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Analyse CAC40 par Anas
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Analyse CAC40 par Anas

  #671 (permalink)
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Les banques américaines étaient au courant

dès vendredi matin.

Pourquoi?

Regardez les cours de Arcelor, Vallourec, Total...etc. Elles ont été vendues massivement vendredi dès l'open et encore aujourd'hui.

Donc la stratégie de la FED est de baisser toutes les matières premières.

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  #672 (permalink)
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Je parie un régime de bananes

que le CAC sera demain à 3740 avant midi

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  #673 (permalink)
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CAC 30 mn.


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  #674 (permalink)
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Gold.

La MM200 qui soutient les prix depuis 12 ans (250$) a cassée. Il faudrait chercher ce soir l'objectif exacte. Mais d'après ce que j'ai vu hier c'est 1000$. On va pas y descendre en ligne droite car on est déjà survendu.

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DJIA journalier.

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MM10 à 14690. Soit il rebondit dessus pour un nouveau plus haut et sommet moyen terme à proximité des 15000, en cas de clôture en dessous, objectif 14300.

Faut voir s'ils vont acheter à 21h30 comme d'hab ou ils n'ont plus d'oseille

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  #676 (permalink)
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Le point.

DJIA.

Passe baissier en journalier avec objectif immédiat à 14300 et 13450/500 d'ici 5/6 semaines environ.


S&P.

1530 puis 1440.

CAC.

3600 puis 3450/20.

Il y aura un retracement.


Je proposerai un scénario plus clean demain matin dans la mesure où on vient d'avoir la bougie qu'on attend depuis longtemps sur les indices US.


@Abdel


Bonne nuit à tous et à demain.

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  #677 (permalink)
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Pour info,

VIX +42%

Wow!


Free lunch pour 21 (14300) puis 32 (13450/500)

On va se gaver

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  #678 (permalink)
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Gold à 1344 !!

Jamais vu une telle baisse.

A demain 5h

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  #679 (permalink)
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Bonjour,

J'ai appris ce matin qu'il y a eu un attentat à Boston à 21h heure française.
Je constate qu'une partie de la baisse des indices US s'est faite à cause de cet évènement.
Cependant, les dégagements ont commencé dès 17h.
Des ventes massives sur les MP ont commencé vendredi et ont continué hier au point où certains sous-jacents ont perdu 20%. C'est assez rare.

Le VIX a fini à +43%. Il montait déjà de 26% avant l'attentat.

J'en déduis que la peur commence à gagner les investisseurs.

Le Nikkei, après avoir perdu plus de 2% a fini en légère baisse.

Je pense que si une partie de la baisse s'est faite en raison de ce qui s'est passé à Boston, un petit rebond technique pourrait avoir lieu aujourd'hui avec les objectif maximum suivants:

DJIA: 14750
S&P: 1565
CAC: 3715/20

Mais que la baisse va reprendre pour les objectifs mentionnés maintes fois.


Le Gold est très survendu. Un rebond technique doit intervenir ces jours-ci mais je n'ai pas d'objectif. A moyen terme c'est passé baissier et ça peut descendre à 1000$ environ.

Je mettrai des graph tout à l'heure.

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CAC pour aujourd'hui.


La zone 3720/30 devient résistance en journalier. Ce matin, on peut rebondir jusqu'à 3715/20 mais le graph m'inspire une baisse à 3645/50 par la suite.

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