Potential Target: โฌ6.3 by Mid-May 2025๐ Trading Idea โ Potential Target: โฌ6.3 by Mid-May 2025
The idea of a bullish move toward โฌ6.3 is plausible if:
The price continues to hold the support zone within the current range (around โฌ5.0โโฌ5.2).
We see a strong breakout above the top of the consolidation range, ideally with increased volume.
Broader market sentiment or fundamentals support a rebound (news, earnings, etc.).
The โฌ6.3 level aligns with the upper boundary of the sideways range and is a logical first technical target before any deeper trend reversal is confirmed.
โ ๏ธ Risks to Consider:
A breakdown below โฌ5.0 could invalidate the bullish setup and resume the long-term downtrend.
The overall structure remains bearish, so confirmation is key before entering long positions.
Technical Indicators:
Tools like Supertrend and predictive ranges suggest momentum is shifting or at least stabilizing.
The green dynamic trend line could indicate an early sign of a bullish push, though the price is still within the broader range.
SL Elliottwave AnalysisChart technically, I believe we had a nice impulsive run in 2021, completely the wave 3. Followed by a wave-4 flat correction. Now im anticipating, wave-4 has bottomed in Dec 24 and the price is now starting to rise towards new ATHโs.
Sanlorenzo (Yacht Business) is a rather unknown company. But a true gem IMO. They had good growth over the past years and are showing great financials, with solid net-margins. Insiders where buying this stock aggressively (pricerange marked in green).
RACE (Ferrari) โ Quality has its PriceMIL:RACE has a technically interesting setup that also fits well with the weekly setup that I presented a few weeks ago.
The current consolidation has once again reached the lower zone and should find support from here one more time. Recently, a significant bounce was achieved from here several times. In addition, Ferrari is moving at the daily SMA 200 line and has bounced upwards from this (as well as from the horizontal support). In the 4h chart we see a nice RSI divergence as well as a breakout from a falling wedge. Both bullish signals.
Fundamentally, Ferrari is not cheap, but quality has its price. The backlog extends years into the future, the pre-order lists are full to bursting, the line-up presented is technically flawless and in demand and the cash flow is immense. In addition, the company is still family-owned (which secures the share price) and the current F1 season with Hamilton and Leclerc as the team should also be interesting.
We are initially targeting the area around EUR 438 and then the previous ATH at EUR 457. This results in an ROI of 10%. Should the daily closing price fall below EUR 400, the trade would be disqualified and closed.
Target zones
438 EUR
457 EUR
Support Zones
400 EUR
DIGITAL VALUE: scandalo all'italianaDigital Value, a leading Italian IT services company, was recently embroiled in a corruption scandal. CEO Massimo Rossi was arrested after allegedly delivering a โฌ15,000 bribe to Sogei's general manager, Paolino Iorio. This incident caused the stock to plummet, creating a significant gap on the daily chart and offering traders a compelling opportunity with a favorable risk/reward ratio.
Despite the turmoil, the companyโs fair value is estimated at $70 per share, with stock market reports from October 4 forecasting highs of up to $120. Major shareholders include OPS and Intesa San Paolo, underscoring the need to prevent systemic contagion risks affecting the involved banks. A textbook case of financial dynamics shaking the market while paving the way for strategic speculation.
The setup is currently inactive. Passing the green treshold will activate the bullish setup.
ASCOPIAVE Stock Quote | Chart & Forecast SummaryKey Indicators On Trade Set Up In General
1. Push Set Up
2. Range Set up
3. Break & Retest Set Up
Notes On Session
# ASCOPIAVE Stock Quote
- Double Formation
* 012345 | Wave Count Valid | Subdivision 1
* Pattern | Neckline Confirmation At 2.300 EUR
- Triple Formation
* Pennant Structure | Subdivision 2
* Retracement | Not Numbered | Subdivision 3
* Daily Time Frame | Configuration Settings
Active Sessions On Relevant Range & Elemented Probabilities;
European Session(Upwards) - US-Session(Downwards) - Asian Session(Ranging)
Conclusion | Trade Plan Execution & Risk Management On Demand;
Overall Consensus | Buy
ISP | Intesa SanpaoloScreener Buy Idea
Intesa Sanpaolo SpA engages in the provision of financial products and banking services. It operates through the following segments: Banca dei Territori, IMI Corporate and Investment Banking, International Subsidiary Banks, Private Banking, Asset Management, Insurance, and Corporate Centre. The Banca dei Territori segment oversees the traditional lending and deposit collection activities in Italy. The IMI Corporate and Investment Banking segment deals with corporate and investment banking; and acts as a partner for corporates, public administration, and financial institutions. The International Subsidiary Banks segment operates on international markets through subsidiary and associated banks. The Private Banking segment specializes in the asset management of private and high net worth individuals. The Asset Management segment develops solutions targeted at the firm's customers, commercial networks, and institutional clientele. The Insurance segment includes Intesa Sanpaolo Vita, Fideuram Vita, Intesa Sanpaolo Assicura, and Intesa Sanpaolo Assicura. The Corporate Centre segment comprises of the group's treasury and the Capital Light Bank. The company was founded in 1931 and is headquartered in Turin, Italy.
Ferrari - Don't Miss Out on 50% ROI!Very strong setup here. Ferrari respects the SMA200 for years and did touch the SMA200 and bounce from it. It also respected the current trendline and the SMA200 and trendline bounce did happen at the 23rd Fib retrace level. Very bullish setup.
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๐ Trade Idea: Long - RACE
๐ฅ Account Risk: 20.00%
๐ Recommended Product: Stock
๐ Entry: +/- 426,00
๐ฟ DCA: No
๐ซ Stop-Loss: 390,00
๐ฏ Take-Profit #1: 600.00 (50%)
๐ฏ Trail Rest: Yes
๐จ๐จ๐จ Important: Donโt forget to always wait for strong confirmation once possible entry zone is reached. Trade ideas donโt work all the time no matter how good they look. Do not get a victim of FOMO, there is always another trade idea waiting. ๐จ๐จ๐จ
If you like what you see donโt forget to leave a comment ๐ฌ or smash that like โค๏ธ button!
โ
Ferrari is a super strong brand. Backlog is huge and current waiting time is measured in years not months. Luxury stocks were punished during the last months because of fear of growth and a weak consumer but Ferrari is somewhat else. Misconceptions regarding shipments and China are putting pressure on Ferrari's shares since the third-quarter announcement. Nevertheless, the shipments' decline is a result of an ERP transition, and the reduction in China is intentional.
Don't forget, people who buy Ferraris do not care about inflation or the economic situation of a country. Also, you can't lease a Ferrari, you can only buy it. This gives the manufacturer a strong cashflow. In addition, Ferrari's unique market position, strong brand, and prudent management justify its high valuation and promise market-beating returns.
โ
Disclaimer & Disclosures pursuant to ยง34b WpHG
The trades shown here related to stocks, cryptos, commodities, ETFs and funds are always subject to risks. All texts as well as the notes and information do not constitute investment advice or recommendations. They have been taken from publicly available sources to the best of our knowledge and belief. All information provided (all thoughts, forecasts, comments, hints, advice, stop loss, take profit, etc.) are for educational and private entertainment purposes only.
Nevertheless, no liability can be assumed for the correctness in each individual case. Should visitors to this site adopt the content provided as their own or follow any advice given, they act on their own responsibility.
Rising Wedge Formation: Trend Reversal and Short OpportunityRising Wedge Dynamics:
The chart shows a clear ascending channel, with the price respecting both the upper and lower trendlines over time.
While the trend remains bullish within the channel, the narrowing distance between the trendlines suggests a loss of momentum, a hallmark of a rising wedge.
This pattern is inherently bearish, as it signals that buyers are losing strength, and a breakout to the downside is likely.
Critical Buy/Sell Zone:
The marked buy/sell zone near the top of the wedge represents the point where the price reaches resistance and is likely to reverse.
This zone coincides with a key intersection of the upper trendline, the limits of the rising wedge, and potential overextension of the price.
The volume in this area will be a critical confirming indicator โ if volume spikes while price fails to make significant upward progress, this would strengthen the bearish case.
Coinbase Momentous Swing: Trade Idea Greetings Everyone ,
Today, we are diving into the ticker symbol NASDAQ:COIN , representing Coinbase.
For this analysis, Iโve charted the Euro ticker for Coinbase ( MIL:1COIN ), which mirrors the same price action.
Quick Facts About Coinbase:
โข Coinbase is an online trading platform where users can buy and sell cryptocurrencies, often referred to as โcoinsโ or โaltcoins.โ
โข The stock is heavily influenced by the cryptocurrency market. Historically, during Bitcoin bull markets, Coinbaseโs price has shown a tendency to surge.
Trading Plan Setup
There is two sides to a Coin ๐ช .
Similarly this pennant setup has two possible outcomes. I have charted the zones where I would expect price to break above or reject in order to continue in its path.
Point 1: Optimal Entry
We are currently underneath that major resistance price level. If you were to go long here with a close stop loss & aim for the primary zone / green line - In the event that price does continue higher you would have the best entry & area to take more risk.
However, Is this the most optimal way to trade a pennant? Not at all.
The recommended setup is a break above the green line (peak) potentially a hold and then continuation higher.
It begs the question what rules do professional traders follow in this scenario? Are you using option strategies like Long Straddle, Long Strangle or Iron Condor?
I would love to know please drop a comment below.
Point 2: Consolidation
Price is consolidating this can continue for days or another week? Monitor price action with alerts one higher one lower.
Point 3: Breakout without Volume
A breakout without volume confirmation is doomed to fail. Be careful of this scenario.
Second subject:
In my previous post, I have created a quick survey - please feel free to complete it so that I can provide relevant information to you.
Best,
C - Lemard
STELLANTIS (STLAM): Opportunity or crisis? Stellantis CEO Carlos Tavares submitted his resignation to the board of directors chaired by John Elkann, which accepted it. The announcement had come last October that Tavares would lead the carmaker until 2026, helping the company in its search for a new CEO. However, falling profits and the company's collapse on the stock market led the parties to an immediate separation.
The price of Stellantis has fallen by more than 50% over the past year reaching 2022 price levels.
The RSI technical indicator suggests a bullish divergence that could indicate a recovery in the short-medium term.
Volatility is high and is around levels considered to be high volatility, which could suggest a cooling of the price decline and a temporary recovery.
Assuming a bullish scenario in which today's news is read positively by investors, the price could point to two different levels โฌ15 and โฌ20. Instead, negative investor sentiment could drive the price towards the โฌ10 level.
And what do you think about Stellantis? Will you use this drop to accumulate new shares or will you go short?
TGYM - 7 months RECTANGLEโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
Since 2014, my markets approach is to spot
trading opportunities based solely on the
development of
CLASSICAL CHART PATTERNS
๐คLetโs learn and grow together ๐ค
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
Hello Traders โ
After a careful consideration I came to the conclusion that:
- it is crucial to be quick in alerting you with all the opportunities I spot and often I don't post a good pattern because I don't have the opportunity to write down a proper didactical comment;
- since my parameters to identify a Classical Pattern and its scenario are very well defined, many of my comments were and would be redundant;
- the information that I think is important is very simple and can easily be understood just by looking at charts;
For these reasons and hoping to give you a better help, I decided to write comments only when something very specific or interesting shows up, otherwise all the information is shown on the chart.
Thank you all for your support
๐๐๐ ALWAYS REMEMBER
"A pattern IS NOT a Pattern until the breakout is completed. Before that moment it is just a bunch of colorful candlesticks on a chart of your watchlist"
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
โ DISCLAIMER โ
Breakout Area, Target, Levels, each line drawn on this chart and any other content represent just The Art Of Chartingโs personal opinion and it is posted purely for educational purposes. Therefore it must not be taken as a direct or indirect investing recommendations or advices. Entry Point, Initial Stop Loss and Targets depend on your personal and unique Trading Plan Tactics and Money Management rules, Any action taken upon these information is at your own risk.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
BMPS - 5 months RECTANGLEโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
Since 2014, my markets approach is to spot
trading opportunities based solely on the
development of
CLASSICAL CHART PATTERNS
๐คLetโs learn and grow together ๐ค
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
Hello Traders โ
After a careful consideration I came to the conclusion that:
- it is crucial to be quick in alerting you with all the opportunities I spot and often I don't post a good pattern because I don't have the opportunity to write down a proper didactical comment;
- since my parameters to identify a Classical Pattern and its scenario are very well defined, many of my comments were and would be redundant;
- the information that I think is important is very simple and can easily be understood just by looking at charts;
For these reasons and hoping to give you a better help, I decided to write comments only when something very specific or interesting shows up, otherwise all the information is shown on the chart.
Thank you all for your support
๐๐๐ ALWAYS REMEMBER
"A pattern IS NOT a Pattern until the breakout is completed. Before that moment it is just a bunch of colorful candlesticks on a chart of your watchlist"
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
โ DISCLAIMER โ
Breakout Area, Target, Levels, each line drawn on this chart and any other content represent just The Art Of Chartingโs personal opinion and it is posted purely for educational purposes. Therefore it must not be taken as a direct or indirect investing recommendations or advices. Entry Point, Initial Stop Loss and Targets depend on your personal and unique Trading Plan Tactics and Money Management rules, Any action taken upon these information is at your own risk.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
Stock's Uptrend of UniCredit is in the triangle HI,
UniCredit with its background which means take over or merge of Commerzbank has got a very good fire, fuel to move the its stock higher.
Stock passed all previous levels of resistance even we can think about the first stop on the level of price in field of 53 EUR. It would be incredible achievement.
Please look on the latest news that show that big players - investors are also on the field and are interested that shares have to become more expensive. Please add fact that it all the time is in the program of buyback of its shares.
UniCredit stocks are very interesting and has lot of potential to go higher and higher.
BGN - 5 months RECTANGLEโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
Since 2014, my markets approach is to spot
trading opportunities based solely on the
development of
CLASSICAL CHART PATTERNS
๐คLetโs learn and grow together ๐ค
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
Hello Traders โ
After a careful consideration I came to the conclusion that:
- it is crucial to be quick in alerting you with all the opportunities I spot and often I don't post a good pattern because I don't have the opportunity to write down a proper didactical comment;
- since my parameters to identify a Classical Pattern and its scenario are very well defined, many of my comments were and would be redundant;
- the information that I think is important is very simple and can easily be understood just by looking at charts;
For these reasons and hoping to give you a better help, I decided to write comments only when something very specific or interesting shows up, otherwise all the information is shown on the chart.
Thank you all for your support
๐๐๐ ALWAYS REMEMBER
"A pattern IS NOT a Pattern until the breakout is completed. Before that moment it is just a bunch of colorful candlesticks on a chart of your watchlist"
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
โ DISCLAIMER โ
Breakout Area, Target, Levels, each line drawn on this chart and any other content represent just The Art Of Chartingโs personal opinion and it is posted purely for educational purposes. Therefore it must not be taken as a direct or indirect investing recommendations or advices. Entry Point, Initial Stop Loss and Targets depend on your personal and unique Trading Plan Tactics and Money Management rules, Any action taken upon these information is at your own risk.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
lets make it simple with price actionSince the good entry in the second week of March 2023 price action is respecting the trend line. On friday 29 Sept our position could have been closed if we had a take profit under the volatility stop level (10 lenght 1.5 multiplier) but we should have bought again on Oct 4 2023.
Orange may be bullish soonThe Orange looks pretty good and the chart shows several bullish signals indicating a potential buy opportunity at the current level (or wait for a pullback if the price gets rejected by 200 SMA), emphasizing the quality of this investment. The chart displays a broad trading range between approximately 9.20 (support, RED zone) and 11.70 (resistance zone). This consolidation zone indicates price stability within this range since 2020. The key support level at 9.20 has acted as a strong support multiple times, showing significant demand at this level. The current price is close to this support, offering a
potentially good buying opportunity. The key resistance level at 11.70 (red line) is
significant; a breakout above this level with high volumes would be a strong bullish signal.
The 200-day moving average (SMA 200, purple line) is currently at 10.200, While the price is below this average, a move towards it could indicate a bullish recovery. Volume analysis shows stable activity without significant spikes, indicating consistent investor interest and suggesting a stable zone before a potential rise. These factors combined
suggest a strong potential for price appreciation at the current level. The confluence of
strong support, well-defined trading range, reference from the SMA 200, and stable volumes
highlights the dossier's high quality, making it an attractive entry point for investors seeking a
reliable and rewarding investment opportunity.