Today will be gap up opening in BANKNIFTY . After opening if banknifty sustain above 45050 level then possible upside rally of 400-500 points upto 45450 Level. Any Major downside only expected in case banknifty starts trading below 44950 level.
On S&P500, we have a bullish setup with the price slightly retracing in the area around 4479 after touching highs at level 4645. Currently, there is an excellent reversal zone, a sell zone, at level 4525, where the price in H1 formed a strong supply level that had a significant impact on the price in the past week. In short, I'm waiting for a retracement to that...
AAPL has been rock solid this year as illustrated by the daily chart. It is no surprise that AAPL is Warren Buffets's biggest holding. The earnings were a top line beat with revenue flat. New iPhone sales are off. The TSLA idea of dropping price to boost demand and trying to maintain margins will come into effect. The dip this week is remarkable given the...
At 0.6070 we have a Poi zone where the price could be a reaction and if the price will close over the poc we can consider to entry long. I'm waiting a confirmation before to enter. Have a nice weekend!
We have a bearish setup on the Euro Dollar, with the price currently located around 1.0945, practically retesting a block that previously acted as support and is now serving as resistance. The objective will be to look for a short entry in the golden square I have highlighted, as that area aligns with the 50-61 Fibonacci levels. However, please be cautious as...
Analyzing the options chain and the chart patterns of W Wayfair prior to the earnings report this week, I would consider purchasing the 80usd strike price in the money Puts with an expiration date of 2023-9-15, even though the stock is up in the pre-market today. If these options prove to be profitable prior to the earnings release, I would sell at least half of...
I expect a strong Swiss Franc (CHF) against the British Pound (GBP) following recent events that have further weakened the US Dollar (USD). I anticipate a retracement to the 1.1130 level, where we have a Fibonacci retracement, and within that area, I will seek additional confirmation to enter a short position. Furthermore, after the interest rate hike in the UK...
Analyzing the options chain and the chart patterns of PTTE TotalEnergies SE prior to the earnings report this week, I would consider purchasing the 60usd strike price Puts with an expiration date of 2023-9-15, for a premium of approximately $1.80. If these options prove to be profitable prior to the earnings release, I would sell at least half of them. Looking...
On USD/JPY, we have a bullish setup across all operational timeframes. The market experienced a strong impulse around 139. Now, our objective will be to wait for a retracement to around 141.50, where we have a trendline support and a Fvg confluence zone. There are excellent possibilities for the price to bounce and resume its upward movement. Remember always to...
On CHF/JPY, we have a bullish setup that reached the highest level at 164. From there, the price started to change trend; this morning, it dropped by 50 pips and is currently retracing in the supply zone at the level of 163.50, where we have a Point of Interest (POI), meaning a high probability reversal point. Here, we could look for a short trade in case a...
I went short on this pair following a specific candlestick pattern and a support/resistance zone on the H4 timeframe. I identified an engulfing candlestick pattern on the 4-hour chart, suggesting a potential change in market direction in favor of my short trade. Furthermore, I noticed that the price has returned within a box that previously acted as both support...
On XAU/USD, we have a bullish setup with the price in the zone around 1.67, where we have a double bounce area. This means that the price is currently testing this zone, and it appears to be holding, and there is another bounce area at the 1973 level, where the price could also bounce while touching the descending trendline we have on the chart. In fact, the...
ABNB is showing buying pressure with not so much quality buying when I dropped inside candles. It has hit higher time frames supplies as well. NOTE: If you are long book profit.
(LDMR)Long Derivative Mean Reversion is primarily a tool for measuring risk and capital efficiency. It's secondary functions include identify outliers in the assignment value of derivatives, maintaining a price target and producing trade placement recommendations. This strategy has one simple input: the symbol of a correlated asset or index. It is recommended to...
Analyzing the options chain and the chart patterns of CMCSA Comcast Corporation prior to the earnings report this week, I would consider purchasing the $45 strike price Calls with an expiration date of 2023-8-18, for a premium of approximately $0.47. If these options prove to be profitable prior to the earnings release, I would sell at least half of them. Looking...
On GBP/USD, we have a bearish setup after the US GDP data surprised expectations, causing the dollar to gain strength. Following two days of meetings between the Federal Reserve (Fed) and the European Central Bank (ECB), the market has finally broken out of a trading contraction and regained its normal volatility. Currently, I anticipate a minor price retracement...
After 10:30am Candle we have seen the Break Down at 46180 level Then entry point is 46100 level with the stoploss of 46180 TARGETS - 45940,45800,45640 T1 Reached in 11:15am candle T2 Reached in 12:45pm candle T3 Reached in 2:30pm candle After break down we got all our targets fastly Are you guys satisfied with my levels or Not please comment below 👇 How many...
On NZD/USD, we have a bullish setup where the price has followed the news and eurozone rates and retraced to the level of 0.6230. I expect a probable bounce as we have a resistance and a confirming trendline, along with higher highs and higher lows, and a supporting demand zone. Additionally, there is a supply level at 0.64, which would serve as the target for our...