Understanding My Investment and Trading Strategy I focus my charting on three key elements: 1. Price Action via Engulfing Patterns: I look for larger bullish or bearish candlesticks. 2. Price Gaps After Earnings Announcements or News Catalysts: These gaps can indicate significant price movements. 3. Volume Spikes: These confirm increased buying or selling pressure.
These elements help me identify demand and supply zones (support and resistance).
Trade Example Long Trade: Entry: $73.06 from the first demand zone (starting May 1st for 5 days). Stop Loss: A close below $68. Target: $85. Risk/Reward Ratio: 1:2.4.
My Trade Idea Short Trade: Entry: $87 when the gap is filled. Stop Loss: $90, due to significant selling pressure from the recent earnings report. First Take Profit: $75, with a Risk/Reward Ratio of 1:4, just before the $73.06 demand zone (which is likely to fail if tested again). Second Take Profit: $61, anticipating that $60 might be a psychological barrier for investors with buy limits, and it's close to the demand zone at $57.23.
For Long-Term Investors Interested in Starbucks Price Target for Buying: $57.23, which corresponds to a Price/Earnings (PE) Ratio of 16. Dividend Yield Target: $56.25, offering a 4% dividend yield. Considering a 5-year dividend growth rate of 9.24%, this results in a 13.24% Rate of Return (RoR).
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As informações e publicações não devem ser e não constituem conselhos ou recomendações financeiras, de investimento, de negociação ou de qualquer outro tipo, fornecidas ou endossadas pela TradingView. Leia mais em Termos de uso.