Supreme is now European: The World's Fashion Capital ExpandsA certain acquisition caught my attention this week. The company sunglass company Ray-Ban (owned by EssilorLuxottica) has just acquired Supreme for $1.5 billion in their first push into clothing. For those of you who know the street wear brand Supreme, this should come as a rather interesting acquisition, specifically that Supreme is considered a significant brand in the fashion arena.
I have a few thoughts on this:
1. This acquisition underscores the immense value that a strong brand can command in the market. Supreme is known primarily for its simple yet highly coveted logo. There's a valuable lesson here.
2. Ray-Ban is owned by EssilorLuxottica, a European conglomerate, which is traded as an American Depositary Receipt (ADR) under the ticker OTC:ESLOY and on the Milan exchange as shown in the chart above $MIL:1EL.
3. In a future post, I am going to compile a list of interesting European fashion stocks to keep your eyes on. One stock in particular has my CLOSE attention. More on this later.
What I'm saying here is that EssilorLuxottica's ownership of Ray-Ban, and now Supreme, highlights the influence of European companies in the global fashion industry considering all of the other European fashion brands. It's safe to say that Europe, quite literally, the capital of fashion.
I must say, there is more to this story as well. I've previously written about On Cloud as well and its threat to Nike. I linked that idea below.
Something to think about...
Also, well done Europe!
New clean green and meanI checked the budget last year and noticed a increase in spending on energy - I do this every couple of years but this year we can see room is being made for the new industries we are evolving...IBM as always takes a high percentage of THIS money, I have watched this game for many years... Ive taken entry @8.6-7 and recently reduced looking to reenter in this area obviously Im not sharing exact entry here - DYOR
DIA - 6 months RECTANGLE══════════════════════════════
Since 2014, my markets approach is to spot
trading opportunities based solely on the
development of
CLASSICAL CHART PATTERNS
🤝Let’s learn and grow together 🤝
══════════════════════════════
Hello Traders ✌
After a careful consideration I came to the conclusion that:
- it is crucial to be quick in alerting you with all the opportunities I spot and often I don't post a good pattern because I don't have the opportunity to write down a proper didactical comment;
- since my parameters to identify a Classical Pattern and its scenario are very well defined, many of my comments were and would be redundant;
- the information that I think is important is very simple and can easily be understood just by looking at charts;
For these reasons and hoping to give you a better help, I decided to write comments only when something very specific or interesting shows up, otherwise all the information is shown on the chart.
Thank you all for your support
🔎🔎🔎 ALWAYS REMEMBER
"A pattern IS NOT a Pattern until the breakout is completed. Before that moment it is just a bunch of colorful candlesticks on a chart of your watchlist"
═════════════════════════════
⚠ DISCLAIMER ⚠
The content is The Art Of Charting's personal opinion and it is posted purely for educational purpose and therefore it must not be taken as a direct or indirect investing recommendations or advices. Any action taken upon these information is at your own risk.
ITALY-MILAN STOCK > ( MONCE ) short ! Based on my graphic analysis I observe a bearish projection reaching minus 7% in the price of this corporation, that is; from € 64 it will drop to € 60. With a buy exit emerging at € 68, it is worth remembering that the exact time the decline will take is unpredictable, the market will simply do its job. We can mention that it will happen within the next 15-20 days from this post!
REFERENCES:
* Green line: emergency exit price: € 68 = -5,7%
* Red line: selling price (position) € 64
* White line: profit €60 = +7%
However, it is important to remember that these marked lines must be respected. If the price goes up 2 to 3% after you execute the position, don't try to improvise and change everything. The movement could return to the initial direction and you will be left frustrated!
"Sitting quietly and waiting for the operation to develop most of the time will allow you to earn much more money. That is, sit in the stands and enjoy the spectacle that the bull will present to you, control your emotions, since the biggest enemy of "The time to invest is yourself"
As for capital management, I leave it to my personal discretion knowing that we must always have money flowing and remain firm in the market.
Greetings and I hope you take advantage of this good negotiation opportunity!
> Josias Baltazar.n
INFINEON TECHInfineon Technologies is not only the largest semiconductor manufacturer in Germany, but it also holds the record for the world's smallest safety chip. This tiny chip, measuring just 0.6 square millimeters, is used in airbags and other critical safety systems in cars. Its small size allows for more compact and efficient designs in vehicles.
Infineon Technologies is a major supplier of semiconductor components and systems to a wide range of leading companies across various industries. Some of the well-known companies they supply include:
1. Automotive: Bosch, Continental, Denso, Valeo
2. Industrial: Siemens, Schneider Electric, ABB, STMicroelectronics
3. Consumer Electronics: Apple, Samsung, Sony, LG Electronics
4. Data & Telecommunications: Cisco Systems, Huawei, Ericsson, Nokia
We will be looking for small entries along the trend line. If the price breaks and remains below the trend line, we will be looking at our accumulation zone.
PST - 1 year ASCENDING TRIANGLE══════════════════════════════
Since 2014, my markets approach is to spot
trading opportunities based solely on the
development of
CLASSICAL CHART PATTERNS
🤝Let’s learn and grow together 🤝
══════════════════════════════
Hello Traders ✌
After a careful consideration I came to the conclusion that:
- it is crucial to be quick in alerting you with all the opportunities I spot and often I don't post a good pattern because I don't have the opportunity to write down a proper didactical comment;
- since my parameters to identify a Classical Pattern and its scenario are very well defined, many of my comments were and would be redundant;
- the information that I think is important is very simple and can easily be understood just by looking at charts;
For these reasons and hoping to give you a better help, I decided to write comments only when something very specific or interesting shows up, otherwise all the information is shown on the chart.
Thank you all for your support
🔎🔎🔎 ALWAYS REMEMBER
"A pattern IS NOT a Pattern until the breakout is completed. Before that moment it is just a bunch of colorful candlesticks on a chart of your watchlist"
═════════════════════════════
⚠ DISCLAIMER ⚠
The content is The Art Of Charting's personal opinion and it is posted purely for educational purpose and therefore it must not be taken as a direct or indirect investing recommendations or advices. Any action taken upon these information is at your own risk.
📉 Short ISP?
Hey guys, currently we have MIL:ISP with the following technical analysis which would indicate a higher probability of another bearish impulse.
1. Nice clear bearish impulse on larger degree
2. Corrective ABC pattern within range of 61.8 % retracement
3. Bearish impulse on lower degree breaking out of larger degree trend line
4. Healthy bearish correction on lower degree with the move breaking out
Typically I don't short the stock market much, I am mostly bullish with my positions, but this one looks really clean so I will be involved.
ENEL - 21 months HEAD & SHOULDERS══════════════════════════════
Since 2014, my markets approach is to spot
trading opportunities based solely on the
development of
CLASSICAL CHART PATTERNS
🤝Let’s learn and grow together 🤝
══════════════════════════════
Hello Traders ✌
After a careful consideration I came to the conclusion that:
- it is crucial to be quick in alerting you with all the opportunities I spot and often I don't post a good pattern because I don't have the opportunity to write down a proper didactical comment;
- since my parameters to identify a Classical Pattern and its scenario are very well defined, many of my comments were and would be redundant;
- the information that I think is important is very simple and can easily be understood just by looking at charts;
For these reasons and hoping to give you a better help, I decided to write comments only when something very specific or interesting shows up, otherwise all the information is shown on the chart.
Thank you all for your support
🔎🔎🔎 ALWAYS REMEMBER
"A pattern IS NOT a Pattern until the breakout is completed. Before that moment it is just a bunch of colorful candlesticks on a chart of your watchlist"
═════════════════════════════
⚠ DISCLAIMER ⚠
The content is The Art Of Charting's personal opinion and it is posted purely for educational purpose and therefore it must not be taken as a direct or indirect investing recommendations or advices. Any action taken upon these information is at your own risk.
BMPS - 1 year ASCENDING TRIANGLE══════════════════════════════
Since 2014, my markets approach is to spot
trading opportunities based solely on the
development of
CLASSICAL CHART PATTERNS
🤝Let’s learn and grow together 🤝
══════════════════════════════
Hello Traders ✌
After a careful consideration I came to the conclusion that:
- it is crucial to be quick in alerting you with all the opportunities I spot and often I don't post a good pattern because I don't have the opportunity to write down a proper didactical comment;
- since my parameters to identify a Classical Pattern and its scenario are very well defined, many of my comments were and would be redundant;
- the information that I think is important is very simple and can easily be understood just by looking at charts;
For these reasons and hoping to give you a better help, I decided to write comments only when something very specific or interesting shows up, otherwise all the information is shown on the chart.
Thank you all for your support
🔎🔎🔎 ALWAYS REMEMBER
"A pattern IS NOT a Pattern until the breakout is completed. Before that moment it is just a bunch of colorful candlesticks on a chart of your watchlist"
═════════════════════════════
⚠ DISCLAIMER ⚠
The content is The Art Of Charting's personal opinion and it is posted purely for educational purpose and therefore it must not be taken as a direct or indirect investing recommendations or advices. Any action taken upon these information is at your own risk.
ISP - 9 months ASCENDING TRIANGLE══════════════════════════════
Since 2014, my markets approach is to spot
trading opportunities based solely on the
development of
CLASSICAL CHART PATTERNS
🤝Let’s learn and grow together 🤝
══════════════════════════════
Hello Traders ✌
After a careful consideration I came to the conclusion that:
- it is crucial to be quick in alerting you with all the opportunities I spot and often I don't post a good pattern because I don't have the opportunity to write down a proper didactical comment;
- since my parameters to identify a Classical Pattern and its scenario are very well defined, many of my comments were and would be redundant;
- the information that I think is important is very simple and can easily be understood just by looking at charts;
For these reasons and hoping to give you a better help, I decided to write comments only when something very specific or interesting shows up, otherwise all the information is shown on the chart.
Thank you all for your support
🔎🔎🔎 ALWAYS REMEMBER
"A pattern IS NOT a Pattern until the breakout is completed. Before that moment it is just a bunch of colorful candlesticks on a chart of your watchlist"
═════════════════════════════
⚠ DISCLAIMER ⚠
The content is The Art Of Charting's personal opinion and it is posted purely for educational purpose and therefore it must not be taken as a direct or indirect investing recommendations or advices. Any action taken upon these information is at your own risk.
Stellantis: Bearish ABCD with Multiple Monthly ConfirmationsStellantis: The Nvidia of Autos has formed a Bearish ABCD that is visible on the Monthly Timeframe with MACD Bearish Divergence and Bearish PPO Confirmation. If this plays out, we could see this go towards the C level, which aligns with the 0.786 retrace at €4.48
Moncler: A Stylish Investment on the RiseHello investors,
In this report, we dissect the financial intricacies of a prominent stock, leaving no detail unexplored. From market capitalization and price-to-earnings ratio to revenue conversion and cash reserves, we analyze every facet to equip you with strategic insights. We'll go beyond the numbers and charts, painting a vivid picture of the company's financial health. Moreover will be also sharing with you at the end what is my personal expert opinion and future outlook for the financial details of Moncler.
Moncler is a luxury fashion company with a market capitalization of 16.875 billion EUR. It currently trades at a Price to Earnings (P/E) ratio of 31.05, which indicates that investors are willing to pay 31.05 times the company's earnings per share (EPS). The current Basic EPS (TTM) stands at 2.01 EUR.
Now, let's dive into the Revenue to Profit Conversion for the year 2022:
- Total revenue: 100%
- Gross profit: 68%
- EBITDA: 40%
- Net income: 23%
The Revenue to Profit Conversion indicates that Moncler is generating a reasonable amount of revenue, but the conversion of that revenue into profits is somewhat lower. This could be an area of concern for investors, as a higher gross profit and net income conversion would generally be preferred.
Next, let's examine Moncler's financial health based on key financial metrics for the years 2018 to 2022:
- Debt: The company's debt has increased over the years, reaching 912.78 million EUR in 2022. This increasing debt level is a point of caution and needs to be monitored closely, as it may affect the company's financial flexibility.
- Free Cash Flow: Moncler has shown a fluctuating trend in free cash flow, with significant variations from year to year. While the H1 2023 free cash flow stands at 492.72 million EUR, this could impact the company's ability to invest in growth opportunities or return value to shareholders.
- Cash and Equivalents: Moncler has maintained a relatively stable level of cash and equivalents over the years, which provides a degree of liquidity and financial strength.
Now, let's analyze the Financial Position based on the figures from 2022:
- Short-term Assets: 1.62 billion EUR
- Short-term Liabilities: 963.71 million EUR
- Long-term Assets: 3.02 billion EUR
- Long-term Liabilities: 773.31 million EUR
Moncler's financial position seems relatively strong, with a higher value of assets compared to liabilities, both in the short and long term. However, it's important to keep an eye on the company's debt levels and how they might impact its financial position in the future.
Regarding the company's earnings per share (EPS) history and projections:
- EPS in 2020: 1.18 EUR
- EPS in 2021: 1.53 EUR
- EPS in 2022: 2.24 EUR
- H1 2023: 0.54 EUR
Moncler has shown an increasing trend in EPS, which is generally positive. However, the H1 2023 EPS has seen a decline compared to the previous year. This dip could be due to various factors, and it's crucial to closely monitor the reasons behind it to assess its potential impact on future performance.
Now, let's review the financial statements for H1 2022, H2 2022, and H1 2023:
- H1 2022:
- Total revenue: 918.38 million EUR
- Gross profit: 576.21 million EUR
- Operating income: 180.17 million EUR
- Pretax income: 168.54 million EUR
- Net income: 211.25 million EUR
- H2 2022:
- Total revenue: 1.68 billion EUR
- Gross profit: 1.19 billion EUR
- Operating income: 594.38 million EUR
- Pretax income: 578.79 million EUR
- Net income: 395.44 million EUR
- H1 2023:
- Total revenue: 1.14 billion EUR
- Gross profit: 731.59 million EUR
- Operating income: 217.79 million EUR
- Pretax income: 206.47 million EUR
- Net income: 145.35 million EUR
Moncler's financial statements show an overall positive trend in revenue, gross profit, and net income. However, the H1 2023 figures indicate a decline in net income compared to H2 2022. It's essential to assess the reasons behind this decline and evaluate whether it's a short-term setback or a potential cause for concern.
Future Outlook:
As for me, my rating for Moncler stock would be cautiously optimistic. The company has demonstrated strong financials, stable cash reserves, and a consistent revenue stream. The increasing EPS until 2022 indicates growth and profitability.
However, there are some concerns that need to be closely monitored. The rising debt level and fluctuating free cash flow could impact the company's ability to invest in growth initiatives or handle unforeseen economic challenges.
The decline in H1 2023 net income raises questions about the company's performance during this period. To make a more accurate assessment, it's crucial to investigate the reasons behind this decline and evaluate the company's strategies for addressing potential challenges.
In conclusion, Moncler appears to be a solid luxury fashion company with growth potential, but potential investors should conduct thorough research and analysis to make informed decisions. The financial health and future outlook should be continually monitored, considering the evolving market conditions and economic landscape.
Disclaimer : Please note that the future behavior of the stock is subject to market volatility, industry trends, and global economic conditions. I highly recommend you guys staying updated with the company's quarterly reports and financial statements for a more accurate evaluation of its performance and prospects. Additionally, all of the information that I used can be found in the trading view app related to MONC financial details.
BC - 6 months HEAD & SHOULDERS══════════════════════════════
Since 2014, my markets approach is to spot
trading opportunities based solely on the
development of
CLASSICAL CHART PATTERNS
🤝Let’s learn and grow together 🤝
══════════════════════════════
Hello Traders ✌
After a careful consideration I came to the conclusion that:
- it is crucial to be quick in alerting you with all the opportunities I spot and often I don't post a good pattern because I don't have the opportunity to write down a proper didactical comment;
- since my parameters to identify a Classical Pattern and its scenario are very well defined, many of my comments were and would be redundant;
- the information that I think is important is very simple and can easily be understood just by looking at charts;
For these reasons and hoping to give you a better help, I decided to write comments only when something very specific or interesting shows up, otherwise all the information is shown on the chart.
Thank you all for your support
🔎🔎🔎 ALWAYS REMEMBER
"A pattern IS NOT a Pattern until the breakout is completed. Before that moment it is just a bunch of colorful candlesticks on a chart of your watchlist"
═════════════════════════════
⚠ DISCLAIMER ⚠
The content is The Art Of Charting's personal opinion and it is posted purely for educational purpose and therefore it must not be taken as a direct or indirect investing recommendations or advices. Any action taken upon these information is at your own risk.