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Analyse CAC40 par Anas
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Analyse CAC40 par Anas

  #1071 (permalink)
Market Wizard
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Signal confirmé

Petit update de mon graph que j'ai eu hier après-midi avec le signal qui n'était pas
encore confimé à ce moment - la confirmation est venu le soir.
Le signal se montre avec le point rouge au-dessus du High (automatiquement)
quand les prix bouge plus haut (bas) que le VWAP band vert.

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GFIs1

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  #1072 (permalink)
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AnasParis View Post
Bonjour GFIs1,

Goal mai 23? c'est à dire aujourd'hui?

Bonjour Anas

Exactement

Aujourd'hui on peut prendre quelques points avec - grâce a Monsieur Ben qui a dit:

FREE Lunch for ALL

Allez les rouges!
GFIs1

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Mise à jour rapide.


DJIA:

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S&P:

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Nasdaq:

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DAX:

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CAC:

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FCE:

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Sur tous les indices, les objectifs signalés sont assez probables. Seules les cassures de ces niveaux enverrait plus bas. Dans la mesure où on a pas encore baissé, j'ai besoin de voir avec quelle vitesse les indicateurs évoluent afin de déterminer si on en reste là ou s'il y a d'autres objectifs.

Maintenant s'il y a grosse panique et changement de pérception chez les gérants...

On verra également comment évoluera le Nikkei demain car il a clôturé au plus bas, après une suspension de cotations et des millions d'ordres sont restés dans les carnets.

Bonne chance!

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Pas assez de volatilitré encore.

Hausse à 3990 puis rebaisse probablement.

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CAC journalier.

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- Rupture de la MM10 par gap. Elle va devenir résistance.
- Le MACD n'est pas encore passé sous sa ligne de signal.
- Le DMI prend le sens de la baisse mais pas d'accéleration avant qu'il passe baissier.

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CAC 30mn.

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On va à la rencontre de la Boll inf. Un classique.

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Je viens de regarder pas mal de trucs

à cause de cette décorélation d'objectifs de 50 pts entre le cash et le fce et c'est le fce qui est dans le vrai.

Ce qui s'est passé c'est qu'il y a eu 68 pts de dividendes en mai, tous rattrapés en raison de l'euphorie. Le CAC doit les rendre.

Le plus probable donc c'est l'objectif du fce à 3770/75. Faut shorter tous les rebonds. Et en 30 mn, on s'est trop éloigné de la MM10, alors possible (mais pas indispensable) qu'on remonte à 3975/80 avant les US et on descend dans la soirée.

3770/75 faut y compter début juin. Sauf grosse panique et que tout le monde veut sortir le premier, on les ferait en 3 à 4 séances.

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10 ans japonais.

Il continue à monter ce matin. Il est à 93. Multiplié par 3 en 6/7 semaines.

Les opérateurs croient de moins en moins que le Japon va rembourser sa dette.

Hier Bernanke n'a pas rassuré à ce sujet en disant que "ce que faisait le Japon est néfaste pour l'économie mondiale et pour les marchés financiers"

Ca devient tendu pour ce pays.

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James Bullard, FED St Louis à l'instant.

- FED's BULLARD said Bernanke said exactly the right thing and tapering depends on data.

- FED'S BULLARD SAYS UNEMPLOYMENT SEEMS READY TO DECLINE MORE

- FED'S BULLARD SAYS UNEMPLOYMENT COULD BE ABOUT 7% BY YEAR-END

- FED'S BULLARD: A LITTLE NERVOUS ABOUT LOW INFLATION.

- FED'S BULLARD SAYS `QE IS THE WAY TO GO.

- Fed's Bullard: Been A While Since We Discussed Exit Strategy.

- BULLARD DOESN’T THINK FED ‘THAT CLOSE’ TO TALKING EXIT STRATEGY.

-

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Quelques déclarations.


- JAPAN Economics Minister Amari sad that weak China data triggered profit taking in Nikkei. He said that he is not worried about today's stock moves but is carefully watching the movements. He said he doesn't believe today's market move reflects change in market sentiment for Abenomics. The government will work on growth strategy and fiscal consolidation.


- German DIHK says ECB rates are too low for Germany


- Nowotny admits Eurozone growth for 2013 could be worse than originally forecast.



Je mets les déclarations des "officials" car le marché ne bouge que grâce à ça en ce moment.

Mes sources sont fiables à 100%. Reuters, AP, AFP, Bloomberg, CNBC, plusieurs banques et Hedge Funds.

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