Hi friends, this action just from my sheet, on the strategy of Pump and Dump. Buy on 5.12$ Stop = $4.50 Profit = $10.66
Stop 11% For profit 100% The risk of a yield of around R=10 I really like such actions. especially when you realize that their potential is huge. My experience, against technical indicators, and fundamental.....
THE ANALYSIS: the screener shows that the timeframes are 1 hour, 1 week, and 1 month. Definitely sell the commodity. Putting 1 month. technical expertise. Let's see. Personally, I Bought, although indicatory say the opposite....
Turning points 17.08.2009 19:12 GMT Name S3 S2 S1 Pivot point R1 R2 R3 Classic of 5.84 7,90 of 9.18 11,24 14,58 of 12.52 of 15.86 Fibonacci of 9.18 7,90 13,30 of 12.52 of 9.96 11,24 14,58 Clique of 9.84 at 9.53 10,14 11,06 11,24 of 10.76 at 11.37 Woody 5,44 7,70 of 8.78 the 11.04 12,12 of 14.38 and 15.46 Demark - - 8,53 10,92 11,87 - -
Technical indicators 17.08.2019 19:12 GMT Name Value Action RSI(14) 100,000 Overbought STOCH(9,6) 22,293 Sell STOCHRSI(14) 0.000 Oversold MACD(12,26) 1,120 Buy ADX(14) 20,310 Sell Williams %R -97,916 Oversold CCI(14) -98,2874 to Sell ATR(14) 8,3886 High volatility Highs/Lows(14) -8,2050 To Sell Ultimate Oscillator 45,098 Sell ROC 0.000 Neutral Bull/Bear Power(13) -6,1400 Sell
Buy: 1 Selling: 6 Neutral: 1
Summary:strong SELL Chip. average 17.08.2019 19:12 GMT Period Simple Exponential MA5 of 10.45 to Sell 9,30 to Sell MA10 of 11.55 to Sell 12,78 Sell MA20 11.32 Sell 16.03 Sell MA50 is 4.53 Of 19.66 Buy Sell MA100 2.26 Buy 21.24 Sell MA200 1,13 Buy Of 22.12 to Sell
Buy: 3 Selling: 9 Summary:SELL
FUNDAMENTAL ANALYSIS:
1.) The income statement will BE Gross profit TTM 11,53% TTM operating margin -30.02% TTM -42.08 profitability ratio% Return on investment TTM -40.7%
Period up to: 31.03.2019 31.12.2018 30.06.2018 30.09.2018 Total income 200,71 213,61 190,19 168,88 Gross profit 15,76 17,25 23,39 32,77 Operating income -72.64 -88.18 -66.11 -5.25 Net profit -84,44 -99,78 -78,58 -45,68
2.) Balance sheet BE The quick ratio MRQ of 1.89 The current ratio MRQ of 2.32
Total assets total liabilities
Period up to: 31.03.2019 31.12.2018 30.06.2018 30.09.2018 Total assets 1318,85 1389,67 1445,14 1157,74 Total liabilities 1424,29 1481,33 1530,12 1918,91 Total equity -105,44 -91,66 -84,97 -761,18
3.) Statement of cash flows BE Cash flow per share TTM -2.57 Earnings per share TTM 7.05 Operating cash -1.51%
Period up to: 31.03.2019 31.12.2018 30.06.2018 30.09.2018 Period: 3 Months 12 Months 9 Months 6 Months Cash from operating activities -4.17 -58.42 -13.65 -18.59 Cash used in investing activities is 95.11 -94,83 of 15.42 of 9.67 Cash used in financing activities -1.49 253.12 261.84 -21.83 Net cash change 89.45 99.87 263.61 -30.74 * In millions of USD (except for shares)
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