MY TECHNICAL ANALYSIS SHOWS THAT THIS STOCK PRICE WILL RISE AND FUNDAMENTAL ANALYSIS SHOWS THAT THE FIRM IS IN GOOD SHAPE ===THERE IS SOME RISK BUT I AM THINKING THAT MANY TRADERS LOOK TO INVEST IN THIS SECTOR AND CAH WILL TAKE THEIR ATENTION - IT HAS DIVIDEND YIELD NEAR 2% AND DEBT IS ALMOST LONG TERM , THE FIRM HAS GOOD CURRENT RATIO, GOOD P/E AND P/B IS NOT...
TECHNICAL ANALISYS SHOW THAT ITS TIME TO GO LONG ON THIS ,BUT FUNDAMENTALY THE COMPANY IS NOT IN VERY GOOD SHAPE . HOWEVER I WILL TAKE THE RISK JUST TO SEE HOW THE SYSTEM OF TECHNICAL ANALISYS WORKING WITHOUT ANY VALUE ANALISYS . THE COMPANY HAS BIG DEBT - MOST OF IT IS LONG TERM DEBT, BUT INVESTORS WILL SEE THIS LIKE A BAD THING . I LIKE THE EARNINGS - ITS...
I THINK ALL SECTOR WILL GO UP ELECTRIC UTILITIES WILL RISE SOON IN THE WHOLE WORLD - PNW IS GOOD INVESTMENT FOR LONG TERM GOOD DIVIDENDS ALSO MAKE THIS STOCK COMPETATIVE - THE COMPANY HAS LONG LIFE AND SURVIVE BIG DEPRESION AND ALL CRISIS .
SOON USD WILL FALL DOWN BECAUSE NO ONE WANT TO SEE STOCK MARKET GOING DOWN ON OTHER HAND EUR IS WEAK TOO BECAUSE OF THE PROBLEMS WITH IMIGRANTS I THINK WHICH COUNTRY WILL BE OK AND GO UP AND GBP IS WHAT I NEED . THERE IS OTHER POSSIBILITY AND THIS IS STOCK MARKET TO GO DOWN , BUT I THINK THIS WILL BE STOPED BY THE US GOVERMENT - MY BE THE OIL WILL GO UP TOO I...
I SHOW THIS BECAUSE I BELIEVE THIS STOCK WILL GROW IN THE FUTURE - ITS GOOD FOR LONG TERM INVESTMENT.THE STRATEGY IS BASED ON DEBT AND DIVIDEND - I USE TECHNICAL AND FUNDAMENTAL ANALYSIS AND IDEA IS THAT : WHEN THE COMPANY WORK GOOD DEBT IS SMALL - WHEN THE INCOME IS BAD INVESTORS SELL AND THE PRICE GO DOWN,THAN DEBT IS GOING TO RISE AND SOME TIME IS NEEDED...
ITS THE BEST STOCK ON MY LIST - I MAKE 1100% RETURN FROM THIS COMPANY AND NOW THE SECOND WAVE IS COMING - IT WILL BE SMALLER COMPARE TO THE FIRST ,BUT THE RISK /RETURN IS GOOD - THE PRICE OF THE PRODUCT GO UP EVERYWHERE IN THE WORLD AND THE DEMAND STAY THE SAME OR GO UP TOO - ITS LIKE MONOPOLY - PEOPLE WHO WAS SMOKING YESTERDAY WILL SMOKE TOMORROW AND BECAUSE OF...
ONE OF THE BEST STOCK IN MY LIST - I MAKE 400% RETURN AND NOW ITS COMING AGAIN.THIS STOCK WAS MY SECOND BIGGEST RETURN AND I THINK THE HYSTORY WILL REPEAT ITSELF SOON.LITTLE DEBT P\B NEAR 0.75 - ITS THE PERFECT TIME TO GO LONG
I WANT TO PRESENT YOU ONE OF THE BEST STOCKS I FOUND WITH SUPER POTENTIAL TO BECAME BIGGEST WINNER .I THINK THIS COMPANY WILL PERFORMING BETTER AND BETTER FOR THE FUTURE.ITS RISKY BUT FOR ONLY 1000 $ YOU COULD BECOME VERY RICH IF THE PRICE GO TO OLD LEVELS.WITH 1000$ NOW YOU COULD BUY 1000 SHARES AND I AM OPTIMISTIC ABOUT 2-3 YEARS AFTER THAT THE PRICE WILL BE...
THIS IS ANOTHER STOCK WITH P/B RATIO UNDER 1 AND ANALISYS SHOW THAT IN NEAR FUTURE PRICE WILL GO UP. 1. LITTLE DEBT 2. GOOD CURRENT RATIO 3. EXPECTED EPS FOR NEXT YEAR THIS CORPORATION WILL BENEFIT OF GROWING WAR CONFLICTS AND TERRORISM LET ME GIVE YOU MY WORD -CONFLICTS ARE GROWING AND THEY WILL NOT STOP TO DO THIS JUST LIKE THAT. ADD THIS STOCK TO YOUR WATCH...
1.The company has very little debt compared to equity. 2. Price-book ratio is below 1. 3. The company has a lot of liquid assets, which is a sure sign that will not going to bankrupt in the near future. 4. The share price reached levels that have historically been major support area. 5. Relatively high dividends, which, in a reversal of the trend will lead to...
OIL AND GAS PRICE HAS NEGATIVE CORELATION WHEN PRICE OF OIL GO DOWN GAS WILL BOUNCE UP FOR SHORT PERIOD OF TIME ..EVEN THIS STOCK WHICH HAS SOME PROBLEMS WITH LIQUIDITY MARKET GIVE GOOD INDICATIONS FOR LONG POSITIONS,PRICE BOUNCE FROM 38.00 AND THIS MOVE HAS SOME VOLUME, COMBINING THIS WITH THE NEWS FROM IRAN PRICE WILL MOVE UP ..I THINK THIS IS POSSIBLE SCENARIO...
MOMENTUM DEVERGENCE 5 BARS CLOSE , IF YOU SEE THIS ON WEEKLY CHARTS THEN IS TIME TO REVERSE
TECHNICAL ANALYSIS SHOW TREND REVERSE. IF YOU LOOKING ON 1M YOU WILL SEE HOW MANY TIMES PRICE GO ON THIS LEVEL AND REVERSE, BECAUSE OF INTERVENTIONS FROM MONETARY AUTORITES. PURE TECHNICAL ANALYSIS SHOW THAT LAST 2 YEARS MAY BE TRIANGLE FIGURE IS BEGINING. FRIDAY SOME PLAYERS WILL BE CLOSING SHORT POSITIONS, BUT ON MOONDAY ITS GOOD FOR OPENING SHORTS.
The theory that I design refers to the actual value of the shares. Book value per share is approximately 1.71, if the indicators are correct. This means that the shares are currently overvalued. There are many examples of such shares and I always wondered why anyone would want to own such shares. The whole theory is based on the difference between book value and...
IN ADDITION. Noticed'M SURE prices typically react AREAS WHERE PREVIOUSLY LINES WERE sharp turn. Graphics AM remarked what I mean.
THIS IS MY NEW IDEA.BBANDS INDICATORS REPRESENT NORMAL DISTRIBUTION,OR THEY SHOW WHERE THE PRICE WILL GO WITH SOME CERTAINTY - PRICE =68.27%,Z-1*STD ARE DARK BLUE LINES,Z+1*STD ARE YELOW LINES,CLASIC BBANDS - PRICE =95.45% THATS DARK GREEN LINES AND PRICE =99.73% ARE GREEN AND RED LINES.BROWN LINE IS 20MA AND WHEN PRICE GO UP WE GO LONG PROCES IS REVERSE FOR...
I THINK TX IS UNDER VALUE AND WILL BE GOOD TO HOLD THIS STOCK ON PORTFOLIO TARGET PRICE FOR SHORT TIME IS 22.45,IF THE PRICE GO OVER NEXT RESISTANCE WILL BE 25.00 finviz.com