Propulsions Our process- based on DeMark indicators
Our weekly technical overview covers the major markets in the broader perspective in order to identify the bigger global trends and what might be driving markets at the moment.
The main focus is to identify the bigger setups to allow clients to profit from 3%-5% and even 10%+ moves but also longer timeframes covered every month to see where the exhaustion counts and targets are.
Many people can get the buy- and the sellsignals but the important thing is to now how and when to act and which DeMark indicators to combine. Besides finding entry and exit points, based on exhaustion of sellers and buyers, identifying where the Technical supports and resistances are, it is crucial to find in which stage the markets are currently in and if they are trending or trading in ranges.
The service begins with the daily TA-comment that covers the major markets with charts over what is currently moving and important levels for the shorter term.
We provide our clients with technical analysis based on DeMark indicators combined with traditional TA to help clients navigate through the equity, fx bond and commodities through bull and bear markets, booms and crashes. Our main clients are hedge funds seeking to profit from 3-5% moves across major markets. We offer professional weekly reports for global economics on a micro and macro scale
We strive to provide our clients with expert trading predictions in equities, stocks, bonds, yields, bondmarket, trading, investments, technical analysis, TA, commodities, comms, indicies, index, global, macro, emerging markets, em, asia markets, china, japan, s&p, nasdaq, dow, djia, dow jones, the major indexes, S&P 500, EX50, Nikkei, Shanghai, Emerging markets, ex50, dax, footsie, usd, euro, us, 10 year bonds, bunds, schatz, soft commodities, ag, wti, crude oil, gold, pattern, tech, setup, sell buy signals, sellsignal, buysignal, support resistance, inflection point, tape reading, trader, scalper, investor, bear, bull, bearmarket, bullmarket, crash, rally, banks, crypto, bitcoin etc.
Nr technical analysis of the global macro markets based on DeMark indicators. The service targets either an investor seeking long term trends for investments or trader seeking to profit on daily buy and sell signals.
Followed by weekly overview of the agreed specific markets and a weekly overview technical letter discussing the major macro markets focused on the S&P, 500, Nasdaq, Japan Nikkei and China and G10 currencies and the special situations that occur. This is summed up to end the week with em fx pairs overview and european and us sector watch, completed with commodities, Oil, WTI the crude, Gold copper with a stand alone coverage of soft commodities and ag products.
Every beginning of a month we run through the major market DeMark (c) counts and setups to get an easy overlook where markets are in the bigger cycle.
Situations we watch for example Italy watch with Italian 2 year yields, 10 year yields BTP or Turkey currency the USDTRY affecting other EM fx pairs like USDZAR and a constant watch of the Peso, USDMXN – the around the clock traded risk currency.
From Asia fx pairs, with focus on the yuan, USDCNH and the India Rupee USDINR and Korean Won USDKRW across the the globe to Polish Zlot USDPLN and others ending up with South amercian currencies in Brazil, Mexico USDBRL and USDMXN.
Tailor-made technical analysis solutions to help institutional clients navigate through the global macro markets.
Our dedicated team with DeMark (c) expertise will provide daily morning comments, weekly outlooks and overviews. We use DeMark (c) indicators to help you navigate the markets on a daily and/or weekly basis. Full monthly service with access to analysts can be provided.
We offer professional weekly reports for global economics on a micro and macro scale. Here you find the foundations for accurate predictions and customized solutions for clients. Are you ready to meet the future?
provide our clients with technical analysis based on demark indicators combined with traditional TA to help clients navigate through the equity, fx bond and commodities through bull and bear markets, booms and crashes. Our main clients are hedge funds seeking to profit from 3-5% moves across major markets equities, fx bonds. Bond focus is on the
US 10 year yields, treasury (TY) and german 10 year yields, Bunds (DB).We offer professional weekly reports for global economics on a micro and macro scale. Here you find the foundations for accurate predictions and customized solutions for clients. Are you ready to meet the future?
Disclaimer: Futures, Options, and Currency, CDF or any other structured products trading all have large potential rewards, but also large potential risk. They are not suitable and may be appropriate only for sophisticated investors. Investors should never invest or trade with money they can not afford to lose. This is neither a solicitation nor an offer to Buy/Sell futures, options, currencies or any other instrument or participate in any trading strategy but for purely informative reasons. Presented material should not be considered or regarded by recipients as substitute for own research, judgement or actions. No representation is being made that any account will or is likely to achieve profits or losses. Indeed, events can materialize rapidly and thus past performance of any trading system or methodology is not necessarily indicative of future results particularly. Any simulated or hypothetical performance results have certain inherent limitations. While prices may appear within a given trading range, there is no guarantee that there will be enough liquidity/ volume to ensure that such trades could be actually executed. Hypothetical results thus can differ greatly from actual performance records, and do not represent actual trading since such trades have not actually been executed, these results may have under-or over-compensated for the impact, if any, of certain market factors, such as lack of liquidity. Simulated or hypothetical trading programs in general are also subject to the fact that they are designed with the benefit of hindsight and back testing. Such representations in theory could be altered by Wars, Sovereign Debt Defaults or Force Majeure events . It should not be assumed that the methods, techniques, or indicators presented in this publication will be profitable or that they will not result in losses since this cannot be a full representation of all considerations and the evolution of economic and market development. Past results of any individual or trading strategy published are not indicative of future returns since all things cannot be considered for discussion purposes. In addition, Northern Raven’s analysis is provided for informational and educational purposes only and should not be construed as investment advice or a solicitation for money to manage since money management is not conducted. Therefore, by no means is this publication to be construed as a solicitation of any order to buy or sell any security or asset. As such, this information should not be relied on solely in making any investment. Prior to entering into a transaction you should consult with your own legal, regulatory, tax, financial and accounting advisers to the extent you deem necessary to make your own investment, hedging and trading decisions.