TIME TO BUY KUWAIT FINANCE HOUSE STOCKSI sold this analysis to a custommer 3 weeks ago and after getting his autorisation to share it with public here I am sharing it.
Dear investors, as you can see on the chart the price broke the golden point after pulling back on the resistance 3 times to continue its way up.
What's stopping for not buying KFH !
For more questions don't esitate to ask
Longterminvesting
Upgrading Polygon PoS Chain to Boost Performance + TAHello friend.
Today im going to explain about the latest happenings in polygon layer-2 blockchain.
Lets see what will happen?
When the Polygon PoS chain first launched it offered a much-needed solution for Ethereum’s scaling issues.
It gave users and developers alike everything they love about Ethereum but with faster throughput and lower fees.
Now, with tens of thousands of decentralized apps, over 207 million unique addresses, more than 2.3 billion processed transactions, and a vanishingly-small carbon-footprint,
the Polygon PoS chain has emerged as the premier destination for dApps.
It is home to some of the biggest Web3 projects like Uniswap and Aave as well as major companies like Robinhood, Adobe, and Stripe.
But this is only the beginning.
Longer-term technical upgrades to Polygon PoS are being worked on, like parallelization, even while other promising tech for scaling, like Polygon zkEVM, is being built.
a critical hardfork will be proposed that will aim to:
1 - reduce severity of gas spikes;
In order for a transaction to be included in a block, a gas fee is required.
The “base fee” is the minimum fee for block inclusion, and is set in accordance with EIP-1559.
Although on-chain gas dynamics work well a majority of the time, when the chain experiences high demand,
the base gas fee experiences exponential spikes.
Increased gas prices are normal during surges in demand on any blockchain protocol.
But “gas spikes,” which represent exponential growth in price, are not.
They are a result of EIP-1559 and the Polygon PoS chain’s faster block times (~2s.)
2 - address chain reorganizations (reorgs) in an effort to reduce time to finality.
Decrease the sprint length from 64 to 16 blocks.
By reducing the length to 16 blocks, this upgrade means a single block producer will produce blocks continuously for a much shorter time (~32 sec) than the current (~128 seconds).
Doing so will decrease the depth of reorgs.
“Sprint length” describes the number of blocks a validator produces contiguous blocks on Bor chain.
By reducing sprint length, the time a validator continuously produces blocks decreases.
The result? Lowering the chances of a secondary or tertiary validator (who hasn’t discovered the primary) kicking in to produce blocks, resulting in fewer reorgs overall.
Reorgs are possible due to the architecture of the Polygon PoS chain, which relies on probabilistic consensus.
Finality for a transaction is achieved based on the number of confirmed valid blocks on top of the block containing a transaction.
In the Polygon PoS chain, applications wait approximately 50 blocks before considering a transaction final.
A reorg occurs when a validator node receives new information that shows a longer, or higher version of the chain.
The chain with the highest difficulty is called the “canonical” chain.
If a longer version of the chain arrives with more blocks, this is the new canonical chain, and the old one must be discarded.
Reorgs may impact transaction finality and disrupt the ability of an application to be confident that their transactions are part of the canonical version of the chain.
Expectation after the hardfork:
By decreasing the sprint length, the hardfork will help reduce the frequency and depth of reorgs, and improve transaction finality.
The change will not affect the total time or number of blocks a validator produces, so there will be no change in rewards overall.
Now lets look at technical perspective:
take a look at picture below (thats a weekly chart):
As you can see , the price supports in 0.76 strongly with a n Engulfing candle
and now it reaches to the correction area.
correction lasts till 50EMA (green line) and after that will increase again.
Notice that this analysis is a Long-Term analysis .
So try to invest in your own strategyk.
I think Polygon will be one of the best ecosystems Blochchain seen in these years.
THANK YOU fo reading my idea.
PLZ support me and put your opinion in comments?
What do you think?
Another reasons that why BTC is NOT BEARISH LONG TERM anymore!The bearish trend line from the ATH just got brokeand retested. This is a 460-day long trend line!
Ma 50 and 200 golden cross happened. The slope of MA 200 is positive after a long time.
Ichimoku Cloud is green, and the price is above it.
Passing up 25K is hard but this maybe the last chance for buying in this price range...
Those who still believe that bitcoin will see 11K, what other reasons you want? I would be glad to hear counter arguments...
Bull Case Scenario for AVAXAVAX is poised for significant price appreciation in the near future, making it a smart investment opportunity for those looking to tap into the growth potential of the blockchain industry. The platform's unique features, such as its scalable and secure architecture, its ability to handle high volumes of transactions, and its flexible and decentralized governance model, set it apart from other blockchain platforms and position it for growth.
Additionally, the growing demand for decentralized finance (DeFi) applications and the increasing popularity of non-fungible tokens (NFTs) are driving interest in the blockchain sector, and AVAX is well-positioned to capture this demand. With a highly engaged and growing community, and a strong commitment to developing cutting-edge technology, AVAX is poised for continued growth and price appreciation in the years to come.
Ingersoll-Rand (India) Ltd (Small Cap)I think this stock will be a wealth maker in the long term. Bonus point is Promoters holding 75%(Max. holding according SEBI guidelines) and FII's holding increasing continuously and company paying nice dividends and reinvesting of it's earnings and doing expansions. Recently company announce that they will setting up own new plant in GUJRAT. The Co. serves Industries like Aerospace, Chemical Plastics & Rubber, Consumer, Electronics and semiconductors, Environmental, Food & Beverage, among others. Co. has a strong brand presence in the Indian compressor market with a dominant market share of over 45% in the centrifugal compressor segment.
Working Segment:- Ingersoll-Rand (India) Ltd. engages in the manufacture and sale of industrial air compressors. The firm offers products under the following brands: Club Car, Ingersoll Rand, Thermo King, Trane, ARO, American Standard, Ameristar, ARO, BuTech and much more. The company was founded in 1921 and is headquartered in Bengaluru, India.
WORST IS OVER FOR INDIAN IT SECTOR As we can see that given chart the IT sector as form very good base , with bull sash candlestick pattern on last month low with fibonacci retracemet also at that same level suggest how important that level is for price.
Bull sash is very pwerful bottom forming candlestick pattern with high success rate.
As last week was bearish but this week price gapup plus give closing above previous week high.
I suggest to buy top it sectors stock with IT Bees as it is good to accumlate the stock for longterm perspective
DID YOU INVEST IN XRP?If your answer is "Yes". Congrats to you, by next uptrending between Altcoins vs Bitcoin, your money will be doubled. HOW?! In short. Let's say, you bought $1k of XRP at 30 cents ( 1000 / 0.3 = 3333.33 XRP ). After next halving of Bitcoin on May 2020, Bitcoin will reach $15k at least and the reward of miners will be decreased to 6.25 Bitcoins. This will reverse the game from the downtrend of Altcoins vs Bitcoin to the uptrend of Altcoins vs Bitcoin with double increase in value of USD. I'm not saying "Hype" but every Altcoin will try to be survived after the halving of Bitcoin and that's normal to keep the main investors in safe side. So, if you does sell your XRP / BTC or / USD at that time, you will get double profit $2k or 6666.66 XRP.
If your answer is "No". You can set buy orders like what I did in GOOD TIME TO BUY BITCOIN!
NEXT UPTREND WILL BE 60 CENTS FOR XRP.
DECIDE AND TRY TO MANAGE YOUR WALLET WITHOUT LOSING. HAPPY TRADING ;)
Alzheimer's drug, from $BIIB and EisaiAccording to MarketWatch, The FDA approved the
Alzheimer's drug Legembi from
Eisai and Biogen
A quick look at the daily charts for $BIIB shows that it's already trading on or above major moving averages (ie. 9,21,50 SMA's). Also, seeing as this is a nice, green day for the SPY and BIIB has been beaten down recently, it's a nice long option for medium term traders and investors in general.
If I were to go long, a nice R:R profit target would be the top of the Bollinger bands with a stop loss below the "fast" moving average in use.
Good luck.
EURAUD Investment Plan - 4/Jan/2023Hello Traders,
Hope you all are doing good!!
I expect EURAUD to go Down.
I am still looking for additional confirmation to be sure about this down move, however, one can obviously take the trade if their strategy allows.
The objective of this idea is to share that the Long term SELL is probably gonna be coming next for this pair.
Look for your SELL setups.
Considering the fact that there are also traders looking for ideas wrt investment purpose, I will be posting my view on few assets for Long term trades.
Please follow me and like if you agree or this idea helps you out in your trading plan.
Disclaimer: This is just an idea. Please do your own analysis before opening a position. Always use SL & proper risk management.
Market can evolve anytime, hence, always do your analysis and learn trade management before following any idea
DXY Investment Plan - 1/Jan/2023Hello Traders,
Hope you all are doing good!!
I expect DXY to go Down after finishing the current correction in LTF.
Look for your SELL setups.
Considering the fact that there are also traders looking for ideas wrt investment purpose, I will be posting my view on few assets for Long term trades.
Please follow me and like if you agree or this idea helps you out in your trading plan.
Disclaimer: This is just an idea. Please do your own analysis before opening a position. Always use SL & proper risk management.
Market can evolve anytime, hence, always do your analysis and learn trade management before following any idea
AUDCAD Investment Plan - 30/Dec/2022Hello Traders,
Hope you all are doing good!!
I expect AUDCAD to go Down after finishing the current correction in LTF.
Look for your SELL setups.
Considering the fact that there are also traders looking for ideas wrt investment purpose, I will be posting my view on few assets for Long term trades.
Please follow me and like if you agree or this idea helps you out in your trading plan.
Disclaimer: This is just an idea. Please do your own analysis before opening a position. Always use SL & proper risk management.
Market can evolve anytime, hence, always do your analysis and learn trade management before following any idea
EURGBP Investment Plan - 21/Dec/2022Hello Traders,
Hope you all are doing good!!
I expect EURGBP to go Down after finishing the current wave.
Look for your SELL setups around 0.88500 level.
Considering the fact that there are also traders looking for ideas wrt investment purpose, I will be posting my view on few assets for Long term trades.
Please follow me and like if you agree or this idea helps you out in your trading plan.
Disclaimer: This is just an idea. Please do your own analysis before opening a position. Always use SL & proper risk management.
Market can evolve anytime, hence, always do your analysis and learn trade management before following any idea
Silver Investment Plan - 20/Dec/2022Hello Traders,
Hope you all are doing good!!
I expect SILVER to go Down after finishing the current wave.
Look for your SELL setups.
Considering the fact that there are also traders looking for ideas wrt investment purpose, I will be posting my view on few assets for Long term trades.
Please follow me and like if you agree or this idea helps you out in your trading plan.
Disclaimer: This is just an idea. Please do your own analysis before opening a position. Always use SL & proper risk management.
Market can evolve anytime, hence, always do your analysis and learn trade management before following any idea
Asian Paints Long TermTechnical Analysis :
-- Strict Stop Loss = 3077
-- Target - 1 = 3387
-- Target - 2 = 3625
-- Target - 3 = 4232
-- Strong support at 2786.
-- Touching 55 EMA
Fundamental Analysis :
-- Current price is more than the intrinsic value
-- Maintaining a healthy dividend payout
-- CAGR: 10 years - 22%
-- Cash Flow is negative
-- ROCE : 27 %
As the PE ratio is a little high compared to the Median PE i.e 68.8. So keep on investing in a small amount
Divi's Laboratories Long Term Technical Analysis :
-- Strict Stop Loss = 3150
-- Risk : Reward = 1 : 3
-- Target - 1 = 4059
-- Target - 2 = 4597
-- Target - 3 = 4988
-- Strong support at 3039.
-- Re enter the trade at 3185
-- Touching 200 EMA
Fundamental Analysis :
-- Divi's Lab has a healthy ROE.
-- Over the last 5 years, revenue has grown at a yearly rate of 17%
-- ROCE: Maintaining healthy ROCE of 31.64% (1 year), 28.31(3 years), and 26.9% over the past 5 years.
-- Healthy dividend payout
-- Debt-to-Equity: Divi''s Lab has a Debt to Equity ratio of 0.00
-- CAGR: 10 years - 19%
-- Cash Flow: Positive cash flow over the last 5 years
-- P/E ratio: 10 years PE is close to the average PE. So Stock is not overvalued
HUL long term investmentTechnical Analysis :
-- Strong support at 2047
-- Strict Stop Loss = 2440
-- Risk : Reward = 1 : 3
-- Target = 3450
-- Golden crossover in Daily
-- Just crossed the trendline
-- For long-term investment please ignore the targets.
Fundamental Analysis :
-- The company has existed for more than 10 years
-- The company is virtually Debt-free
-- CAGR : 5 year - 17% & 10 year - 18%
-- Revenue, Profit Growth : Over the last 5 years, revenue has grown at a yearly rate of 9–10 %
-- ROCE: Maintaining healthy ROCE of 38.22% (1 year), 90.51(3 years), and 95.95% over the past 5 years.
-- Cash Flow: Over the last 5 years, free cash flow growth has been 8.27%. Which is on the positive side.
-- P/E ratio: Stock is not overvalued as its near to its historical average
-- Maintaining a healthy Dividend
US Market – Long, Mid & Short-Term ViewHow to formulate investing and trading ideas for the long, mid and short-term within one single market? In this tutorial, we are using S&P.
What you are about to learn can be applied to all markets.
Markets are giving us many confusing signals with Dow Jones. According to CNN report, it enjoyed its best month in nearly a half-century in October and it’s up nearly another 3% in November.
Whereas Nasdaq and many other stocks are very much still in their negative zone for the year.
Also, the Fed’s policy is not very encouraging, with their priority to curb inflation with higher interest extending to next year than to pause it so as to revive the economy.
So, with all these confusing signals, we are going to learn how to derive:
Content:
• Long-term view with week
• Mid-term view with day
• Short-term view with 15min
E-Mini S&P
Minimum fluctuation
0.25 point = $12.50
1 point = $50
10 points = $500
I have started this trading series, the purpose is for “Investing & Trading into Longevity”. And again these strategies shared, they can be applied to most markets.
Disclaimer:
• What presented here is not a recommendation, please consult your licensed broker.
• Our mission is to create lateral thinking skills for every investor and trader, knowing when to take a calculated risk with market uncertainty and a bolder risk when opportunity arises.
CME Real-time Market Data help identify trading set-ups in real-time and express my market views. If you have futures in your trading portfolio, you can check out on CME Group data plans available that suit your trading needs www.tradingview.com
$TSLA: Could be a long term bottom...I suspect we saw an important low form in $TSLA here. We had a series of events, after sentiment was very depressed and people were focusing on share buy backs as a possible solution to $TSLA's woes, worrying about '$TWTR related overhang' and demand falling in China / price cuts, etc.
We heard about:
Soros building a stake and backing the company
Munger warming up to $TSLA
FSD no longer beta, available to everyone who requests it as of today
Talk about investing in a new Gigafactory in Korea (which happens to have a free trade agreement with India)
Talk about investing in lithium mining or acquiring a stake in some mining firm
This might help support the stock long term here, as it's clear Elon Musk is still investing for growth, and not focusing on returning cash to shareholders (which would be something an ex-growth company would do).
The solar business is starting to do well, and the 'inflation reduction act' is likely to help it gain more traction. Valuation has come down substantially, and the stock is down a lot, tagging monthly low volume support, near the down trend target from the same timeframe. With the last CPI report showing inflation is coming down, Biden approving one more oil export terminal, as well as recession risk being recognized by the Fed if they keep hiking aggressively I suspect we can get a substantially rally out of this juncture, and maybe even a long term bottom.
I've initiated a long term position, after trying to capture a bottom recently, but selling before going lower. I was away from the stock since Elon sold shares to 'pay his fair share of taxes' after doubling from $600 or so when I had last bought it. Going forward, we need to see a basing pattern form, and pay close attention to fundamental catalysts to give us post pattern confirmation that the thesis here is correct. Currently, reward to risk and probability favor getting involved again, big time.
As a sidenote: Happy Thanksgiving to those who celebrate it!
Cheers,
Ivan Labrie.
ADA/USDTADA for me, is looking good for long term accumulation.
I like the team, and descentralization behind the project.
Also the developers are working hard if you analyze the github repo(see on coingecko).
Bear markets are a good time to DCA. At the moment of writing, 0.886 Fib.retracement looks good for DCA.
It is a very nice correction and risk/reward for long term is looking good for me.
0.15-0.18 is looking good for next support level.
Strategy is simple for long term. If the price is going down = acummulation. If it's going up, waiting with patience and looking for taking profits
!!! These are not financial advices. It's my perspective based on my knowledge at this point of time.
SE ~ Lower Lows incoming? Buying Opp incoming?SE, Sea Limited has been suffering massive losses ever since its peak in the fall of 2021. This massive bull run was led with the Tech & Growth Stock boom that's bubble has recently bursted through out the current Bear Market of 2022!
Sea Limited owns multiple varieties of Business in the South-Eastern Asia Region. Businesses Like :
Shopee - Ecommerce Giant
Garena - Gaming + Esports
& Much more smaller companies
Sea Limited has grown a massive amount of revenue, but has most definitely struggled with its debt and spending to make a profit.
Nonetheless, let's get to Technicals!
SE has suffered such huge losses, many wonder where is the bottom!?
My thesis for this Stock is a short / mid term short position, followed by long term accumilation.
Short : SE has 2 major gaps to still be filled from back before COVID, and the gigantic Rally that took place on SE. I see huge potential for this company's future growth, but I think more downside is to come to give SE fair value.
Along with fair value, and these gaps SE has been unable to reclaim any weekly moving averages, and the TTM_SQUEEZE Momentum Indicator shows more bearish momentum coming.
The monthly chart will get to the point of being oversold, probably near these gap fills. At these gap fill areas, and the way down would be a proper time imo to be covering short positions.
The market also seems to have some more pain ahead, and interest rates will only hurt this company and the markets more, driving the stock down fundamentally.
Long : I do believe in this company's long term outlook and performance. I do think that this will take a while to turn around... But if these gaps get filled, the Risk/Reward on SE will be favorable if the company has only grown. I am going to be extremely patient on SE but will be ready to hunt the discount if these gaps do become filled. I Will also keep my eye on the TTM_Squeeze on the MONTHLY chart, as the Monthly chart has been getting extreme momentum to the bearish side, and will look extremely oversold in the coming months with more downside.
Thesis : Short to Gaps ; Long @ Gap Fills