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Dont mess with Bart

Just some entertainment but still think eurozone domed going to 80cents

Gold fell and weakened

Gold fell after rising to 2790. The daily chart shows a descending triangle pattern, with the high point gradually moving down, and the overall trend is a five-wave decline at a high level. The lower support level of 2545 is the dividing line between long and short positions, and the upper level of 2720 forms a double top and falls back, and it rebounds near 2584. In general, gold is in a trend of high-level shock and decline, with a short-term rebound and a small ascending triangle structure. In terms of operation, you can pay attention to the breakthrough of the triangle before trading. Short-term support is 2610 and resistance is 2635. It is recommended to arrange short orders when breaking below 2610, and those who are conservative can wait for the price to rebound to 2630-2635 under pressure before going short. The downside targets are TP2605, TP2580, and TP2550, respectively, and the stop loss can be set at 2656 (breaking above the previous adjustment range).

USOIL BEARISH BIAS RIGHT NOW| SHORT

https://www.tradingview.com/x/AmAFgBfB/ Hello, Friends! Bearish trend on USOIL, defined by the red colour of the last week candle combined with the fact the pair is overbought based on the BB upper band proximity, makes me expect a bearish rebound from the resistance line above and a retest of the local target below at 67.02. ✅LIKE AND COMMENT MY IDEAS✅

SCHG Correction in 2025 but Long-Term Rocket Ship

Ticker: SCHG (Schwab U.S. Large-Cap Growth ETF) Timeframe: 1M (Monthly) Analysis SCIG, a growth-focused ETF, has exhibited remarkable resilience and growth potential over the years. Here's a breakdown using Elliott Wave Theory: - Wave (1): Initial bull run fueled by strong tech and large-cap growth sectors. - Wave (2): Corrective phase due to market adjustments. - Wave (3): Anticipated robust rally supported by macro trends in technology and innovation. - Wave (4): Short-term consolidation before a final push. - Wave (5): Projected target zone $64.00+, reflecting long-term growth potential. Key Levels: - Entry Zone: Current price around $28.57 offers an attractive entry point for long-term investors. - Intermediate Target: $46.00 (+61% from current levels). - Final Target: $64.00 (+124% from current levels). - Invalidation: If prices drop below $20.00, the wave structure would be reconsidered. Fundamentals: - Sector Allocation: Heavy on technology, healthcare, and consumer discretionary—key drivers of growth. - Macro Outlook: Large-cap growth companies are poised to benefit from technological innovation, AI adoption, and global economic recovery. - ETF Strategy: SCIG provides diversification across leading growth stocks, making it an excellent addition for those seeking exposure to the U.S. growth market. Dividend Growth While SCIG primarily focuses on capital appreciation, dividend reinvestments will further enhance long-term compounding returns. Investors can capitalize on both price appreciation and residual income. Conclusion SCIG remains an excellent choice for investors aiming for long-term growth in a diversified ETF. With a disciplined investment approach and reinvestment strategy, SCIG can deliver substantial returns over the next decade. ? What are your thoughts on SCIG's future? Let me know in the comments below!

The Super Trade You've Been Waiting For!

? IndusInd Bank ? This one’s set to blow your mind—IndusInd Bank is gearing up for a powerful move! ? The setup screams potential, and the long entry from my mark could be the game-changer you’ve been eyeing. ? Why it’s exciting: Perfect technical alignment for a breakout Strong momentum building up on the charts Opportunity to catch the trend early and ride the wave ? Pro Tip: Keep your eyes on the levels and manage your risk smartly. This could be a banger! ? What’s your take—ready to go long on this one? Let’s discuss! https://www.tradingview.com/x/UYnuk1gz/

MY PEPE USDT BUY SELL ALERTS EXPERIMENT

Folks, I have been toying with this idea for the past week. I use it to send alerts to a secondary dedicated GMAIL address, I then use Python to connect to the account using an APP password. It fetches alerts, and then submits buy sell orders using Binance API. Sharing it as keen to hear your feedback and welcome enhancement ideas. I hope you find it useful :) Configuration Inputs Entry and Exit Pivot Lengths: Defines the number of bars used to calculate low pivots for buy signals and high pivots for sell signals. The flexibility in defining different lengths for entry and exit allows the strategy to adapt to varying market conditions. Volatility Factor: Modulates the atr (average true range) to scale the offset for labels, enhancing visual clarity based on market volatility. RSI Confirmation for Buy: Incorporates an RSI filter to confirm buy signals, aiming to avoid potential false entries during oversold market conditions. Trend EMA Length: Establishes a long-term exponential moving average (EMA) to identify the overall market trend, filtering trades to occur only in favorable conditions (uptrend). Logic and Conditions Pivot Calculation: Uses pivot points to determine potential entry and exit positions. Entry pivots are based on lows (for buying opportunities) and exit pivots on highs (for selling opportunities). Uptrend Confirmation: Trades are only executed when the price is above the defined EMA, ensuring that trades are aligned with the primary market trend. Signal Conditions: Buy Signal: A buy signal is triggered when the price crosses above an identified entry pivot, the market is in an uptrend, and optionally if the RSI is below a defined oversold threshold, ensuring the entry is at a potentially undervalued point. Sell Signal: A sell signal is triggered either when the price crosses above an exit pivot or falls below the EMA trend line, indicating a potential peak or a weakening trend. Visualization and Alerts Plot Lines and Labels: Plots the entry and exit pivot lines and the EMA trend line with distinct colors for clarity. Labels are dynamically placed to indicate buy and sell points with details on entry price and profit percentage. Alerts: Configured to send notifications for buy and sell triggers, providing timely trade information. This strategy provides a robust framework for traders looking for systematic entry and exit points based on technical indicators, adjusted for volatility and trend, with additional confirmation from the RSI to enhance trade accuracy and effectiveness.

Tata Power at Make-or-Break Levels Near ₹400

Tata Power is currently trading around ₹400, a pivotal zone on the weekly chart. This level serves as a critical inflection point, with significant implications for the stock’s medium-term trajectory. Key Observations: Support Levels: Immediate support lies at ₹340-350, a previously tested zone. A breach below this could push the stock toward ₹275, the next strong support. Resistance Levels: Immediate resistance is seen at ₹420-430. A breakout above this zone may open doors for a rally toward ₹480-500. Scenarios to Watch: Bullish Case: Sustained momentum above ₹420 with high volume can confirm an uptrend, targeting ₹480 and beyond. RSI nearing a neutral or bullish zone (~50-60) supports this case. Bearish Case: A breakdown below ₹340 might trigger a sell-off, with lower targets at ₹275 and ₹225. Trading Plan: Monitor price action and volume near ₹400. Breakout traders can aim for ₹480+ if resistance is breached, while cautious traders should wait for confirmation at support levels. #TataPower #TechnicalAnalysis #TradingIdeas

The Dangers of Over-Diversifying Your Portfolio

Diversification is often considered a fundamental rule of investing, rooted in the simple idea of not relying too heavily on any single asset essentially, not putting all your eggs in one basket. While spreading investments across different assets can help reduce risks, going too far with diversification might actually limit your potential returns. This post […]

Proton’s device aims to help those with kidney disease, and cut heart failure risks

People with chronic kidney disease, or those at risk of heart failure, are greatly affected by potassium imbalances in the body. These can even be life-threatening. While wearable glucose monitors are now commonplace and have transformed the lives of diabetes patients, potassium monitoring is in its infancy as it’s hard to do. Now, startups are […] © 2024 TechCrunch. All rights reserved. For personal use only.

Kein Drehbuch, keine Story, kein neuer James Bond-Darsteller: Darum steckt 007 bei Amazon in der Krise

Vor drei Jahren erwarb Amazon die Produktionsfirma MGM, inklusive der James Bond-Rechte. Seitdem fragt man sich, was man mit dem Agenten-Franchise anstellen soll. Doch eine Frau mit Veto-Recht steht im Weg.