Longby Berzerk_invest1
UNTR - CUP WITH HANDLEIDX:UNTR CUP WITH HANDLE 13-12-2024 (+): 1. Low risk entry point on nice drifting handle 2. Price above MA 50 > 150 > 200 over 10 weeks 3. Price is within 25% of 52 weeks high 4. Price is over 30% of 52 weeks low 5. 200 day MA trending up over 1 month 6. RS Rating is over 70 (79) 7. Price break major downtrend, it's mean the stock started on Stage 2 uptrend (-): 1. The stock is slow mover, it will take a while to reach the target 2. The volume when the stock is breaking out not quite big Note: Volume not dries up cause of big capital stock, some of big capital stocks doesn't need to dries up their volumeLongby The_small_moneyUpdated 0
WAVESAPP is potentially exposing 67% gain from these levelsRisk takers can enter the trade instantly with SL around 7.23 Perfect entry is made around 14.36 being the breakout of Last HH, breaking that level will trigger the trajectory towards final projection of the ABCD pattern. Longby Trader-Roze3