WebView live VIBROSENSE DYNAMICS B chart to track its stock's price action. Find market predictions, VSD.B financials and market news WebForex Screener lets you scan the Forex market to find best trading opportunities. Forex Screener lets you scan the Forex market to find best trading opportunities. Main Web#VIBUSD $VIB broke out long term descending resistance line and trading above ascending support. if price hold the support and start a rally first resistance is 40% WebCharts, forecasts and trading ideas from trader VSD_TamizhTrader. Get unique market insights from the largest community of active traders and investors WebIt has branches in the United Kingdom, Canada, Australia, Cyprus, Israel and the United States. In , it had valued its value at more than $ million. The company is listed ... read more
Take care! Hey Folks, Long Opportunity on USDCAD. Make sure you analyse well and risk appropriately.. Based on technical factors there is a Short position in : 📊 XAUUSD GOLD 🔴 Short Now A recent breakout signals That the bears are still strong And I am growing in confidence That a bearish selloff is coming! Hey Folks, Long Opportunity on USDCHF. GBPUSD H4 - We are trading south of this 1. Analysis to follow on the hourly timeframe, to justify to potential intraday entry point.
Targets initially 1. The monthly chart of SPX is looking risky right now. It's about to trigger the Kiss of Death KOD bear signal🚨 When after the sell off price retraces to 21 period MA, reverses and breaks the previous low. In this case SPX needs to break June lows to trigger the KOD. The markets will confirm continuation of this bear market, once this break happens.
USD after a extended down move has stalled a while for whole of next week continue monitor for clearer higher timeframe direction I'm slightly bullish. If you like my analysis and it helped you ,do give me Missed one trade and got to another. Buying at almost premium.
From the moment I missed the trade, I was waiting for FVG creation. Price did retrace to FVG but consolidated for some time. It tool longer then I anticipated but in the end, everything worked out. Please share your thoughts. Gross Margin, TTM —. Operating Margin, TTM —. Pretax Margin, TTM —. Income Statement. Basic EPS, Net Income —. Earnings per Share, Basic, TTM —. EBITDA, TTM —. Gross Profit, FY —.
Last Annual EPS —. Last Annual Revenue, FY —. Net Income, FY —. Total Revenue, FY —. Free Cash Flow, TTM —.
More financials. Sector: Health Services. VibroSense Dynamics AB engages in the development and marketing of medical devices for diagnosis of peripheral neuropathy. This has not been met today. Furthermore, let's see what happens once the FED pivots and begins decreasing rates again: Again, if you notice when the FED began to decrease rates, the market did NOT act the way the public is expecting it to react today.
It is a counterintuitive proposition because it is positive that monetary policy is more favorable but WHY is the FED decreasing rates? Most likely because of economic weakness. If the FED is hiking confidently, this means the economy is still intact and able to hold the brunt of the impact. This dynamic is missed by a great majority of market participants.
One thing I want to focus on in the last chart is the year trend break of monetary policy. For example; Here is the US10Y: Breaking a Year trend As well as the Year Fixed Rate Mortgage does the exact same thing: This to me indicates we are in a historical transitional period. If this is in fact the case, this would mean we would be transitioning from the old trend to a new trend.
Now let's think about what trend we have been in for the last 20 years minimum. Its been astronomical QE and endless money printing which has brought us to today. What's on the flip side of this coin?
by NoOneWhoIsSomeone. Show more. Explore all days Explore all days. TSLA ・ Nov COIN ・ Nov ZM ・ Nov BTCUSD ・ Nov News flow. Keep reading Keep reading. of Symbols. Community trends.
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DeFi by market cap. Trade ideas. Popular Stocks Crypto Forex Indices Futures More. by Tolberti. by TheSignalyst. by YMGroup. by AtlasTrades. by TheNewsCrypto. by EXCAVO. Pine scripts. Popular Recent More. by LuxAlgo. by LeviathanCapital. by HeWhoMustNotBeNamed. by KioseffTrading. by TanHef. by quantifytools. by iravan. by CarusoInsights. Educational ideas. The basic principle is we can think more strategically about the regime that drives the USD, and this has consequences for price, and by extension commodities and other second-order derivatives of the USD.
This is a rarity, but can be a potent force, especially given this time around we went through a regime shift from zero interest rates and QE to rapid rate hikes. On the right-hand side, fears of a deeper economic contraction in China, Europe, and the UK, certainly on a relative basis, again saw the USD outperform. We can also see that while inflation rose aggressively in most DM countries, we also seen dovish pivots from the BoE, ECB, and RBA, and yet the Fed have kept a consistent tone — well, at least Jay Powell has.
A USD turn — but can it last? Crude and copper have shown us the way, but traders are expressing a view of a global growth slowdown, which of course favours USD strength. The news flows may change as we head into what will be a big December by way of event risk— bad US data will impact the right-hand side of the smile and weaken the USD, especially if the US labour market shows real signs of cooling and core CPI undershoots again.
The smile could be a good guide to think about the USD direction. by Pepperstone. I anticipate the asset's fall once the price settles in the channel, as the RSI and BB indicate overbought conditions 1H and 30m TFs by knoxtring. Today, I am going to share with you 10 important trading lessons which market taught me after years of experience and I wish these tips to help you in your future trades : 1.
We should Only do trading whenever we can obey all the following items or we had better leave trading forever. Never enter into a stressful trade. This means you have to set you stop loss and calculate you target before executing a trade and possible loss should be small enough that you can tolerate.
If you feel to need to sit behind your laptop or PC to monitor and check your trade after opening a position, you are entering into a wrong one!. Do not open it.
Doing an analysis in relax and comfortable condition is necessary before any trade. Opening a position without " an already done analysis " is a great mistake! Running an immediate analysis when market has strong momentum and trading based on that is very risky. Try to avoid such trades. Never fade the gain of a good trade with a loss of a bad one. Good here means trading based on pre-defined strategy and bad means throwing it away. Using leverages can be dangerous as much as it can be fascinating.
Only use leverages when all elements of your trading strategy are present. Stick to your Stop loss and Take profit which you set and calculated outside of any market excitation. Being optimistic and over pessimistic is forbidden. Trading is all about being realistic. please share your own experiences as comments. I am eager to learn from you my friends.
Good luck. by SaeedSajedi. I post short mid and long-term trade setups too. Here are some Educational Chart Patterns that you should know in In technical analysis, a head and shoulders pattern describes a specific chart formation that predicts a bullish-to-bearish trend reversal. It is confirmed once the asset's price falls below a support level equal to the low between the two prior highs.
The twice-touched low is considered a support level. The double bottom pattern always follows a major or minor downtrend in particular security and signals the reversal and the beginning of a potential uptrend. A triple top is considered complete, indicating a further price slide, once the price moves below pattern support.
A trader exits longs or enters shorts when the triple top completes. If trading the pattern, a stop loss can be placed above the resistance peaks. The estimated downside target for the pattern is the height of the pattern subtracted from the breakout point. A triple bottom is generally seen as three roughly equal lows bouncing off support followed by the price action breaching resistance.
The formation of the triple bottom is seen as an opportunity to enter a bullish position. The trend lines drawn above the highs and below the lows on the price chart pattern can converge as the price slide loses momentum and buyers step in to slow the rate of decline. Before the lines converge, the price may breakout above the upper trend line. When the price breaks the upper trend line the security is expected to reverse and trend higher. The trend lines drawn above and below the price chart pattern can converge to help a trader or analyst anticipate a breakout reversal.
While price can be out of either trend line, wedge patterns have a tendency to break in the opposite direction from the trend lines. Therefore, rising wedge patterns indicate the more likely potential of falling prices after a breakout of the lower trend line. Traders can make bearish trades after the breakout by selling the security short or using derivatives such as futures or options, depending on the security being charted.
These trades would seek to profit from the potential that prices will fall. Flag patterns are accompanied by representative volume indicators as well as price action. Flag patterns signify trend reversals or breakouts after a period of consolidation.
It's important to look at the volume in a pennant—the period of consolidation should have a lower volume and the breakouts should occur on a higher volume. Most traders use pennants in conjunction with other forms of technical analysis that act as confirmation. The cup and handle are considered a bullish signal, with the right-hand side of the pattern typically experiencing lower trading volume.
The pattern's formation may be as short as seven weeks or as long as 65 weeks. This indicates that there is more buying pressure moving the prices up than down and indicates that the momentum will continue in an uptrend.
Traders wait for the price to break above the resistance of the consolidation after this pattern is formed to enter the market. This indicates that there is more selling pressure moving the prices down rather than up and indicates that the momentum will continue in a downtrend.
Traders wait for the price to break below the support of the consolidation after this pattern is formed to enter in the short position. The upper trend line or the resistance connects a series of highs.
The lower trend line or the support connects a series of lows. Like any chart pattern, there are certain market conditions that tend to follow the formation of the megaphone pattern. A bearish diamond formation or diamond top is a technical analysis pattern that can be used to detect a reversal following an uptrend; the however bullish diamond pattern or diamond bottom is used to detect a reversal following a downtrend.
This pattern occurs when a strong up-trending price shows a flattening sideways movement over a prolonged period of time that forms a diamond shape. Detecting reversals is one of the most profitable trading opportunities for technical traders. A successful trader combines these techniques with other technical indicators and other forms of technical analysis to maximize their odds of success. These indicators are used to help assess whether an asset is trending, and if it is, the probability of its direction and of continuation.
Examples include the moving average, relative strength index and MACD. There are many techniques in technical analysis. Adherents of different techniques for example Candlestick analysis, the oldest form of technical analysis developed by a Japanese grain trader; Harmonics; Dow theory; and Elliott wave theory may ignore the other approaches, yet many traders combine elements from more than one technique.
Some technical analysts use subjective judgment to decide which pattern s a particular instrument reflects at a given time and what the interpretation of that pattern should be. Others employ a strictly mechanical or systematic approach to pattern identification and interpretation.
Contrasting with technical analysis is fundamental analysis, the study of economic factors that influence the way investors price financial markets. Technical analysis holds that prices already reflect all the underlying fundamental factors. Uncovering the trends is what technical indicators are designed to do, although neither technical nor fundamental indicators are perfect. Some traders use technical or fundamental analysis exclusively, while others use both types to make trading decisions.
Trade with care. If you like our content, please feel free to support our page with a like, comment Editors' picks. Celebrating 50 Years of Financial Futures This is a Thanksgiving Special Report. Swiss Franc CME:6S1! In May , International Monetary Market IMM , a division of the Chicago Mercantile Exchange CME , launched futures contracts on seven currency pairs.
What has made a Midwestern Exchange, known mainly for its Pork Bellies contract, a frontrunner in financial innovation? Bretton Woods System and its Collapse At the end of World War II, the United States and its allies created the Bretton Woods System. Essentially, it was a global monetary system governed by fixed currency exchange rates.
Other currencies were pegged to the U. In , one dollar was exchanged for 0. The U. was responsible for maintaining the gold parity. As global inflation rose sharply in the s, many countries could not maintain the official peg. They responded by redeeming dollars for gold at the US Treasury window.
With US gold reserve depleting rapidly and a gold run looming, in August , President Richard Nixon announced the "temporary" suspension of the dollar's convertibility into gold.
This marked the breakdown of the Bretton Woods. Central banks around the world were no longer obligated to peg their exchange rates to the US dollar. Leo Melamed and Milton Friedman With fixed rates, there was no exchange rate risk in international trade. However, flowing rate exposes importers and exporters to significant uncertainty to the amount of dollar or foreign currency they will receive or are obliged to pay for.
Since its founding in , CME has been the place where producers, processors, merchants, and commercial users come together to hedge price risks for a wide range of commodities. Leo Melamed, then Chairman of the CME, was convinced that the futures market is the solution to tackle the rise in exchange rate volatility. Leo set up an International Monetary Market division within the CME and prepared for new futures contracts derived from foreign exchange rates.
Initially, this breakthrough idea found no friends on Wall Street. Leo met with Milton Friedman, a well-respected economics professor at the University of Chicago. This changed everything. He was also the Dean of Graduate School at the University of Chicago, and a good friend with Milton Friedman. Foreign Exchange Futures On May 16, , IMM simultaneously launched seven futures contracts based on the US dollar exchange rates to British Pound CME:6B1!
Five of those original FX contracts are still actively trading at the CME. Deutsch Mark and the Lira have been delisted since Germany and Italy joined the Euro currency. FX contracts saw exponential growth in trading volume in the next fifty years. In the first 9 months of , average daily volume for all FX futures and options reached , lots, according to the CME Group. On November 15th, Euro FX alone traded , lots and had an open interest of , contracts.
My writings on TradingView include a number of trade ideas on FX futures contracts. Please take a look if you haven't yet.
The next few years saw new breeds of futures contracts, including interest rate futures between and and equity index futures in During the holiday season, I would start a series on the leaders and innovators at CME, CBOT and KCBT. Happy Trading. They shall not be construed as investment recommendations or advice. Nor are they used to promote any specific products, or services.
CME Real-time Market Data help identify trade set-ups and express my market views. If you have futures in your trading portfolio, check out on CME Group data plans in TradingView that suit your trading needs www. by JimHuangChicago. HTF Data for better perspective. Hi TV community. When adding indicators to charts, it is possible to set indicator's time-frame or resolution to something other than the chart's time frame.
B chart. Enterprise Value, FQ —. Market Cap — Basic —. Number of Employees —. Number of Shareholders —. Balance Sheet. Current Ratio, FQ —. Debt to Equity, FQ —. Net Debt, FQ —. Quick Ratio, FQ —. Total Assets, FQ —. Total Debt, FQ —. Operating Metrics. Return on Assets, TTM —. Return on Equity, TTM —. Return on Invested Capital, TTM —.
Revenue per Employee, TTM —. Price History. Average Volume 10 day —. Beta - 1 Year —. Price - 52 Week High —. Price - 52 Week Low —. Dividends Paid, FY —. Dividends per Share, FY —. Expected Annual Dividends —. Dividends Yield —. Net Margin, TTM —.
Gross Margin, TTM —. Operating Margin, TTM —. Pretax Margin, TTM —. Income Statement. Basic EPS, Net Income —. Earnings per Share, Basic, TTM —. EBITDA, TTM —. Gross Profit, FY —. Last Annual EPS —. Last Annual Revenue, FY —. Net Income, FY —. Total Revenue, FY —. Free Cash Flow, TTM —. More financials. Sector: Health Services. VibroSense Dynamics AB engages in the development and marketing of medical devices for diagnosis of peripheral neuropathy. The company offers VibroSense Meter, which investigates the vibration sense in the hands and fingers to detect early sensory disturbances in the hands.
It provides services to diabetes clinics, health and occupational health services, hospitals, and researchers.
The company was founded by Antonio Peter Speidel and Goran Lundborg in and is headquartered in Malmo, Sweden. News flow. More news.
WebIt has branches in the United Kingdom, Canada, Australia, Cyprus, Israel and the United States. In , it had valued its value at more than $ million. The company is listed WebCharts, forecasts and trading ideas from trader VSD_TamizhTrader. Get unique market insights from the largest community of active traders and investors WebForex Screener lets you scan the Forex market to find best trading opportunities. Forex Screener lets you scan the Forex market to find best trading opportunities. Main WebView live VIBROSENSE DYNAMICS B chart to track its stock's price action. Find market predictions, VSD.B financials and market news Web#VIBUSD $VIB broke out long term descending resistance line and trading above ascending support. if price hold the support and start a rally first resistance is 40% ... read more
This event is one of those moments. It is expected that there is a chance that the price will fall in the short term, sell the red zone, the first target is Investroy Premium. The firm's vessels transport major bulks, which include iron ore, minerals and grain, and minor bulks, which include bauxite, fertilizers and steel products. Abbreviations BSLQ : Buyside Liquidity SSLQ : Sellside Liquidity FVG : Fair Value Gap MSS: Market Structure Shift Analysis - Nice order flow on the 1hr chart - 2 MSS in a row confirming the shift in Leo Melamed, then Chairman of the CME, was convinced that the futures market is the solution to tackle the rise in exchange rate volatility.Initial target is 2. I expect vsd trading forex tradingview to reverse right at 9. The firm's vessels transport major bulks, which include iron ore, minerals and grain, and minor bulks, which include bauxite, fertilizers and steel products. Australian Dollar Currency Index. GBPUSD Oct 25 · The final blow: Recently, continuous rivalry on crypto twitter between CZ and SBF fuels the price drops on FTT as CZ claims to sell all remaining tokens.