SKPC is moving with strong volume SKPC is moving with strong volume ๐๐.
โ ๏ธ Note: RSI is forming a bearish divergence, so caution is needed.
โ๏ธ First positive signal: close above 17.1
โ๏ธ Next confirmation: break the 18.5 range
๐ฏ Strong resistance: 19.1
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ENGC broke the uptrend channel from December and formed a triangENGC broke the uptrend channel from December and formed a triangle pattern ๐.
โ ๏ธ No entry unless it breaks the triangle with strong volume ๐๐.
Otherwise, it may continue the downtrend if it breaks the lower band of the triangle โฌ๏ธ.
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SKPC is on trackSKPC is on track ๐๐ฅ
It has broken the first resistance and touched the second resistance with strong volume ๐.
I expect continuation toward the first target ๐ฏ if momentum remains strong.
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ORHD Long Here is my plan for this stock:
I think the correction will continue until this blue box, and from there we can confirm and go long.
If this breakout trade is succesful, then at least 1:5 rr is achievable. And could further result in 1:12 rr.
I assume this is just a correction, but once price breaks below 20.4, thats where i flip bearish (Highly unlikely).
GBCO is consolidating after a strong upward move GBCO is consolidating after a strong upward move ๐.
A close above the upper boundary with strong volume ๐ would likely trigger another strong bullish wave.
๐ฏ Target 1: 33.33
๐ฏ Target 2: 34.8 (Fair Value)
๐ฏ Target 3: 37.7
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ACTF broke the triangle pattern and the 200 MA ACTF broke the triangle pattern and the 200 MA ๐๐.
For entry, I prefer to wait for tomorrowโs confirmation with a strong close above the 200 MA โ๏ธ.
๐ฏ Target 1: 2.93 (Main Resistance)
๐ฏ Target 2: 3.00
๐ฏ Target 3: 3.20
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RACC strong volume coming in and broke an important resistance RACC saw strong volume coming in and broke an important resistance ๐๐.
You have two options:
๐น Enter on a retest of 8.76
๐น Wait for final confirmation with a break and close above 9.17
๐ฏ Target 1: 9.7
๐ฏ Target 2: 10.655
๐ฏ Target 3: 12.14 (ATH)
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Iโve updated my analysis based on the strong volume.Iโve updated my analysis based on the strong volume supporting the uptrend channel ๐๐ and the breakout of the Change of Character (CHoCH).
New targets are now reflected on the chart ๐ฏ.
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MICH broke the downtrend channel and the triangle pattern with sMICH broke the downtrend channel and the triangle pattern with strong volume ๐๐.
After one week of consolidation, it has resumed the uptrend ๐.
โ๏ธ First target achieved
๐ฏ Target 2: 31 (Fib 50%)
๐ฏ Target 3: 32.2
๐ฏ Final Target: 34 (Fair Value & ATH)
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BONY broke the triangle pattern with strong volume BONY broke the triangle pattern with strong volume ๐๐, and I expect some positivity to follow ๐.
You can wait for a second confirmation:
โ๏ธ Break above the Fib 38.2% level 4.1
โ๏ธ Clear change of character 4.1
๐ฏ Target 1: 4.3 (Fib 50%)
๐ฏ Target 2: 4.5 (Fib 61.8%)
๐ฏ Target 3: 4.9
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BONY is building strong momentumBONY is building strong momentum ๐ฅ๐:
โ๏ธ Broke the triangle pattern ๐
โ๏ธ Cleared Fib 0.3818
โ๏ธ Broke the main resistance at 3.52
Fundamentals are strong, supported by positive news ๐ฐ๐ช.
โ ๏ธ Caution: I saw similar volume back in December, followed by a continued downtrend.
I prefer to wait for:
๐น Tomorrowโs candle confirmation, or
๐น A retest of 3.82 resistance before considering entry.
๐ฏ Targets: 4 โ 4.5 โ 4.77
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For those interested in the setup:For those interested in the setup:
๐น Entry: 37.3
๐น Stop-loss: 35.9
๐ฏ First Target (Fair Value): 46.2
๐ฏ Final Target: 46.2
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RUBX (EGX) โ Long Plan Breakout Entry
๐ Buy: 10.65+ (1H close & hold above the recent supply / range top)
Confluences:
โข Break of the recent daily range ceiling
โข Price above 9/20 EMAs + BB expansion starting
๐ก๏ธ Stop: 10.25
๐ฏ Take Profits
๐ TP1: 11.05
๐ TP2: 11.55
๐ TP3 (stretch): 11.80s (only if momentum stays clean + volume continues)
ORAS- LOW RISK / good opportunity / great fundamentalORAS- Timeframe 1 day
Format a Gartley bullish pattern as follows:
- Entry: 405.00(current price: 405)
- Stop loss: 380.00(potential loss: +6%)
- First target: 446.00(potential profit: 10%)
- Second target: 471.00(potential profit: +16%)
- Third target: 500.00(potential profit: +23%)
This is not investment advice, only my analysis based on chart data.
Consult your account manager before investing.
Thanks and good luck.
IFAP - Ascending triangleIFAP has formed an ascending triangle on the daily chart.
**Stop Loss:** 19.00
**Targets:**
- T1: 21.88
- T2: 24.27
**Resistance at 25.30 :** If the price closes above this level, the stock could reach new highs and continue its uptrend. In such a scenario, it's advisable to use a trailing stop instead of fixed targets.
*Disclaimer:* This analysis is based on chart data and is not investment advice. Consult your account manager before making any investment decisions.
Good luck!
Arab Moltaka Egypt can be an investment to 4.90Weekly chart, EGX:AMIA
The price crossed up a major resistance line R, and is testing it.
In case of trading above 3.06 with high volume for 2 weeks, the target will be 4.90 passing through strong resistance 3.57 (last highest High), then a psychological barrier 4.00
Stop loss below 2.65
Technical indicators:
RSI is on a bullish trend, at 62
MACD is positive
MEPA - LOW RISK / good opportunity MEPA - Timeframe 1 day
Format a Gartley bullish pattern as follows:
- Entry: 1.70 (current price: 1.66)
- Stop loss: 1.65 (potential loss: 2%)
- First target: 1.80 (potential profit: 5%)
- Second target: 1.88 (potential profit: 10%)
This is not investment advice, only my analysis based on chart data.
Consult your account manager before investing.
Thanks and good luck.
ADCI - LOW RISK / good opportunityADCI - Timeframe 1 day
Format a Gartley bullish pattern as follows:
- Entry: 187.50 (current price: 182)
- Stop loss: 181.00(potential loss: 3%)
- First target: 202.00(potential profit: 7%)
- Second target: 215.00(potential profit: 14%)
This is not investment advice, only my analysis based on chart data.
Consult your account manager before investing.
ECAP- LOW RISK / good opportunity / great fundamental ECAP - Timeframe 1 day
Format a Gartley bullish pattern as follows:
- Entry: 28.80 (current price: 29)
- Stop loss: 28.00(potential loss: 3%)
- First target: 31.17(potential profit: 8%)
- Second target: 32.80(potential profit: 14%)
This is not investment advice, only my analysis based on chart data.
Consult your account manager before investing.
NHPS- HIGH RISK / good opportunity / great fundamentalNHPS- Timeframe 1 day
Format a Gartley bullish pattern as follows:
- Entry: 69(current price: 70)
- Stop loss: 67.62(potential loss: +5%)
- First target: 79.60(potential profit: 11%)
- Second target: 27.00(potential profit: 22%)
This is not investment advice, only my analysis based on chart data.
Consult your account manager before investing.
Thanks and good luck.






















