BTCUSD – Over Extended Price, Leptokurtic Pivot, Outliers Candle Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern...
BCHUSD – Price On GA VaR Edge 6, Flat Volatility, Buying Wave Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern...
DASHUSD - Hesitation, Transitional Place, Buying Wave Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern Portfolio Theory...
ETCUSD - Low Volatility, Still Weak, Buying Wave Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern Portfolio Theory...
XLMUSD – Still Weak. Low Volatility, Indeed it is Hesitating Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern Portfolio...
LTCUSD - Leptokurtosis, Over Extended Price On GA VaR Edge 8 Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern Portfolio...
GBPHUF - Negative Leverage Effect: Decreased Asset Volatility Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern...
SUM - Outperforming Market Composite Aveverage,Leptokurtic Pivot Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern...
EURAUD - Trading Area, Decreased Asset Volatility, Thrust Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern Portfolio...
SUGAR - GA VaR Cluster Edge, Decreased Asset Volatility Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern Portfolio...
SPB - GA VaR Cluster Edge, Price Strength, Stronger than Market Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern...
AAXN - Over Extended, Platykurtic, Still in the Volatility Range Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern...
DDS - Leptokurtic Pivot, Change of Character, Markup Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern Portfolio Theory...
LEVI - Change of Character, Stronger than Composite Average Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern Portfolio...
NTRA - Asset Volatility,Platykurtic,Stronger than Market Average Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern...
SUGAR - Approaching GA VaR Cluster Edge, Increased Kurtosis Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern Portfolio...
ARWR - Stronger than Market Average,Leptokurtosis is Coming Soon Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern...
LAD - Leptokurtic Pivot, Above Volatility Range, Over Extended Holding an overall investment the Asset Value at Risk is the worst scenario the price can reach, the worst loss at normal market conditions, before to consider managing the investment into the Balanced Portfolio of Uncorrelated Streams. Details on the chart. - Educational Details Modern...