After three negative quarters, 2022 closed with a bang. Equities around the world delivered very strong returns in both October and November on the back of relatively good news on the inflation front. Therefore, despite a negative December, developed market equities gained 9.8% in Q4, and emerging market equities gained 9.7%. This instalment of the WisdomTree...
BLUF: 20% swing for 2 months at a 5% risk with the potential for a trend breakout. Whether or not you "believe" in a recession in 2023, the idea of one on the horizon should alter how we pick stocks. Jim Cramer has been pushing bargain retailers for months and TJX is up over 40% since May of 2022. Taking the idea of a recession and the movement of money into the...
2022 continues to prove difficult for investors around the globe. The conjunction of heightened geopolitical risks, increasingly hawkish central banks, and runaway inflation has forced many investors to change tack and modify their asset allocation significantly over the last 12 months. Duration has been lowered across asset classes, and a survey we commissioned1...
Did some TA & FA today on a long-term & dividend play I like. AT&T ($T). Are we in a recession, is a recession coming, will things get worse before they get better? People need cell phones. Food, water, shelter, then what? Cell phones! If you are looking for a safe play to start DCA'ing, IMO this is about as good as it gets for a safe, long-term opportunity given...
Here we have a MONTHLY chart for $AGNC, a mid-cap monthly paying dividend REIT (Real estate investment trust). As you can see we breifly wicked to this price before and if you switch to a daily chart there is some evidence for a recovery. That being said, with the increasing rates from the FED, housing prices starting drop as demand lowers, and combined with...
JSE:SOL has been trading below a key MA since early July, it showed characteristics of a Stage 3 setup. A selloff was seen on the ex divi date, and some market participants were comfortable to assume that the selloff was due to ex divi, fair enough. The dividend has been paid now, JSE:SOL is now below a minor support level, it it continues with the downward...
I don`t know if you monitored the Option Chain last Friday. I always do that for my clients and I was shocked to see for MMM 3M Company 141K Calls with $200 Strike Price, Expiring Sept. 16! On Thursday we had 70K calls, same expiration date and strike price. It has to do something with 3M's Healthcare Spinoff which sees Roadblock from Veterans, which sued the...
Incredible hammer but low volume. Sold some puts this morning 160P for September regular. I don't mind owning this dividend stock if I get assigned.
BLK tanked below the second gap. Happened fast. Just below the 20EMA. Huge volume shelf on 699. Next stop 674. I will be adding small dips on this one.
BLK first gap has been filled. Next one around 710-705. Will be adding accordingly.
AT&T (NYSE:T) shares recently fell by approximately 10% after the firm released its second-quarter earnings. Despite better-than-expected earnings per share and revenue, excitement was muted by cash flow issues. Following the current drop, AT&T's stock yields around 7.3 percent. Furthermore, AT&T is dirt cheap again, trading at approximately 7.4 times forward EPS...
PFE is touching the diagonal trendline to the upside again. Can't wait for the breakout. LT holding with nice dividend.
potential buy 550 @50% 520 @50% Speculation Buy = BN RR +-1.5 Sell @ H dividend / my target 650~660 Hidden Divergent D1 & W1 SR for this trade 500 & 650 Dividend Financial Statement MHV D1 Volume SR Compression
This is an update to my original post (see below). This recommendation is not for day traders, but for long-term investors, especially dividend investors. VFC has just tagged its yearly basis line on the Bollinger Band. This means that VFC has fully corrected to its mean on the yearly chart. This is an incredibly rare buying opportunity. It is quite likely that...
G'day Traders and Investors, Note: Before reading this, I would like to declare that this is not a financial advice, I am not financial advisor. Any mentioned information is for education and entertainment purposes only and based on my trading and investing strategy. . I may or may not act according to this analysis. Facts: - As of 2022, BHP is the largest...
1.1M call with strike 55 got in a couple of days ago. US government is going to purchase more covid vaccines and PFE increased the price on those vaccines 27%. Dividends are 3.14%. I will take it in this market environment.
Weekly descending wedge - If it breaks out of the descending wedge, we can see a strong push to the upside. MapleTree Industrial Trust (MIT) owns data centre assets in North America and Singapore. Data centres have been gaining prominence and MIT has been pursuing more growth by leveraging on acquisition of data centres. The total addressable market size of...
ZİM İntegrated shipping have a great revenue, income, P/E. They pays dividends normally $2.50 for per share, and the paid $17 one time. Normally big companies pays about 1%-5% dividends per year. In this case if buy ZIM (if the price will be stable at currents) you will get 33% dividends and after 3 years you will get your invested money back, or ZIM integrated...