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Some say bitcoin is an un-correlated asset. What about XRP ???

This chart clearly shows how XRP is uncorrelated to the price of the S&P !! Some experts in crypto say that Bitcoin is an un-correlated asset. However, if bitcoin is, XRP is even more so. The chart moreover shows how the price of XRP broke out of an 7 YEAR BEAR FLAG !!! It broke down decisevely in november 2024. At the present moment it is making a halt, drawing a bear flag (n° 2) as it did after it broke down of a very similar bear flag in March of 2017 (n° 1). How do you think this will resolve ? Any more questions ? This is a very bearish chart - for the SPX !!!

"XNG/USD Natural Gas" Energy Market Heist Plan (Scalping/Day)

?Hi! Hola! Ola! Bonjour! Hallo! Marhaba!? Dear Money Makers & Robbers, ? ??✈️ Based on ?Thief Trading style technical and fundamental analysis?, here is our master plan to heist the "XNG/USD Natural Gas" Energy Market. Please adhere to the strategy I've outlined in the chart, which emphasizes long entry. Our aim is to escape near the high-risk ATR Zone. Risky level, overbought market, consolidation, trend reversal, trap at the level where traders and bearish robbers are stronger. ??"Take profit and treat yourself, traders. You deserve it!??? Entry ? : "The vault is wide open! Swipe the Bearish loot at any price - the heist is on! however I advise to Place sell limit orders within a 15 or 30 minute timeframe most nearest or swing, low or high level for Pullback Entries. Stop Loss ?: ?Thief SL placed at the nearest/swing High or Low level Using the 2h timeframe (3.800) Day/Scalping trade basis. ?SL is based on your risk of the trade, lot size and how many multiple orders you have to take. ?‍☠️Target ?: 3.200 ?Scalpers, take note ? : only scalp on the Long side. If you have a lot of money, you can go straight away; if not, you can join swing traders and carry out the robbery plan. Use trailing SL to safeguard your money ?. ⛽?"XNG/USD Natural Gas" Energy Market Heist Plan (Scalping/Day) is currently experiencing a bullishness,., driven by several key factors. ??? ??️Get & Read the Fundamental, Macro Economics, COT Report, Inventory and Storage Analysis, Seasonal Factors, Sentimental Outlook, Intermarket Analysis, Future trend targets & Overall Outlook Score... go ahead to check ????? ⚠️Trading Alert : News Releases and Position Management ? ?️ ?? As a reminder, news releases can have a significant impact on market prices and volatility. To minimize potential losses and protect your running positions, we recommend the following: Avoid taking new trades during news releases Use trailing stop-loss orders to protect your running positions and lock in profits ?Supporting our robbery plan ?Hit the Boost Button? will enable us to effortlessly make and steal money ??. Boost the strength of our robbery team. Every day in this market make money with ease by using the Thief Trading Style.???❤️?? I'll see you soon with another heist plan, so stay tuned ??‍???

Nifty Analysis EOD - 11th April 2025

? Background After yesterday’s holiday, global cues were positive—especially from the US markets. SGX Nifty indicated a strong gap-up. As expected, Nifty opened at 22,695, right around the previous session’s high and within our marked Resistance Zone. ? Today’s Price ActionNifty opened with a sharp gap-up, and the Initial Balance (IB) high was formed at 22,875. The price managed to breach the IB high briefly, triggering a trade signal and filling the gap between 4th and 7th April sessions.However, the index failed to sustain above 22,875–22,900. Momentum fizzled out post-breakout, and Nifty retraced toward the opening zone. ? Intraday range was 228 points, out of which 165 points occurred during the IB phase. Most of the move was already baked in early on. ? Despite gaining +429 points intraday, Nifty closed at 22,828, slightly below the previous week’s high of 22,857—which hints at a pause or temporary exhaustion. ? Technical OutlookNifty is still playing between supply and demand zones. Today’s rejection from above 22,900 and close below the weekly high indicates a need for further strength or a catalyst to push beyond 23,000 convincingly. A clean break above 22,900–23,000 remains key. ? Important Levels ? Resistance Zones 22,857 (Weekly High) 22,900–23,040 23,182 23,340 ? Support Zones 22,668 (Breakout Zone) 22,337 22,082 (Previous Lowest Swing Close) ? Strategy Going ForwardIf no negative news flow arises, a retest of 23,000–23,040 is likely. Traders should wait for sustained price action above 22,900 for fresh longs.Avoid aggressive shorts unless the price breaks down below 22,668 with momentum. ? Quick Recap✅ Gap-up opening on global cues✅ IB High breached and gap filled✅ 228-point range; majority in IB✅ Resistance at 22,900 held firm✅ Closed below weekly high ? Patience is power. Wait for confirmation beyond resistance.

Gold continues to rise and has not yet peaked!

At the four-hour level, this wave of rise is extremely strong, climbing all the way without a pullback. If there is a pullback, it is also an opportunity for us to get on board and go long. At the hourly level, the price of gold has risen strongly and unilaterally. It is now 50 points away from last week's high. Although the rise has stopped at the upper track of the Bollinger Band, it may be a bit extravagant to expect a pullback. Our prudent idea today is to wait for a pullback before going long and bullish, and do not guess the top above. On the whole, today's short-term operation strategy for gold is to go long on pullbacks as the main strategy, and short on rebounds as the auxiliary strategy. Gold operation strategy reference: Short order strategy: Short gold rebounds near 3245-3250 in batches, with a target of 3220-3200, and a break of 3190; Long order strategy: Go long gold in batches near 3188-3190, with a target of 3225-3235, and a break of 3250; ​

XAUUSD Bearish Retracement

I believe we should see a decline in the high price of gold. I have my eyes on 3227, what do you think? targeting 3165 and possibly lower depending on what happens next week

BRK.B - Berkshire Hathaway Inc. (2 hours chart, NASDAQ) - Long

BRK.B - Berkshire Hathaway Inc. (2 hours chart, NASDAQ) - Long Position; Short-term research idea. Risk assessment: High {volume structure integrity risk} Risk/Reward ratio ~ 2.38 Current Market Price (CMP) ~ 519 Entry limit ~ 517 on April 11, 2025 1.⁠ ⁠Target limit ~ 532 (+2.90%; +15 points) 2.⁠ ⁠Target limit ~ 536 (+3.68%; +19 points) Stop order limit ~ 509 (-1.55%; -8 points) Disclaimer: Investments in securities markets are subject to market risks. All information presented here is strictly for reference and personal study purposes only and is not a recommendation and/or a solicitation to act upon under any interpretation of the letter. LEGEND: {curly brackets} = observation notes = important updates (parentheses) = information details ~ tilde/approximation = variable value -hyphen = fixed value

Khans lustiges NQ-Charting - 11.04 - US100/NQ1!/QQQ/NDX

Hallo zusammen! Recap von gestern: Der Jubel vom Mittwoch war schnell verfolgen - es wurde abverkauft, mit kleinem Achtungserfolg gegen Ende. Die 1h FVG wurde schön bis zum OTE gefüllt danach haben die Bullen ihre Chance genutzt. Daher aktuell etwas bullisch oder zumindest neutral Technisch: Mittelfristig ist es dennoch bärisch, also alles über 4h. Wir hangeln uns gerade am Tages-Open ab (18347) und gerade mag keine Seite ihre Hand zeigen - um 4 gibt es noch Michigan Sentiment Daten die wichtig sein könnten. Allgemein würde ich darauf warten, WENN ich heute noch was mache. Woche lief gut.. mag eigentlich 50% auscashen und ab ins Wochenende. Wenn die Bären einen Zug bekommen sollten wir um 17800 nochmal antesten. für Bullen steht 19000 und dann 19300 an. Ob China Gegenaktion eine Rolle spielt zum NY Open werden wir sehen.. "eigentlich" müsste Trumpete nun erneut mit +50 oder mehr draufhauen.. schaun wir mal. Alle Kurse sind vom CFD US100 MarketsCOM, welcher +- dem CFD meines Brokers entspricht. Analog NQ1!/NDX/QQQ müsst ihr eben etwas anpassen. Viele Grüsse, Khan

was ist am 15.10.2025 ?

Hallo Zusammen :-) habs wieder mal geschafft eine (Idee) zu veröffentlichen. Was ist also an diesem Datum so interessant.. eigentlich nichts da es in der Zukunft ist und wir nicht wissen was geschehen wird. Jedoch ist dieses Datum genau 550 Tage nach dem letzten "Halfing". Was heist das ? bis jetzt war es immer so das 550 Tage nach einem Halfing das Top vom Zyklus war. Was meint Ihr wo wir an diesem Datum mit dem BITCOIN stehen werden? Liebe Grüsse aus der Schweiz Diese Idee veröffentlichte ich am 4. Juli 2022 https://de.tradingview.com/chart/BTCUSD/Fb3duNEw/

NAS 11.04.2025 - Range + Eure Fragen

*wir haben natürlich vorgestern einen Range-Bar im Daily gebaut. Nicht gestern. Ein ausführliches Journal aller hier vorgestellten Trades, inkl. Link zur jeweiligen Trade-Empfehlung/Analyse, findet Ihr im Link in meiner Bio. Zusammenfassung der Ergebnisse aller hier auf Tradingview vorgestellten Swing-Trade-Ideen: Net Gain/Loss $12,243.74 Total Commissions $50.02 % Win 62.96% % Loss 37.04% % Break Even 0.00% Average daily gain/loss $644.41 Average winning trade $854.55 Average losing trade -$228.36 Total number of trades 27 Number of winning trades 17 Number of losing trades 10 Number of break even trades 0 Max consecutive wins 4 Max consecutive losses 3 Largest gain $2,177.28 Largest loss -$479.22 Average trade gain/loss $453.47 Average hold time (winning trades) 15:06 Average hold time (lossing trades) 9:31 Max drawdown -$917.16 Average position MFE $1,013.32 Average position MAE -$186.00

My Crypto Funding Wins Best Trading Conditions Among Crypto Prop Firms

London, Greater London, 11th April 2025, Chainwire