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🔍 Market Snapshot Asset: XAUAUD (Gold/Australian Dollar) Timeframe: 1-Hour (H1) Recent Structure: Strong bullish rally → followed by consolidation Current Price: ≈ 6390.79 Open Position: Sell 1.00 Lot @ 6381.94 Take Profit (TP): 6360.00 Current Status: Unrealized P/L ≈ –7,907 (price moved against the sell entry) https://ct.icmarkets.com/signal?s=XAUAUD&d=sell&o=market&tp=6360&u=WebbersPro 🎯 Why the Sell Position? The trade idea is built on the expectation of a technical correction after a powerful upside move: 📌 1. Exhaustion Signs After the Rally The strong rally from Nov 24–25 created overextended conditions. Candles near the 6420–6430 region show long upper wicks, indicating: Buyers are struggling to push higher Sellers are actively entering near the highs Momentum is weakening 📌 2. Consolidation Zone on Nov 26 Price movement turned choppy and indecisive, a typical signal that the market is preparing for either: A correction, or A trend continuation The sell trade anticipates the pullback. ⚠️ What Comes Next? Key Levels to Watch The market is at a critical juncture. Everything depends on how price reacts around major levels: 🔥 Key Resistance: 6430 This is the barrier between correction and continuation. 📘 Possible Scenarios Scenario 1 – Correction (Favorable for Sell Position) If sellers defend the 6430 resistance and price breaks below 6380, 📉 Expect a fast drop toward the 6360 TP zone. Technical pressure supports a deeper pullback. Scenario 2 – Trend Continuation (Risk to Sell Position) If buyers break above 6430, 🚀 The uptrend resumes with fresh upside momentum. In this case, the sell position requires: A Stop Loss, or Manual management to limit further drawdown 🧠 Professional Insight This setup highlights a common market behavior: ⚡ Strong moves often lead to consolidation, and that consolidation becomes the battleground between continuation and reversal.
The short EMA (7) is below the medium EMA (25) → short-term downtrend. Price is hovering around the 99 EMA, which often acts as a support zone. If the price holds above the 99 EMA (~0.30) and bounces, it may indicate a potential short-term reversal. If it breaks below 0.30, it could trigger further downside toward 0.255–0.26 support.
2. RSI (Relative Strength Index – 6 period)
RSI = 21.88 💡 Interpretation: This is deeply oversold (below 30). It suggests the market is bearishly overextended and may be due for a short-term bounce or consolidation. However, RSI alone doesn’t confirm a reversal it just signals exhaustion in selling pressure. 3. Stochastic (K, D, J) K = 14.79, D = 29.01, J = –13.63 💡 Interpretation: Also extremely oversold, confirming what RSI shows. The market may be close to a bottom on the 30-minute chart.
4. OBV (On-Balance Volume) OBV = negative trend (dropping sharply) 💡 Interpretation: This indicates that volume is exiting during the recent dump confirming bearish momentum. For a reversal, OBV needs to flatten or rise again.
🧠 Price Action & Structure There was a sharp pump from around $0.25 → $0.49 (almost 2×).
Followed by a fast correction back to ~$0.30. This looks like a blow-off top pattern or a pump-and-dump retrace. Current candle shows potential stabilization around EMA(99), suggesting buyers are defending this area.
⚙️ Key Levels to Watch
$0.255 Major support Recent low; if broken, expect further decline $0.30 Local support EMA(99) area, potential bounce zone $0.35 Resistance EMA(25) + prior consolidation zone $0.41–$0.42 Strong resistance Previous take-profit region $0.49 Major top High of last spike
🧭 Possible Scenarios 📈 Bullish Rebound Scenario Price holds above $0.30 support. RSI and Stochastic cross upward. Short-term recovery target: $0.35 → $0.38. If strong momentum, could revisit $0.41 resistance.
📉 Bearish Continuation Scenario Price breaks below $0.30 and fails to reclaim it. Next supports: $0.27 → $0.255. If $0.255 breaks, could fall toward $0.22–$0.23 zone.
⚠️ Conclusion
Right now: The market is oversold but still in a downtrend. $0.30 is the key make-or-break level. Wait for confirmation like a bullish candle or RSI cross before entering long. Aggressive traders might scalp a short-term bounce, but with tight stop-loss below $0.295.
Candle closes above $4.88 (EMA7) → that’s a strong buy signal. Next confirmation comes if price breaks $4.95 (EMA25) with OBV still climbing confirming trend reversal.
Trend: Bearish continuation with potential oversold bounce.
Momentum: Weak but stabilizing.
Buyers: Still inactive; waiting near $4.30 zone.
Signal: Oversold → short-term bounce possible, but downtrend remains dominant until reclaim above $4.95.
Conclusion: AIAUSDT is in a strong downtrend, trading deep in the oversold zone. A temporary rebound toward $4.65–$4.95 is possible, but major trend reversal unlikely unless price closes above $5.00 with volume.
Executive Summary: SOONUSDT is at a critical juncture following its explosive+100% pump and subsequent sharp correction. The market is deciding whether this is a healthy pullback before the next leg up (Bullish Scenario) or the start of a deeper correction (Bearish Scenario). Based on the technicals, the Bearish Scenario has a higher probability (60%) in the short term due to the extreme volatility and signs of exhaustion. Scenario 1: BEARISH (Short Signal) - Probability: 60% Rationale: The massive pump to 3.0332 and the subsequent 50%+ crash is a classic sign of a "bull trap" or exhaustion. The price is struggling to hold above key moving averages, and momentum indicators are rolling over from overbought levels, suggesting selling pressure is dominant.
Signal: SELL / SHORT
· Entry Zone: 1.4500 - 1.5000 (Ideal entry on a retest of the broken EMA(7) resistance)· Stop Loss (SL): 1.5800 (A break above this level invalidates the bearish structure)· Take Profit Targets (TP): · TP1: 1.3700 (→ Partial Profit) (Near EMA 25) · TP2: 1.2500 (→ Partial Profit) (Psychological Support) · TP3: 1.1000 (→ Full Exit) (Near EMA 99 & Strong Support)
Risk/Reward Ratio: ~1:3 (Excellent potential if bearish move continues)
Rationale: The Binance Futures listing is a fundamentally strong catalyst. The current drop could be a volatile but healthy correction to shake out weak hands and establish a new, higher support base before resuming the uptrend.
Signal: BUY / LONG
· Entry Conditions (CRITICAL): Wait for a confirmed bullish reversal signal. · Preferred Entry: A strong bounce and hourly close above 1.4700 (reclaiming EMA7) OR a successful retest of the 1.3700 - 1.3500 support zone with a bullish candle pattern (e.g., hammer, engulfing).· Stop Loss (SL): 1.3400 (A break below the key EMA 25 and support zone invalidates the bullish setup)· Take Profit Targets (TP): · TP1: 1.6500 (→ Partial Profit) · TP2: 1.9000 (→ Partial Profit) · TP3: 2.2000 (→ Full Exit) (Next major resistance) Risk/Reward Ratio: ~1:2.5 (Good potential if uptrend resumes) Summary for Clients:
SOON is at a crossroads. The safer, higher-probability play is to look for shorting opportunities on any bounce towards 1.45-1.50. However, the bullish trend is not completely dead. For those looking to buy, it's crucial to be patient and wait for a confirmed bounce from a key support level, ideally above 1.47 or from the 1.37 area.
Current Bias: Leaning Short (60%) due to the severe rejection from the highs. Key Advice:Do not chase the price. Wait for your entry zones. The volatility is extreme, so position sizing is critical."
Disclaimer: This analysis is based on the data provided and is for informational purposes only. It is not financial advice. Cryptocurrency trading carries significant risk. Only trade with capital you are prepared to lose.
S&P Šrilanka 20 (SPLK20LP) indekss kalpo kā galvenais rādītājs Šrilankas akciju tirgus veselībai, iekļaujot 20 lielākās un likvīdākās uzņēmumus, kas kotēti Kolombo biržā (CSE).
Tirgus pārskats: 2024. gada 20. septembrī S&P Šrilanka 20 noslēdzās pie 3,102.20, norādot uz pieaugumu par +40.44 punktiem (+1.32%).
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Bollingera joslu izmantošana, lai analizētu NVIDIA Corporation: tehniskās analīzes pieeja
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Sākotnēji NVIDIA, kas bija pazīstama ar savām augstas veiktspējas grafiskajām kartēm spēļu un profesionālajiem tirgiem, ir paplašinājusies tādās jomās kā AI, datu centru risinājumi un automobiļu tehnoloģijas.
Trešdien Nvidia ziņoja par ieņēmumiem, kas pārsniedz Wall Street skatījumus. Pārdošanas apjoms 30,04 miljardu ASV dolāru apmērā pārsniedza analītiķu prognozes 28,7 miljardu ASV dolāru apmērā un bija par 122% vairāk nekā iepriekšējā ceturksnī.
🚨 Uzmanību tirgotāji un investori! 🚨 🌟 Uzmanību: Zelta tirgus brīdinājums! 🌟
Zelta tirgus (XAU) drīzumā tiks atvērts, un ir ļoti svarīgi palikt priekšā spēlei! 📉📈
Notiek ielāde
🗓️ Tirgus atvēršanas laiks: Sidneja pulksten 2:00 pēc AAE laika un pulksten 3:30 pēc Šrilankas laika svētdienās.
🔍 Kāpēc jums vajadzētu skatīties zeltu tieši tagad:
• MA7 indikators: skatieties, kā zelta cena mijiedarbojas ar 7 dienu mainīgo vidējo (MA7). Cena virs MA7 varētu liecināt par kāpuma tendenci, savukārt zemāka cena varētu liecināt par lācīgu noskaņojumu.
• Galvenie līmeņi: pievērsiet uzmanību iespējamajiem atbalsta un pretestības līmeņiem ap MA7.
Šrilankas inflācijas līmenis, ko mēra Kolombo patērētāju cenu indeksā (CCPI), 2024. gada augustā ir ievērojami samazinājies līdz 0.5% salīdzinājumā ar iepriekšējo gadu, samazinoties no 2.4% 2024. gada jūlijā.
Pārtikas inflācija ir stabilizējusies 0.8% līmenī, kamēr nepārtikas inflācija ir 0.4%.
Šis straujais kritums izceļ turpmākās pūles stabilizēt cenas un var liecināt par pozitīvu tendenci ekonomikā.
Zelta analīze: vai zelts pārsniegs jaunus vēsturiskos līmeņus? - 2024. gada 28. augusts
Vakar zelta cena noslīdēja līdz atbalsta līmenim 2503 USD par unci, bet ātri atlēca, lai nostabilizētos ap pretestības līmeni 2525 USD par unci.
Sākotnējais atbalsts ir aptuveni 2485 USD/oz. kam seko 2450 USD/oz. Zelta dienas cenu diagramma Mazumtirdzniecības tirgotāju dati liecina, ka 53,66% tirgotāju ir neto garo un īso tirgotāju attiecība ir 1,16 pret 1. Tirgotāju skaits neto ir par 10,14% lielāks nekā vakar un par 13,05% lielāks nekā pagājušajā nedēļā, savukārt neto-short tirgotāju skaits ir par 5,69% mazāks nekā vakar un par 9,76% mazāks nekā pagājušajā nedēļā.
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