$NVIDIA Corp(NVDA)$ Dear fellow Bulls π of my dear NVDA...πΊπBβ£Uβ£Lβ£Lβ£Iβ£Sβ£Hβ£ππΊ
Whose π watching that γ°οΈ channel line near $126-127 for a decisionβοΈ
Gap left to fill at $119.50 - $120.60
Whose up $10 from $115 if you added buy last week?
All those Bears waiting π»π for under π»ππ»$100 again ππ€£πππ
Update on $NVDA
We bought the $114.60 to $115 dip and are up nicely.
Now we are watching this trend line and gold tops at $126-127.50.
This could be a right shoulder of Head & Sholders, if we get that bearish wave anticipated on an earlier chart, or if we move and hold over the line then we go with bullish momentum targets of $128.60 and $133.70.
I think this is a late Phase B Wyckoff on the 4hr chart ππ. Please see the attacged image.
The A target was ST in phase B.
@Tiger_comments @TigerPicks @Daily_Discussion @TigerStars @TigerPM @TigerWire @TigerGPT
Modify on 2024-10-07 17:47
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NVIDIA Corp (NVDA) - Stock Overview
Stock Name: NVIDIA Corp
Current Stock Price: $124.92 (as of 2024-10-06)
Average Cost: $113.26 (as of 2024-10-04)
Support Price: $107.49 (as of 2024-10-04)
Resistance Price: $127.29 (as of 2024-10-04)
Capital Flow Data (1 Day):
Total Inflow: $12.315 billion
Total Outflow: $11.604 billion
Big Inflow: $2.28 billion
Median Inflow: $1.70 billion
Small Inflow: $8.33 billion
Big Outflow: $1.97 billion
Median Outflow: $1.57 billion
Small Outflow: $8.07 billion
Capital Flow Data (5 Day):
09-27: -$201.749 million
09-30: $215.220 million
10-01: -$399.389 million
10-02: -$140.086 million
10-03: -$300.625 million
Analyst Recommendation: 21 recommend, 37 buy, 6 hold
Analyst Target Price:
Mean Target: $148.13
Low Target: $75.40
High Target: $202.79
Profiteer Ratio: 0.9132 (as of 2024-10-04)
Earnings and Forecast:
Earnings Result (2025Q2):
EPS: $0.68
ROE: 123.76%
Gross Profit Margin: 75.15%
Quick Ratio: 3.50
Current Ratio: 4.27
Total Asset Turnover: 1.48
Inventory Turnover: 3.77
Return on Investment: 72.51%
Operating Cash Flow to Current Liabilities Ratio: 4.15
Fixed Asset Turnover: 20.06
Accounts Receivable Turnover Ratio: 9.07
Net Assets per Share: $2.37
Total Liabilities to Total Assets Ratio: 14.69%
Return on Total Assets: 24.63%
Net Profit Margin: 55.26%
Earnings Forecast:
2025FY:
Forecast EPS: $2.84
Forecast Gross Income: $125.50 billion
Forecast EBIT: $83.00 billion
2026FY:
Forecast EPS: $4.02
Forecast Gross Income: $178.25 billion
Forecast EBIT: $117.66 billion
2027FY:
Forecast EPS: $4.71
Forecast Gross Income: $211.35 billion
Forecast EBIT: $137.23 billion
Please note that the provided information is for reference purposes only and should not be considered as investment advice. The stock market carries inherent risks, and it is essential to conduct independent research and analysis before making any investment decisions.
If you have any more questions, feel free to ask.
Excellent fib levels to have on hand thanks BC! π»
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