Silver produces a by signal which only happetnd every 20-30 Yeas. A new Trend ist set. Ignore all the noises from last weeks. Der quarterly Chart with the MA shows very impressive, when a new trend started. Duration und gains were also very impressive. See remarks on the Chart. Only a break below the MA30 will destroy the scenario. But no signs for that. In my...
The German Dax did last year a very outstanding performance. Inbetween, some money switches from the USA into Europe. Germany as well. The Chart shows very impressive, what 2001 happend. Also after a period, where everyone talked about "the Sky" is the Limit. After 2001 the Dax needed 5 years for revovering. Germany actually stands for big problems: . the new...
Regarding the chart, two remarks: - heavy price acceleration will end - Deviation from 200MA: typical sign for correction. Maybe we will see 2400 USD/OZ, but for shure expect correction down to 2800 at minimum. 2500 also possible. Reason: maybe fundamental. Toll problems will be solved. Escape Room Gold not longer required.
SPX with nice structure EW 1-5, now A reached. Now in wave B with target 5500-5600 USD. A-B-C completed when C reached, around 4600 USD. Maybe only 5000 USD, who knows exact, what and when Mr. Trump will say.
After a long run over the years, Gold climbed up to 3200 USD/oz. The ETF GLL Ultra Short, which is leveraged by factor 2, seems to reach a bottom. Reasons for bottom - traded Volume very high - excellent Elliott-wave structure in several time periods Fear factor will be reduced: Toll Bomb will not exploded. Mr. Trump seems to go very elastic in these theme and...
Meantime Gold did a spectacular upmove without any greater correction. But meantime,,there we have a classical 1 to 5 price action. Wave 3 completes plus minus 3%,,correction towards 2600 USD in next monthes.
The German DAX did an impressive rally during the last weeks. The Index has less losses than the SPX. But- in the past, the DAX was never able, to hold his relative advantage to main indexes. Technically side, the 3 Week Chart shows a special situation in RSI and Slow Stochastic, with predictable losses in the past. All in all: Short recovery even...
Massive upward Trend in Gold. Now, correction ahead, due of SKS and some Indicators with specialmextrems. Targets 2840 first. The we will see.
Tesla actually as an high flyer. Since end of october, the value has been doubled. Are there any fundamental reasons, to substantiate such a move? 100% for sure not. Why? Musk will launch next year another cheaper car. This may help to keep the piece of the market, but not to increase very higher sales in total. 2024 tesla sold end of Q3 not more cars than in...
How to read the Char. In the main pan, there we find the ratio built by Willshire5000 divided by global Gross Domestic. As you know, the Buffett indicator is built by the ratio built by Willshire5000 divided by GDP USA. Meantime, together with the strong globalization, various experts thinking, that US companies make a lot of there revenues in foreign countries....
All reasonable due chart situation. Expect 30% down rush, very quick. And I’ am convinced, that we all talking about a big crash within the next 3-9 weeks. Wait for RSI divergence. My intention, take the down move with SQQQ.
Technical reason due of chart indicatora: - double bottom RSI - min. slow stochastic with extremal bollinger bands - OBV stabilized And I expect also, that a buyer will be find for part of carbon fibers, which brings losses. Overall, new CEO with good inhouse solution.
Technical reason due of chart indicatora: - double bottom RSI - min. slow stochastic with extremal bollinger bands - OBV stabilized And I expect also, that a buyer will be find for part of carbon fibers, which brings losses. Overall, new CEO with good inhouse solution.
I stated on another analysis the big advanteges of this fine and exceptionell company. But as a matter of fact, the share is in a very special situation, which does not give an optimistic outllook for the next monthes. I expect sharp correction for about minimum 15%. Only reason: charttechnical situation, which we saw in the past three times. And in every case,...
American Express is since decades Warren Buffett Darling. AXP last years with increasing fees and solid growth spent wonderfull earnings to the shareholders, even solid dividends. But during the last years, credit defaults increased rapidly. From quarter to quarter they increased accounting provisions. st. louis Fed statistic also very interesting. Small banks in...
For me, MSFT is no more longer focussed on their core business. Technical absolut incredible: Negative divergence on RSI Flat on OBV Diamond head formation. Bear market for 12-18 months. Target around 300 USD with gap filling.
Regarding the last 15 to 20 months, on monthly chart, you will find the comparison between the major sectors within the SPX: semiconductors, finance, retailer goods, information technology. What is interesting: sector information technology still rising, no cut, no descending, linear rsining, not hyperpolic, which is still a sign of exuberation. The largest...
For me, MSFT is no more longer focussed on their core business. Technical absolut incredible: Negative divergence on RSI Flat on OBV Diamond head formation. Bear market for 12-18 months. Target around 300 USD with gap filling.