Nasz blog
Spadki na indeksie S&P500, co to oznacza?

Indeks pozostaje ponad najniższymi poziomami z marca.

 

Na skutek spadków notowań z 29 maja, wykres indeksu S&P500 wygenerował drugi z rzędu sygnał sprzedaży na poziomie 2800. Drugi sygnał sprzedaży mówi nam, iż podaż znajduje się aktualnie w przewadze, czyli jest większa ilość sprzedających od kupujących.

 

Ważne jest, aby pamiętać w takich momentach, iż chociaż teraz bez cienia wątpliwości mamy okres którko-terminowego osłabiania na giełdzie, trend w dlaszym ciągu jest rosnący. Dodatkowo indeks pozostaje ponad najniższymi pozimami z marca. Ostatnie spowolnienie, wydaje sie być naturalnym zjawiskiem na giełdzie. Niezapomnijmy iż jest to spowolnienie, po nieustannych wzrostach od stycznia.

 

Indeks S&P 500

Dotychczasowe wyniki nie mogą stanowic gwarancji przyszłych rezultatów.
Źródło: DWA/NASDAQ



Legenda
Lata widoczne na samej górze wykresu
Miesiące to liczby namiesione na wykres
Linia trendu zawsze pod kątek 45 stopnii
Sygnał Kupna - gdy wzrosotwa klumna X przekracza poziom poprzedniej klumny X
Sygnał Sprzedaży - gdy spadkowa kolumna O przekracza poziom poprzedniej kolumny O

The information contained in this document is general and referring to financial instruments, they are presented solely for information purposes and do not constitute a recommendation regarding investment, encouragement or offer to carry out any operation or transaction. This information does not reflect the position (own or third-party) of participants in a specific exchange. None of the information contained in this document constitutes an offer to buy or sell a financial instrument or make any investment. DIF Broker does not take into account the personal investment objectives or financial situation of clients and makes no representations or assumes any responsibility for the accuracy or completeness of information, or for any losses arising from investments based on a publication, or other information provided by employees of DIF Broker , third party or otherwise. All facts, assessments, analyzes, opinions and other information contained in this publication are for information and / or marketing purposes only. As such, they should not be used to shape the investment portfolio or as a basis for investment recommendations. Due to the strictly informational nature of this blog, investment decisions based on its content are solely the responsibility of the investor. Trading in DIF Broker's products and services may result in both losses and profits. In particular, the trading of leveraged products, such as, but not limited to, currency pairs, derivatives and commodities, those considered complex products and difficult to understand, can be very speculative, and losses and profits can be subject to rapid fluctuations. Before investing or trading in specific products, you should consider your financial situation and / or talk to your financial advisor to understand the risks you may incur and to assess whether it is appropriate for your situation. DIF Broker reserves the right, at its sole discretion, to withdraw or change any Publication or Information at any time without notice. All publications may reflect the personal opinions of the author; thus they may not reflect the opinion of DIF Broker.
Some of the products mentioned in a publication or newsletter, could refer to complex products that can be difficult to understand, please be aware of our risk warning and product descriptions in http://www.difbroker.com/pl, and also we recommend to access to the KID document and additional information the product and their risk, in addition to the information given by the author in the publication: KIDS.
CFDs are complex instruments and come with a high risk of losing money rapidly due to leverage.
79% of retail investor accounts lose money when trading CFDs with this provider.
You should consider whether you understand how CFDs work and whether you can afford to take the high risk of losing your money.