VIDTUSDT(VIDTDAO) Daily timeframe range. PA trying to hold above its 0.01233 level. it can have some relief if it gets a valid close above 0.02066. not so much retail interest it can see better day if market gets some volume.
The S&P 500 price action on Friday indicated risk off as demonstrated by the selling that came into this market. The expectation is further movement to the downside but not a big day down on Monday without new fundamental information.
1. Technical Analysis March 2025 Nike’s stock ( NYSE:NKE ) is currently trading near a 52-week low of $63.19, signaling a bearish trend driven by weak earnings and macroeconomic challenges. • Moving Averages: The 50-day MA is below the 200-day MA (death cross), confirming a long-term downtrend. • Relative Strength Index (RSI): Near 30, indicating oversold conditions and a possible short-term rebound. • Support & Resistance: • Key support: ~$60 (historical demand zone) • Key resistance: ~$75–$80 (previous consolidation area) • Volume Analysis: High selling pressure, but institutional investors may step in at lower levels. 2. Fundamental Analysis March 2025 Nike remains a global leader in the sportswear industry, but recent headwinds have impacted on its financial performance. Key Financial Metrics (Q3 2025) • Revenue: $11.3 billion (-9% YoY) • Net Income: Declining due to lower sales and margin compression • EPS: Lower than expected, prompting downward revisions by analysts • Dividend Yield: ~2.3%, with 23 consecutive years of dividend increases • Debt-to-Equity Ratio: ~0.6, indicating moderate leverage • Price-to-Earnings (P/E) Ratio: Lower than historical averages (~18–22x), making it relatively undervalued compared to its long-term trends ? Strengths: • Brand Power & Innovation: Nike’s brand remains dominant, and new product lines (e.g., Pegasus Premium, Vomero 18) are receiving positive feedback. • Global Reach & Direct-to-Consumer (DTC) Shift: Strong e-commerce presence, which could improve margins over time. • Dividend Growth: 23 consecutive years of increases make Nike attractive to long-term income investors. ? Weaknesses & Risks: • Declining Sales: A 9% revenue drop YoY, with a 17% decline in China—a crucial market. • Tariff Concerns: New U.S. tariffs on Chinese imports could impact profit margins. • Competitive Landscape: Adidas, Puma, and newer brands (On Running, Hoka) are gaining market share. • Macroeconomic Uncertainty: Consumer spending on discretionary goods remains weak. 3. 5-Year Price Prediction (2025–2030) Year Price Range Prediction 2025 $55 – $85 (high volatility, potential recovery) 2026 $75 – $100 (rebound if sales improve) 2027 $90 – $120 (growth phase, innovation & DTC strategy gains traction) 2028 $110 – $140 (bullish market conditions, brand strength) 2029 $130 – $170 (potential all-time highs if fundamentals align) 2030 $150 – $200 (long-term upside if Nike maintains market dominance) Conclusion: Buy, Hold, or Sell? • Short-Term (2025–2026): High risk, potential upside if Nike stabilizes its sales and margins. • Mid-to-Long Term (2027–2030): Likely strong recovery, given Nike’s brand strength, innovation, and historical growth. • Best Strategy: Dollar-cost averaging (DCA) for long-term investors; traders may wait for a confirmed reversal. ⚠️ Disclaimer: This analysis is for informational purposes only and should not be considered financial advice. Stock market investments carry risks, including the loss of capital. Investors should conduct their own research or consult with a financial advisor before making investment decisions.
Bitcoin is showing signs of a potential reversal after a strong downtrend. Price is consolidating near key support with a breakout from the descending trendline, signaling a possible long opportunity. Watching closely for momentum confirmation and volume support.
This week, the gold market continued its bull market, breaking through the historical high of 84 and closing. The gold price broke through the psychological barrier of 3,000. The market sentiment continued to be optimistic. In this week's trading, we took the main approach of going long, holding long positions, buying back, and making significant profits, achieving the expected goals. Next week, we will continue to make steady progress and formulate a more efficient profit plan. If you also want to learn gold trading skills and profits in the market, then join my team. Wish you all: Have a good weekend
market maker pushed the market hard enough.. it would not be surprising to see nice rises... does not include financial advice.
The Dusk cryptocurrency is in a low-risk zone relative to Bitcoin to enter a buy trade, but we are still waiting for a confirmation to enter the trade and the target can have a significant profit. Thank you.
Hello Traders, On the 4 hour time frame, Bitcoin is likely to developed a bearish triangle pennant, a continuation pattern that suggests further downside. Within this formation, lower highs are stacking up, meaning traders’ stop losses are accumulating above the resistance. This creates a liquidity zone, which could be tapped before a breakdown occurs. The pennant has an apex zone, the point where dynamic support and resistance converge. This suggests price will soon make a decisive move. If Bitcoin breaks down from the pennant with strong volume, the next technical target is around $69,470, aligning with the measured move of the formation. However, if Bitcoin fakes out to the upside with no volume support, a rapid rejection could accelerate the downside move. Key Technical points to remember for this potential bearish pennant.: - This pattern typically signals continuation of the prevailing downtrend. - Liquidity Build-Up inside the triangle places emphases on price action rotations - Apex Zone: This is when the dynamic support and resistance of the pennant converge, leading to an impulsive break Technical Target: A confirmed bearish breakout could send Bitcoin toward $69,470, this is a measure move of the triangle formation.
Meaning is in the charts, not in words, LOL This is so strange that TradingView wants us to write more and more concepts and make it sounds more thank it is , such weird thing, words words words, which charts is what we are looking at.
Terraform Labs is set to open its claims portal for crypto creditors on March 31, 2025, allowing individuals impacted by its bankruptcy to submit claims. The portal will help those who suffered losses due to the collapse of TerraUSD and other cryptocurrencies related to Terraform Labs’ operations. As part of the bankruptcy proceedings, the company is working to reimburse its creditors, with a deadline for Terraform Labs claims submission set for April 30, 2025. Terraform Labs Claims Portal Opening Date and Deadline According to TerraForm Labs, the claims portal will be accessible at claims.terra.money on March 31, 2025. Creditors who would wish to submit a claim should do so before the 30th of April in the year 2025, at 11:59 PM Eastern Time. Any claims submitted after this date will not be considered and those involved will lose such an opportunity to recover. In filing the claim, the creditors will have to give an identification of their cryptocurrency assets comprising of wallet addresses, or read-only API key among others. Technical Outlook Despite the strategic development, the price of VIE:LUNA seems unbothered. The asset is down 10.39% as of the time of writing. Trading within a bearish engulfing pattern with the RSI at 29 hinting at a possible reversal as the asset is long oversold. Should VIE:LUNA break above the 38.2% Fibonacci level, a trend reversal will be inevitable. Terra Price Live Data The live Terra price today is $0.189004 USD with a 24-hour trading volume of $18,694,216 USD. Terra is down 10.68% in the last 24 hours. The current CoinMarketCap ranking is #268, with a live market cap of $134,190,185 USD. It has a circulating supply of 709,984,439 LUNA coins and the max. supply is not available.