This week financial markets were dominated by central banks policy decisions. While the Federal Reserve (Fed) and Bank of England (BOE) kept rates on hold, the policy board of the Bank of Japan (BOJ) decided to further increase the flexibility in its yield curve control policy. The BOJ previously set a strict cap of 1.0% for the 10-year Japanese Government Bond...
History shapes our views and we are always seeking analogs comparable to current events. Even if we know that ‘past performance is not indicative of future performance’, we are still comforted when we draw parallels to the past. Many are now drawing parallels of the current tech enthusiasm to the dawn of the internet. The quintessential example of a ‘bubble’...
Long story short - the market will likely rerate the earnings multiple upwards as oil continues to remain elevated. Do keep in mind that the GOAT is buying chevron and occidental. The cash flow here is going to continue to impress and in a difficult global environment it will suddenly attract capital , causing that multiple to inflate towards the 2 digit mark.
Short on Tesla so long as we stay below the yellow trend line not sure if it is ready to continue upwards without another retest at 1000 and perhaps a break here could lead back down to 900. Tesla is a mixed bag. Increasing EBIDTA looks good. Decreasing debt looks good. Debt to Equity ratio decreasing. Solid company. But the P/B and P/E ratios are high indicating...
Alibaba oversold - RSI is low, historically this has preceded growth. P/E and P/B are low compared to other industry players and historically. Stochastic RSI was also down so tomorrow may be good for a buy. Debt to equity ratio decreasing. despite a bit of increased dept from a few Quarters ago. Let's see what the next few days bring, likely will open a buy...
Hey everybody. In this idea i am trying to figure out when is the right time to buy apple based on P/S , P/E and the EMA of 55 Months!!! In order to reach my conclusions i took 5 points starting from the 08 financial crisis. However in that time apple was in super growth and high expectations mode so for sure P/S and P/E were in excess. Definitely over the last...
It makes no much sense to buy stock at 300-400 PE. To give an idea, AMZN PE is 138 currently and iis expensive! On TSLA this is hugelly speculative flow that doesnt tend to hold. Im entering todays short with 2 strategies. One buy puts for september with strike 1120 (previous price to close the gap) and short the stock with Stop loss of 5%. Targets are 1120...