Here is a bullish forecast for the NASDAQ 100 index Based on the current wave structure, it appears the NASDAQ 100 is in the final wave 5 of an impulsive bullish cycle. Wave 4 appears to have completed, setting the stage for a push to new all-time highs in the near future.
Key points:
The NASDAQ 100 is in the midst of a larger impulsive bullish trend
Wave 4 correction has finished, clearing the way for wave 5 to the upside
Expect the NASDAQ 100 to make new record highs in the coming weeks/months as wave 5 unfolds
Overall, the technical picture remains strongly bullish for the NASDAQ 100 index
This is a very small and focused bullish forecast for the NASDAQ 100, based on the current wave structure analysis. Of course, the markets can always surprise, so this should be considered along with other factors when making investment decisions.
Longonly
Dipna will get benefitted china price hiked for soda - 44 % upSWOT
TECHNICALS
DEALS
SHAREHOLDING
STRENGTHS (1)
Company with Zero Promoter Pledge
WEAKNESS (6)
Negative Breakdown Third Support (LTP < S3)
New 52 week low today
Low Piotroski Score : Companies with weak financials
OPPORTUNITY (0)
Data not found
THREATS (1)
RSI indicating price weakness
looking for 44 % hike in DIPNA at price of 9.46 inr today 8 APRIL 2024
every month 5 % roi expectations for next 6 month reco 27-11-23Aravali Securities & Finance Limited is a financial services company based in India. The company was incorporated in 1980 and is headquartered in Gurgaon, Haryana. Aravali Securities is engaged in a variety of financial services activities, including dealing in shares and securities, providing financial and other advisory services, and offering portfolio management services.
**Key information about Aravali Securities & Finance Limited:**
* **Company name:** Aravali Securities & Finance Limited
* **Incorporation date:** June 11, 1980
* **Headquarters:** Gurgaon, Haryana, India
* **Primary business:** Financial services
* **Products and services:**
* Dealing in shares and securities
* Providing financial and other advisory services
* Offering portfolio management services
**Financial performance of Aravali Securities & Finance Limited:**
* **Revenue:** ₹16.04 crore (FY2022-23)
* **Net profit:** ₹-0.09 crore (FY2022-23)
* **Market capitalization:** ₹5.03 crore (as of November 2023)
**Investment analysis:**
Aravali Securities & Finance Limited is a small-cap company with a market capitalization of ₹5.03 crore. The company is not widely traded and has a relatively low profile. The company's financial performance has been mixed in recent years, with revenue being relatively stable but profits being volatile.
**Risks of investing in Aravali Securities & Finance Limited:**
* **Small-cap company:** Aravali Securities is a small-cap company with a low market capitalization, which makes it more susceptible to price fluctuations.
* **Low trading volume:** Aravali Securities is not widely traded, which can make it difficult to buy or sell shares without affecting the price significantly.
* **Volatile financial performance:** The company's financial performance has been volatile in recent years, which could make it a riskier investment than some other companies.
**Recommendation:**
I would recommend that investors do their own research and carefully consider the risks involved before investing in Aravali Securities & Finance Limited. The company is a small-cap with a low profile and a history of volatile financial performance. Investors should carefully evaluate the company's business model, financials, and management team before making a decision to invest.
I hope this information is helpful. Please let me know if you have any other questions.
A trade for 2017...Banks -> Asset Managers -> ?? ==> BROKERS !
SECTOR THEME FOR 2017 ?
Main street banks flew first, and we are betting that asset managers will follow (LM, BX). And then what? The logical step down the sector will be the brokers: Smaller, less visible, less owned, yet sure to benefit from the pickup in trading volume of the bull market. They will be equally served (fundamentally) by any market consolidation, as volumes generally accelerate on the downside. IBKR is a leading independent online broker and is set to benefit. Set this plain-vanilla, long trade as one of the sector picks for 2017...
FUNDAMENTALLY IMPROVING ?
BAC highlighted recently that December had been one of the best months EVER for asset collection. This is bound to translate into the numbers of asset managers, and brokers. GS upgraded two of the main players of the brokerage sector today (E*TRADE and IBKR). Expect more upgrades to come. Expect good earnings and guidance, as earnings releases provide catalysts for the stocks to move higher. Technically, IBKR has been attempting to complete a very compelling Cup-with-handle (see long term chart below).
TRADING STRATEGY: PLAIN VANILLA LONG AHEAD OF EXPECTED BREAKOUT
Go long here
Target = $52
Stop = $32
R/R = 1.76x
Rebounding off bottom: Buy.GOOD FUNDAMENTALS
Rated buy by analysts with 20% upside
Less volatile than the market (Beta 0.89)
Sensible valuation (P/E 15.72x, P/BV 2.18x)
Healthy growth (5 yr avg revenue +10%, ROE +14%)
TECHNICALLY IMPROVING
Has been on a downtrend since the historical top of July 2015
Long and medium term technical pictures still negative
Has retraced 53% of major move started in Dec 2011
Stock now appearing oversold (RSI<30)
Has found a temporary floor at $69.30 post disappointing earnings
This also corresponds to the 61.8% Fib retracement ($68.87)
FLOWS IMPROVING
After earnings sell-off on Nov 8 the stock traded up significantly on 5.5x average volume
PLAIN VANILLA LONG STRATEGY
Buy at the market
Stop loss $69.30
Time horizon year-end
Target 1 $81.25
R/R 1.73x
Target 2 $86.00
R/R 2.82x