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Lingrid | GBPAUD anticipating POTENTIAL Consolidation-Expansion

FX:GBPAUD market continues to oscillate between the resistance and support levels of 2.0300 and 2.0600. It has broken and closed above the downward trendline and the highs from the last two days. With a bullish outlook on the daily timeframe, we anticipate a classic consolidation expansion move. If the price holds above the support level and trendline, we can expect a retest of at least last week's high and potentially further bullish moves. My goal is resistance zone around 2.06490 Traders, If you liked this educational post?, give it a boost ? and drop a comment ?

It's time to long $Sol at 130.50 OR 131.50

You can see solana performing Bear Flag if it doesn't break this Bear flag so you have to long solana and it's time to make good money.

Title: Against the Grain: Exploring the Contrarian Investment Ca

Contrarian investing involves deliberately going against prevailing market sentiment. It's about identifying potentially undervalued assets that the majority of investors might be overlooking or unduly pessimistic about. In the world of heavy industry and commercial vehicles, Volvo Group (AB Volvo) – the manufacturer of trucks, buses, construction equipment, and engines, distinct from the passenger car maker Volvo Cars – presents an interesting case study for potential contrarian investors. While facing headwinds common to cyclical industries, several factors could make Volvo Group an attractive proposition for those willing to look beyond short-term concerns. Why the Market Might Be Hesitant (The Prevailing Sentiment) To understand the contrarian case, we first need to acknowledge why the broader market might be cautious about Volvo Group: Cyclicality: Volvo Group's core markets (trucking, construction) are highly sensitive to economic cycles. Fears of a global economic slowdown or recession often lead investors to sell shares of cyclical companies like Volvo, anticipating decreased demand for new trucks and equipment. Electrification Transition: The shift away from diesel towards electric and potentially hydrogen-powered commercial vehicles is a massive undertaking. It requires significant R&D investment, new manufacturing processes, and faces challenges like charging infrastructure and battery costs. The market may worry about execution risks, high costs impacting profitability, and competition from both established players and new entrants (like Tesla Semi). Geopolitical and Supply Chain Risks: As a global manufacturer, Volvo Group is exposed to geopolitical tensions, trade disputes, and potential disruptions in complex global supply chains, which can impact production and costs. Intense Competition: Volvo operates in highly competitive markets, facing strong rivals like Daimler Truck, PACCAR (Kenworth, Peterbilt, DAF), Traton Group (Scania, MAN), and Caterpillar in construction equipment. The Contrarian Argument: Why Volvo Group Might Be Undervalued A contrarian investor might look past these concerns and focus on Volvo Group's underlying strengths and potential catalysts: Market Leadership and Brand Strength: Volvo Group holds strong market positions globally, particularly in heavy-duty trucks (with brands like Volvo Trucks, Mack Trucks, Renault Trucks) and construction equipment (Volvo CE). The Volvo brand is globally recognized for quality, safety, and reliability, commanding customer loyalty. Proactive Electrification Strategy: Far from being a laggard, Volvo Group has been quite proactive in the transition to zero-emission transport. It is already delivering series-produced electric trucks and construction equipment and is investing heavily in battery technology and fuel cells (e.g., through its cellcentric joint venture with Daimler Truck). A contrarian might argue the market underestimates Volvo's ability to navigate this transition successfully, leveraging its existing scale, dealer network, and customer relationships. Strong Service and Aftermarket Business: A significant portion of Volvo's revenue and profits comes from services, spare parts, and financing. This aftermarket business is generally less cyclical and more stable than new vehicle sales, providing a resilient income stream even during downturns. Financial Health and Shareholder Returns: Historically, Volvo Group has demonstrated robust financial management, generating solid cash flows and often rewarding shareholders with attractive dividends. If the stock price is depressed due to cyclical fears, the dividend yield could become particularly appealing, offering income while waiting for a potential market recovery or re-rating. Potential Undervaluation: The core of the contrarian argument often rests on valuation. If market pessimism has driven Volvo Group's share price down excessively relative to its earnings, cash flow, book value, or future prospects, it could represent a value opportunity. Contrarians believe the market may be overly focused on short-term cyclical risks, ignoring the company's long-term strengths and resilience. Infrastructure Spending Tailwinds: Long-term government initiatives focused on infrastructure renewal and development in various parts of the world could provide a sustained tailwind for Volvo's construction equipment division and, indirectly, for its truck business. Risks Remain It's crucial to remember that contrarian investing is inherently risky. The market's pessimism might be justified. A severe global recession could significantly impact Volvo's earnings. The transition to electrification could prove more costly or difficult than anticipated. Competitive pressures could intensify further. Therefore, thorough due diligence is essential. Conclusion Volvo Group (AB Volvo) presents a potentially compelling case for contrarian investors. While facing legitimate concerns related to economic cycles and the complex transition to electrification, the company possesses significant strengths: market leadership, a strong brand, a robust service business, proactive steps in electrification, and potentially an attractive valuation if market fears are overblown. For investors with a longer-term horizon who believe the market may be too pessimistic about the prospects for heavy commercial vehicles and construction equipment, and who trust in Volvo Group's ability to navigate the ongoing industry transformation, the stock could warrant closer examination as a potential contrarian opportunity. However, as with any investment, especially a contrarian one, detailed analysis of the company's financials, strategy, competitive positioning, and current valuation is critical before making any commitment.

Gold Bulls Again!

Following significant buying activity during the Asian session today, spurred by Trump's announcement on auto tariffs, gold prices have begun to cool off and are retracing towards the 3050 region. If the price reaches this level and forms support on the lower timeframes (30-minute to 1-hour charts), there may be an opportunity to take quick buy positions similar to yesterday's trades. At present, selling gold is not advisable, as tariff-related news could trigger volatility at any moment. For buy positions, it is recommended to wait for the price to retrace and confirm that buyers are actively stepping in. This approach minimizes risk and ensures a favorable risk-to-reward ratio. Wishing you a successful trading session and a fantastic Friday ahead!

GOLD Will Go Up From Support! Buy!

https://www.tradingview.com/x/gkb2oFs9/ Here is our detailed technical review for GOLD. Time Frame: 3h Current Trend: Bullish Sentiment: Oversold (based on 7-period RSI) Forecast: Bullish The market is approaching a significant support area 3,076.15. The underlined horizontal cluster clearly indicates a highly probable bullish movement with target 3,102.53 level. P.S Overbought describes a period of time where there has been a significant and consistent upward move in price over a period of time without much pullback. Disclosure: I am part of Trade Nation's Influencer program and receive a monthly fee for using their TradingView charts in my analysis. Like and subscribe and comment my ideas if you enjoy them!

trend kırıldı

2023 den gelen trendi aşağı kırdı düşüşün derinleşmesini bekliyorum

XAL/USD "The Aluminium" Metal Market Heist Plan (Swing/Day)

?Hi! Hola! Ola! Bonjour! Hallo! Marhaba!? Dear Money Makers & Robbers, ??✈️ Based on ?Thief Trading style technical and fundamental analysis?, here is our master plan to heist the XAL/USD "The Aluminium" Metal Market. Please adhere to the strategy I've outlined in the chart, which emphasizes short entry. Our aim is the high-risk Green Zone. Risky level, oversold market, consolidation, trend reversal, trap at the level where traders and bullish robbers are stronger. ??Book Profits Be wealthy and safe trade.??? Entry ? : "The vault is wide open! Swipe the Bearish loot at any price - the heist is on! however I advise to Place sell limit orders within a 15 or 30 minute timeframe most recent or swing, low or high level. Stop Loss ?: Thief SL placed at 2630 (Swing/Day) Using the 4H period, the recent / swing high or low level. SL is based on your risk of the trade, lot size and how many multiple orders you have to take. Target ?: 2480 (or) Escape Before the Target ?Scalpers, take note ? : only scalp on the Short side. If you have a lot of money, you can go straight away; if not, you can join swing traders and carry out the robbery plan. Use trailing SL to safeguard your money ?. XAL/USD "The Aluminium" Metal Market Heist Plan (Swing/Day) is currently experiencing a bearishness,., driven by several key factors. ??️Get & Read the Fundamental, Macro, COT Report, Quantitative Analysis, Sentimental Outlook, Intermarket Analysis, Future trend targets.. go ahead to check ???? ⚠️Trading Alert : News Releases and Position Management ? ?️ ?? As a reminder, news releases can have a significant impact on market prices and volatility. To minimize potential losses and protect your running positions, we recommend the following: Avoid taking new trades during news releases Use trailing stop-loss orders to protect your running positions and lock in profits ?Supporting our robbery plan ?Hit the Boost Button? will enable us to effortlessly make and steal money ??. Boost the strength of our robbery team. Every day in this market make money with ease by using the Thief Trading Style.???❤️?? I'll see you soon with another heist plan, so stay tuned ??‍???

Mister Y - GU - Friday - 28/03/25 Top down analysis

Analysis done directly on the chart The easy access to brokers, makes it easy for aspiring traders to hit buy and sell button. That's why a lot of people entering in this industry with high convictions think they will make a lot of money in quick time. But it requires a lot of efforts just like any other businesses and professions. Treat trading as a business. Not financial advice, DYOR. Market Flow Strategy Mister Y

GBPNZD Will Move Lower! Short!

https://www.tradingview.com/x/B9oaz3pu/ Here is our detailed technical review for GBPNZD. Time Frame: 1D Current Trend: Bearish Sentiment: Overbought (based on 7-period RSI) Forecast: Bearish The market is trading around a solid horizontal structure 2.263. The above observations make me that the market will inevitably achieve 2.229 level. P.S We determine oversold/overbought condition with RSI indicator. When it drops below 30 - the market is considered to be oversold. When it bounces above 70 - the market is considered to be overbought. Disclosure: I am part of Trade Nation's Influencer program and receive a monthly fee for using their TradingView charts in my analysis. Like and subscribe and comment my ideas if you enjoy them!

Range with manipulation 4h - m15 model

https://www.tradingview.com/x/DXfLNYu1/ Working in range, waiting for manipulation on the lower borders 4h, when forming the model, I will open positions in the long! The target is PDH and the upper boundary of the range