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Analyse CAC40 par Anas
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Analyse CAC40 par Anas

  #231 (permalink)
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Rotation ce matin en faveur des bancaires comme

je le faisais remarquer hier. Il n y a plus de potentiel sur Air Liquide, Danone, L'oréal, Pernod, Sanofi, Schneider et Total, qui sont prêtes à se retourner à tout moment.


Une valeur comme Publicis, à 53€ alors qu'elle n'a jamais coté au dessus de 50€ depuis la bulle internet, où Havas valait 30 contre 5 en ce moment. Faut descendre sur terre.

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  #232 (permalink)
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DAX 30mn:

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Pareil que le CAC. Divergence et correction baissière imminente de n'importe quel point haut.


Mais franchement, je ne regarde les petites UT en ce moment que pour des raisons tactiques. Ce qui m'intéresse c'est le retournement en journalier pour faire les 350 ou 400 points et partir en vacances

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CAc mensuel à nouveau.


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Le milieu du marubozu de juillet 2011 ( dernier signal de la tendance baissière sur cette UT) passe par 3838.

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  #234 (permalink)
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le 22 janvier,

Arcelor était à 13.70. Elle est 22% plus bas. le 1er février, STM était à 6.70. Elle est 10% plus bas.

La sousperformance de ces deux valeurs en ce moment, détenues principalement par des investisseurs anglo-saxons, n'annonce aucune reprise prochainement.

Aucune small cap ne monte en ce moment et ceci quel que soit son bilan.

Ces deux éléments me font penser que cette hausse sera sans suite.

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3850 touché.

je n'ai rien au dessus à part un excès possible.

Le problème c'est que le S&P peut pousser encore 10 points plus haut. Quand? je ne sais pas.


Je suis très investi et stressé bien sûr. Je ferai le point dans la soirée.

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CAC 30mn:

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Pour le moment il y a un retournement en 30 mn suite à la divergence. On va voir ce que sera la bougie jour.

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Bonsoir GFIs,

Tu penses qu'on a atteint les objectifs ou il reste un petit peu de hausse sur les indices US?

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  #238 (permalink)
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Bonsoir AnasParis

Merci pour une bonne question - je pense on peut laisser passer encore une petite semaine
ou les indices peuvent fixer des jolies ultra - hauts
Mais après - comme discuté - les prix pour soutenir ces hauts doivent avoir beaucoup
plus de volume.
Comme ça je regarde la prochaine semaine comme surprise - puis retour à la
realité!

Bon weekend
GFIs1

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  #239 (permalink)
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Merci pour la réponse.

Le CAC futur vient de perdre 25 pts depuis la clôture du cash. Toujours à cause de cette divergence baisière en 30mn.

Le fait que la bougie du jour soit haussière avec gap, fait planer le risque d'un "bébé abandonné" (Chandeliers Japonais) si la bougie de lundi est baissière avec gap.


Je vais prendre le temps de bien regarder les graph dans tous les sens ce week-end et vous ferai une mise à jour dimanche soir.


Je vous souhaite un week-end serein et vous dis à diamanche.


Last edited by AnasParis; March 8th, 2013 at 01:58 PM.
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  #240 (permalink)
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Est-ce - que je serai tordu si je m'attends à une consolidation latérale la semaine prochaine , un bull trap la semaine suivante (mon objectif S&P 1560/70 n'est pas tout à fait atteint) avant baisse de 10% ???

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