Buy spot silver targeting $63.28 then $65.25. Thesis: the $59 breakout is holding (100-period 4H MA + 23.6% Fib confluence), ...
Record H1 profits, lifted 2026 target, improving fees/insurance (+14%), stable cost discipline (cost-to-income 34%), and ...
Rationale: the rebound from <$4,000 is intact, and a firm break would overpower the “oil shock = higher-for-longer rates” ...
AI milestones (FSD subs, Robotaxi expansion) are real, but the market is punishing the gap between spending and monetisation.
Buy UKOIL (Brent futures/CFD) for a push from ~$96 toward $100 as Middle East risk tightens supply and inventories are ...
Alphabet’s capex jump and Cloud surge validate the hyperscaler spending cycle, which directly lifts demand for high-end ...
Buy Intel (INTC) into/after earnings. The setup is a credible foundry turnaround: High-NA EUV in active production, major ...
The BoJ delivers a surprise, faster tightening path that meaningfully narrows the US–Japan rate gap and forces USD/JPY to ...
Buy EZJ.L selectively for the holidays/ancillaries mix: revenue growth is coming from holidays and ancillary services, and EasyJet expects holidays customers to rise low double digits while capacity ...
Dow ends flat as investors await key Big Tech earnings reports. Rising oil prices revive inflation and Fed rate hike concerns ...
The market is focused on whether AI capex is turning into Google Cloud growth and faster revenue/returns. If Alphabet shows ...
Yen weakness + widening Japan–US rate spread keeps supporting exporters, while the index is holding above the 50/100-day EMAs and has a falling-wedge setup. Upside target is a break above the wedge ...
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