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Analyse CAC40 par Anas
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Analyse CAC40 par Anas

  #601 (permalink)
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FCE horaire.

Scénario à TCT:


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  #602 (permalink)
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Avez-vous lu que

Hollande veut "éradiquer" les paradis fiscaux? le mot est fort, surtout s'il utilise une banale tapette à mouches pour y arriver

Je me souviens que Sarkozy avait dit la même chose en 2010 avant de se resaisir.

Techniquement, il n y a que deux manières d'y arriver:

1/ Envahir militairement les pays en question. Mais nombre d'entre eux sont des territoires occidentaux (Iles anglo-normandes, Porto Rico, Bahamas, Malte, Monaco, Luxembourg...etc).

2/ Couper les liens avec ces pays ou territoire. Dans ce cas, vont se developper deux systèmes financiers dans le monde. Celui des paradis fiscaux sera plus attractif que le notre.

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  #603 (permalink)
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Etude documentée


sur les garanties des dépôts en Europe que j'ai lue il y a quelques jours.


0146 La garantie des dépôts en Europe et en France


Le blog est sympa et plein d'archives, à garder dans vos favoris.

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  #604 (permalink)
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Résistances à

3754

3762

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  #605 (permalink)
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Zone critique mais pas de hausse

à suivre pour moi.

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  #606 (permalink)
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Zoom sur l'oblique baissière depuis le 15 mars.

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Elle passe à 3774 aujourd'hui.

MACD toujours baissier.

DMI est passé haussier mais il reflète la tendance du moment.

Volumes faibles.

BNP résistance 42.30 et 42.70 (je vous ai signalé ce matin qu'il restait un peu de rebond sur les bancaires).

Pas d'achats sérieux sur le reste de la cote.

US bcp trop hauts et la situation devient extrêmement dangereuse en cas du moindre incident (type guerre en Corée par exemple).


Avec des produits moyen terme on finira gagnants.

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  #607 (permalink)
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On va plonger je crois.

Pourquoi pas 3720 pour commencer.

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  #608 (permalink)
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Bonjour anas,

C'est la 1ère fois depuis longtemps que le DOW est plus faible que le CAC. J'espère que le reversal n'est plus loin.

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  #609 (permalink)
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DIANIABDEL View Post
Bonjour anas,

C'est la 1ère fois depuis longtemps que le DOW est plus faible que le CAC. J'espère que le reversal n'est plus loin.



Au niveau actuel des indices US, je n'ai plus de point de retournement précis. J'avais 14740 et 1585 max.
Ce dont je suis presque certain, c'est que derrière ça va plonger et le CAC avec.

Objectifs:

DJIA 13300
S&P 1420
CAC 3420 voire moins en cas panique.

Courant mai probablement ou au plus tard première quinzaine de juin.

Je suis en position. Pas stressé du tout car j'ai des produits valables 6 mois.

Si ça n'arrive pas, j'arrête le trading

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  #610 (permalink)
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C'est l'époque qui est mauvaise pour le trading.


La FED fait ce qu'elle veut. Empêche des marchés basés sur l'offre et la demande. Les principales banques américaines sont dans la confidence et elles sont en train de plumer le reste du monde.

Il arrivera un jour où ça ne sera plus le cas, peut-être 2014, et j'espère être en levier 10 pour une belle culbute avant de prendre une année sabbatique

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