Filecoin (FIL) Buy ZoneFilecoin (FIL) Buy Zone
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BIAS
Mid-Term : Bullish
Risk : Medium
On higher timeframe, Filcoin has formed bullish pattern its potential reversal zone which is at the entry zone.
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$FIL/USDT LONG SETUP
Leverage : x3 - x5
Entry Price : 17.7 - 17.3
TP 1 : 18.1
TP 2 : 18.4
TP 3 : 18.75
TP 4 : 19.25
TP 5 : 19.75
TP 6 : 20.25
TP 7 : 20.95
TP 8 : 21.8
Stop Loss : 16.9
*Maximum 3% of Portfolio.
*Unload 12.5% at each TP. Whenever TP 2 hits, Move stop loss to entry.
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Buysignal
$ENSV entry PTs 1.85-2.70 Next Target PTs 10-13-22 and higherEnservco Corporation, through its subsidiaries, provides well enhancement and fluid management services to the onshore oil and natural gas industry in the United States. It offers frac water heating, hot oiling, pressure testing, acidizing, bacteria and scale treatment, freshwater and saltwater hauling, fluid disposal, frac tank rental, well site construction, and other general oil field services. The company owns and operates a fleet of approximately 338 specialized trucks, trailers, frac tanks, and other well-site related equipment. It operates in the eastern United States region comprising the southern region of the Marcellus Shale formation and the Utica Shale formation in eastern Ohio; Rocky Mountain region consisting of western Colorado and southern Wyoming, central Wyoming, western North Dakota, and eastern Montana; and the Central United States region, including Eagle Ford Shale and Permian Basin in Texas. Enservco Corporation was incorporated in 1980 and is headquartered in Longmont, Colorado.
$HUSA entry PT 3-3.70 Next Target PT 35 and higherHouston American Energy Corp., an independent energy company, acquires, explores for, develops, and produces natural gas, crude oil, and condensate. Its oil and gas properties are located primarily in the Texas Permian Basin, the onshore Texas and Louisiana Gulf Coast region, and in the South American country of Colombia. As of December 31, 2020, the company owned interests in four gross wells. Houston American Energy Corp. was incorporated in 2001 and is based in Houston, Texas.
$INDO entry PT 10-ish Target PT 47 and higher Timeline: SeptIndonesia Energy Corporation Limited operates as an oil and gas exploration and production company in Indonesia. It holds interests in the Kruh Block, a producing block covering an area of 258 square kilometers with net crude oil proved reserves of 2.63 million barrels located to the northwest of Pendopo, Pali, and South Sumatra; and the Citarum Block, an exploration block covering an area of 3,924.67 square kilometers located onshore in West Java. The company was incorporated in 2018 and is headquartered in Jakarta, Indonesia. Indonesia Energy Corporation Limited is a subsidiary of Maderic Holding Limited.
Quantum (QTUM) Buy ZoneQuantum (QTUM) Buy Zone
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BIAS
Mid-Term : Bullish
Risk : Medium
On the 4 hours timeframe, Quantum has retested lower parallel channels and the the price is also mid-term support zone.
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$QTUM/USDT LONG SETUP
Leverage : x3 - x5
Entry Price : 6.15 - 5.97
TP 1 : 6.346
TP 2 : 6.525
TP 3 : 6.59
TP 4 : 6.91
TP 5 : 7.15
TP 6 : 7.31
TP 7 : 7.65
TP 8 : 8.075
Stop Loss : 5.75
*Maximum 3% of Portfolio.
*Unload 12.5% at each TP. Whenever TP 2 hits, Move stop loss to entry.
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$ADM offering a pull-back recovery entry?Notes:
* Great earnings record in the past 2 years
* Very strong up trend in all time frames
* Offering a potential pull-back recovery entry
* Recovering with well above average volume
Technicals:
* Sector: Consumer Defensive - Farm Products
* Relative Strength vs. Sector: 4.42
* Relative Strength vs. SP500: 8.38
* U/D Ratio: 1.62
* Base Depth: 14.79%
* Distance from breakout buy point: 0.45%
* Volume 73.23% above its 15 day average.
Trade Idea:
* You can enter now as the price is recovering from the pull-back with higher than average volume.
* If you're looking for a better entry you can look for an opportunity around $93.5
* Or even $92.1 given the current market conditions
* Manage risk accordingly
$CHD breaking out of a ~4month cup and handle!Notes:
* Excellent earnings record
* Very strong up trend in the long term
* Breaking out of a ~4 month base
* Formed a larger cup with high handle on the monthly time frame
* Broke out with higher than average volume before earnings
Technicals:
* Sector: Consumer Defensive - Household & Personal Products
* Relative Strength vs. Sector: 1.3
* Relative Strength vs. SP500: 2.47
* U/D Ratio: 1.3
* Base Depth: 9.52%
* Distance from breakout buy point: 0.05%
* Volume 61.09% above its 15 day average.
Trade Idea:
* You can enter now as the price is extremely close to the breakout level
* If you're looking for a better entry you can look for an opportunity around $103.37
* Or due to the current market conditions $103 is also possible
* Manage risk accordingly
ETHAs of right now ETH bulls are playing this trend very well. A drop to $2,6116 would still not invalidate W1 price territory. Meaning that bottom long term support line can be tested as a W2 bottom B4 W3 actually gets started.
Part of me thinks the set up was created in order to allow the market to remain sideways a little longer and allow more time for Devs to finish ETH 2.0 HF that was pushed back from June till Aug-Sept.
Could be wrong but it's just a hunch. Either was holding above the previous mention support keeps the bullish wave count alive. Trade below and likely enter a bear market for some extended period of time until HF finally happens.
QQQ New Support at 312 area ???Speculating that QQQ will create a new support line at 312 area. Once this support is created I think QQQ will receive more buy orders and the bulls will take over for a short period. Im thinking price will rise towards 322 area. However QQQ responds to 312 support will determine if I will be buying call options. If QQQ breaks 312 I wont decide to get in. If I do get in I will buy 322 Call Expiring 4/29.
Enjin (ENJ) Buy ZoneEnjin (ENJ) Buy Zone
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BIAS
Mid-Term : Bullish
Risk : Medium
Once again following risky our market condition, Enjin has retested to mid-term support of $1.3 zone before heading once again above our most important mid term level.
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$ENJ/USDT LONG SETUP
Leverage : x3 - x5
Entry Price : 1.295 - 1.265
TP 1 : 1.32
TP 2 : 1.36
TP 3 : 1.39
TP 4 : 1.415
TP 5 : 1.45
TP 6 : 1.49
TP 7 : 1.54
TP 8 : 1.61
Stop Loss : 1.24
*Maximum 3% of Portfolio.
*Unload 12.5% at each TP. Whenever TP 2 hits, Move stop loss to entry.
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JSMR will shine during Eid holidays 2022. Buy now !!positive sentiment supported the movement of JSMR shares during the Eid holiday season. Based on the news and also from a technical perspective, JSMR shares are also in an uptrend phase with a bullish candle supported by an increasing volume along with an increase in the oscillator and MACD indicators
Serum (SRM) Sell ZoneSerum (SRM) Sell Zone
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BIAS
Short-Term : Neutral
Mid-Term : Bullish
Risk : Medium
After rejecting $2.1 zone Serum has gone up to $2.3 zone it looks like they have enough buying intentions to push us higher in the next few days.
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$SRM/USDT LONG SETUP
Leverage : x3 - x5
Entry Price : 2.25 - 2.12
TP 1 : 2.35
TP 2 : 2.45
TP 3 : 2.555
TP 4 : 2.65
TP 5 : 2.83
TP 6 : 2.95
TP 7 : 3.06
TP 8 : 3.15
Stop Loss : 2.06
*Maximum 3% of Portfolio.
*Unload 12.5% at each TP. Whenever TP 2 hits, Move stop loss to entry.
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