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Short-Term Analysis for Oil, Gold, and EURUSD for 20.02.2025

I welcome my fellow traders! I have made a price forecast for the USCrude, XAUUSD, and EURUSD using a combination of margin zones methodology and technical analysis. Based on the market analysis, I suggest entry signals for intraday traders.

Short-term forecast for oil, gold, and euro-dollar today. Gold trades in a short-term uptrend.



Major Takeaways


USCrude: Oil is declining within a short-term downtrend.
XAUUSD: Gold has reached a new all-time high and hit all buy targets.
EURUSD: The euro attempts to continue growing from support (А) 1.0410 - 1.0399.


Oil Price Forecast for Today: USCrude Analysis

Yesterday, oil headed downward... Read full author’s opinion and review in blog of #LiteFinance https://www.litefinance.org/blog/analysts-opinions/short-term-analysis-for-oil-gold-and-eurusd-for-20022025/?utm_source=telegram&utm_medium=social&utm_campaign=post
Markets Excessively Focused on White House Policies. Forecast as of 20.02.2025

The fundamental market principle "Don't Fight the Fed" has been disregarded and abandoned. Market participants do not pay close attention to the FOMC meeting minutes. Instead, they seek guidance from the White House. What will be the outcome for the EURUSD pair? Let's discuss this topic and make a trading plan.



Major Takeaways


The Fed will not rush to resume the cycle.
The market is overly optimistic about interest rates.
The White House affects the US dollar rate more than the Fed.
Long trades on the EURUSD pair can be opened once the price breaches the resistance level of 1.046.... Read full author’s opinion and review in blog of #LiteFinance https://www.litefinance.org/blog/analysts-opinions/markets-excessively-focused-on-white-house-policies-forecast-as-of-20022025/?utm_source=telegram&utm_medium=social&utm_campaign=post
Hikkake Pattern: Learn How To Trade It

A Hikkake pattern is a candlestick pattern used by traders to analyze the market and pinpoint optimal entry points. It helps traders identify false breakouts and predict further price movement. This pattern can be integrated into various trading strategies, making it suitable for both novices and experienced traders.

The Bullish and Bearish Hikkake patterns enable traders to forecast price trends by analyzing Japanese candlestick behavior. By mastering the Hikkake strategy, you can greatly enhance the accuracy of your trades.



Major Takeaways


A Hikkake pattern detects false breakouts on a price chart.
The pattern is suitable for analyzing the price trend and... Read full author’s opinion and review in blog of #LiteFinance https://www.litefinance.org/blog/for-beginners/how-to-read-candlestick-chart/hikkake-pattern/?utm_source=telegram&utm_medium=social&utm_campaign=post
Short-Term Analysis for BTCUSD, XRPUSD, and ETHUSD for 20.02.2025

Dear readers,

I've prepared a short-term forecast for Bitcoin, Ripple, and Ethereum based on the Elliott wave analysis.



Major Takeaways


BTCUSD: The price continues to decline in the bearish impulse wave (C). Consider short trades from the current level, setting a take-profit order at 91,001.74.
XRPUSD: The asset is expected to grow to 2.940 in a bullish impulse. Long trades can be considered with a take-profit order at 2.940.
ETHUSD: The pair may decrease to the previous low. Thus, sell ETH at the current level, securing profits at the low of 2,105.00.


Elliott Wave Analysis for Bitcoin



A new bullish wave is developing as... Read full author’s opinion and review in blog of #LiteFinance https://www.litefinance.org/blog/analysts-opinions/short-term-analysis-for-btcusd-xrpusd-and-ethusd-for-20022025/?utm_source=telegram&utm_medium=social&utm_campaign=post
Nvidia (NVDA) Stock Forecast & Price Predictions for 2025, 2026, 2027–2030, and Beyond

Nvidia (#NVDA) is one of the leading technology companies specializing in the development of graphics processing units (GPUs), artificial intelligence solutions, and cloud computing. The company's stock has grown rapidly in recent years, driven by the fast-paced development of AI technologies and the increasing demand for high computing power.

In 2025, investors continue closely monitoring NVDA's performance, analyzing fundamental and technical factors. This article will explore expert predictions for Nvidia's stock price in the coming years and examine the key factors influencing its value. We will conduct technical and fundamental analysis to determine whether this asset is promising for long-term... Read full author’s opinion and review in blog of #LiteFinance https://www.litefinance.org/blog/analysts-opinions/nvda-stock-price-prediction/?utm_source=telegram&utm_medium=social&utm_campaign=post
Pound Responds to US Trade Policies. Forecast as of 20.02.2025

The world that Donald Trump is shaping is markedly different from its earlier iteration, compelling Forex currencies to adapt to new drivers while disregarding the previous ones, regardless of their strength. Let's discuss this topic and make a trading plan for the GBPUSD pair.



Major Takeaways


UK inflation has accelerated to 3%.
The futures market does not expect two BoE rate cuts.
The pound reacts to tariff threats.
Long trades on the GBPUSD pair if the price breaks through the resistance level of 1.2635.


Weekly Fundamental Forecast for Pound Sterling

Recent economic data from the United Kingdom indicates a pickup... Read full author’s opinion and review in blog of #LiteFinance https://www.litefinance.org/blog/analysts-opinions/pound-responds-to-us-trade-policies-forecast-as-of-20022025/?utm_source=telegram&utm_medium=social&utm_campaign=post
Boeing Forecast & BA Price Predictions for 2025, 2026, 2027–2030 and Beyond

Boeing stock represents a compelling investment prospect for global investors despite the challenges posed by the 737 MAX crisis, geopolitical instability, and the evolving landscape of global air travel. Against this backdrop, a question arises: what lies ahead for Boeing in the coming years?

This article provides an in-depth analysis of the company's stock, considering key macroeconomic factors, the competitive landscape, and technological breakthroughs. It also focuses on BA's rate forecasts and assesses risks and trading opportunities.



Major Takeaways


The current price of Boeing is $186.14 as of {var_date}.
The Boeing price reached its all-time high of $440.62 on 2019-03-01.... Read full author’s opinion and review in blog of #LiteFinance https://www.litefinance.org/blog/analysts-opinions/boeing-stock-forecast-and-price-prediction/?utm_source=telegram&utm_medium=social&utm_campaign=post
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Mar-a-Lago Accord to Weaken US Dollar. Forecast as of 21.02.2025

In 1985, the Plaza Accord was signed, an agreement to devalue the US dollar to keep it from continuing to appreciate. Rumors of a similar financial conspiracy at Mar-a-Lago allow the EURUSD pair to soar. Let's discuss this topic and make a trading plan.



Major Takeaways


Donald Trump may pursue a debt restructuring.
Falling Treasury yields will weaken the US dollar.
Rumors of an agreement and labor market weakness have pushed the euro above 1.05.
A break of resistance at 1.0535 will allow traders to build up long positions on the EURUSD pair.


Weekly US Dollar Fundamental Forecast

It is evident... Read full author’s opinion and review in blog of #LiteFinance https://www.litefinance.org/blog/analysts-opinions/mar-a-lago-accord-to-weaken-us-dollar-forecast-as-of-21022025/?utm_source=telegram&utm_medium=social&utm_campaign=post
Short-Term Analysis for Oil, Gold, and EURUSD for 21.02.2025

I welcome my fellow traders! I have made a price forecast for the USCrude, XAUUSD, and EURUSD using a combination of margin zones methodology and technical analysis. Based on the market analysis, I suggest entry signals for intraday traders.

The euro price reached the first buy target yesterday.



Major Takeaways


USCrude: Oil is declining within a short-term downtrend.
XAUUSD: Gold sellers held the resistance zone 2940 - 2933.
EURUSD: The euro reached the Target Zone 1.0514 - 1.0486.


Oil Price Forecast for Today: USCrude Analysis

Oil prices tested the resistance (А) 73.06 - 72.79 yesterday, and the short-term trend remained... Read full author’s opinion and review in blog of #LiteFinance https://www.litefinance.org/blog/analysts-opinions/short-term-analysis-for-oil-gold-and-eurusd-for-21022025/?utm_source=telegram&utm_medium=social&utm_campaign=post
Short-Term Analysis for BTCUSD, XRPUSD, and ETHUSD for 21.02.2025

Dear readers,

I've prepared a short-term forecast for Bitcoin, Ripple, and Ethereum based on the Elliott wave analysis.



Major Takeaways


BTCUSD: The price continues to decline in the bearish impulse wave (C). Consider short trades from the current level, setting a take-profit order at 91,001.74.
XRPUSD: The asset is expected to grow to 2.940 in a bullish impulse. Long trades can be considered with a take-profit order at 2.940.
ETHUSD: The pair may decrease to the previous low. Thus, sell ETH at the current level, securing profits at the low of 2,105.00.


Elliott Wave Analysis for Bitcoin



A new bullish wave is developing as... Read full author’s opinion and review in blog of #LiteFinance https://www.litefinance.org/blog/analysts-opinions/short-term-analysis-for-btcusd-xrpusd-and-ethusd-for-21022025/?utm_source=telegram&utm_medium=social&utm_campaign=post
USD/СAD: Elliott Wave Analysis and Forecast for 21.02.25 – 28.02.25

Major Takeaways


Main scenario: Consider short positions from corrections below the level of 1.4481 with a target of 1.4117 – 1.3950. A sell signal: the level of 1.4481 is broken to the downside. Stop Loss: above 1.4550, Take Profit: 1.4117 – 1.3950.
Alternative scenario: Breakout and consolidation above the level of 1.4481 will allow the pair to continue rising to the levels of 1.4800 – 1.5200. A buy signal: the level of 1.4481 is broken to the upside. Stop Loss: below 1.4410, Take Profit: 1.4800 – 1.5200.


Main scenario

Consider short positions from corrections below the level of 1.4481 with... Read full author’s opinion and review in blog of #LiteFinance https://www.litefinance.org/blog/analysts-opinions/usdsad-elliott-wave-analysis-and-forecast-for-210225-280225/?utm_source=telegram&utm_medium=social&utm_campaign=post
Google Forecast. Google Share Price Prediction: 2025, 2026, 2027–2030 and Beyond

Google (#GOOG) stocks remain one of the most steady and promising assets in the technology sector. The company holds a leading position in digital advertising, cloud technology, and artificial intelligence, making it attractive to investors. However, the stock price depends on a variety of factors, including competition, macroeconomic conditions, and regulatory risks.

This article explores the price history and the key factors affecting the share price and reviews projections for the coming years.



Major Takeaways


The Google stock price is trading at $186.60 as of {var_date}.
The Google price reached its all-time high of $208.52 on 2025-02-04. The stock's all-time... Read full author’s opinion and review in blog of #LiteFinance https://www.litefinance.org/blog/analysts-opinions/google-stock-forecast-and-googl-stock-predictions/?utm_source=telegram&utm_medium=social&utm_campaign=post
USD/CHF: Elliott Wave Analysis and Forecast for 21.02.25 – 28.02.25

Major Takeaways


Main scenario: Consider short positions from corrections below the level of 0.9156 with a target of 0.8724 – 0.8386. A sell signal: the level of 0.9156 is broken to the downside. Stop Loss: above 0.9220, Take Profit: 0.8724 – 0.8386.
Alternative scenario: Breakout and consolidation above the level of 0.9156 will allow the pair to continue rising to the levels of 0.9340 – 0.9530. A buy signal: the level of 0.9156 is broken to the upside. Stop Loss: below 0.9080, Take Profit: 0.9340 – 0.9530.


Main scenario

Consider short positions from corrections below the level of 0.9156 with... Read full author’s opinion and review in blog of #LiteFinance https://www.litefinance.org/blog/analysts-opinions/usdchf-elliott-wave-analysis-and-forecast-for-210225-280225/?utm_source=telegram&utm_medium=social&utm_campaign=post
S&P 500 Is Losing Momentum. Forecast as of 21.02.2025

In 2025, the broad stock index rose thanks to less aggressive tariffs from Donald Trump than expected, strong corporate earnings, and a solid economy. However, these drivers seem no longer valid for the S&P 500. Let’s discuss it and make a trading plan. 



Major Takeaways


Tariffs and DeepSeek shock have undermined American exceptionalism.
The S&P 500 is lagging European indices due to hopes for peace in Ukraine.
High interest rates, slowing U.S. GDP, and tariffs increase the risk of a pullback.
A drop in the S&P 500 below 6,082 will be a signal to sell.


Weekly Fundamental Forecast for S&P 500... Read full author’s opinion and review in blog of #LiteFinance https://www.litefinance.org/blog/analysts-opinions/sp-500-is-losing-momentum-forecast-as-of-21022025/?utm_source=telegram&utm_medium=social&utm_campaign=post
EUR/USD: Elliott Wave Analysis and Forecast for 21.02.25 – 28.02.25

Major Takeaways


Main scenario: Consider long positions from corrections above 1.0280 with a target of 1.0635 – 1.0940. A buy signal: the level of 1.0280 is broken to the upside. Stop Loss: below 1.0250, Take Profit: 1.0635 – 1.0940.
Alternative scenario: breakout and consolidation below 1.0280 will allow the pair to continue declining to the levels of 1.0100 – 0.9950. A sell signal: the level of 1.0280 is broken to the downside. Stop Loss: above 1.0330, Take Profit: 1.0100 – 0.9950.


Main scenario

Consider long positions from corrections above the level of 1.0280 with a target of 1.0635 – 1.0940.... Read full author’s opinion and review in blog of #LiteFinance https://www.litefinance.org/blog/analysts-opinions/eurusd-elliott-wave-analysis-and-forecast-for-210225-280225/?utm_source=telegram&utm_medium=social&utm_campaign=post
GBP/USD: Elliott Wave Analysis and Forecast for 21.02.25 – 28.02.25

Major Takeaways


Main scenario: Consider long positions from corrections above 1.2330 with a target of 1.2775 – 1.2930. A buy signal: the level of 1.2330 is broken to the upside. Stop Loss: below 1.2280, Take Profit: 1.2775 – 1.2930.
Alternative scenario: Breakout and consolidation below the level of 1.2330 will allow the pair to continue declining to the levels of 1.1900 – 1.1521. A sell signal: the level of 1.2330 is broken to the downside. Stop Loss: above 1.2380, Take Profit: 1.1900 – 1.1521.


Main scenario

Consider long positions from corrections above the level of 1.2330 with a target of... Read full author’s opinion and review in blog of #LiteFinance https://www.litefinance.org/blog/analysts-opinions/gbpusd-elliott-wave-analysis-and-forecast-for-210225-280225/?utm_source=telegram&utm_medium=social&utm_campaign=post
USD/JPY: Elliott Wave Analysis and Forecast for 21.02.25 – 28.02.25

Major Takeaways


Main scenario: Consider short positions from corrections below the level of 152.31 with a target of 147.53 – 138.65. A sell signal: the level of 152.31 is broken to the downside. Stop Loss: above 153.00, Take Profit: 147.53 – 138.65.
Alternative scenario: Breakout and consolidation above the level of 152.31 will allow the pair to continue rising to the levels of 155.27 – 158.86. A buy signal: the level of 152.31 is broken to the upside. Stop Loss: below 151.50, Take Profit: 155.27 – 158.86.


Main scenario

Consider short positions from corrections below the level of 152.31 with... Read full author’s opinion and review in blog of #LiteFinance https://www.litefinance.org/blog/analysts-opinions/usdjpy-elliott-wave-analysis-and-forecast-for-210225-280225/?utm_source=telegram&utm_medium=social&utm_campaign=post
WTI Crude Oil: Elliott Wave Analysis and Forecast for 21.02.25 – 28.02.25

Major Takeaways


Main scenario: Consider short positions from corrections below the level of 76.75 with a target of 61.50 – 53.00. A sell signal: the level of 76.75 is broken to the downside. Stop Loss: above 77.50, Take Profit: 61.50 – 53.00.
Alternative scenario: Breakout and consolidation above the level of 76.75 will allow the asset to continue rising to the levels of 80.70 – 87.40. A buy signal: the level of 76.75 is broken to the upside. Stop Loss: below 75.80, Take Profit: 80.70 – 87.40.


Main scenario

Consider short positions from corrections below the level of 76.75 with... Read full author’s opinion and review in blog of #LiteFinance https://www.litefinance.org/blog/analysts-opinions/wti-crude-oil-elliott-wave-analysis-and-forecast-for-210225-280225/?utm_source=telegram&utm_medium=social&utm_campaign=post
XAU/USD: Elliott Wave Analysis and Forecast for 21.02.25 – 28.02.25

Major Takeaways


Main scenario: Consider long positions from corrections above the level of 2725.20 with a target of 3100.00 – 3300.00. A buy signal: the level of 2725.20 is broken to the upside. Stop Loss: below 2600.00, Take Profit: 3100.00 – 3300.00.
Alternative scenario: Breakout and consolidation below the level of 2725.20 will allow the pair to continue declining to the levels of 2537.18 – 2370.00. A sell signal: the level of 2725.20 is broken to the downside. Stop Loss: above 2800.00, Take Profit: 2537.18 – 2370.00


Main scenario

Consider long positions from corrections above the level of 2725.20 with... Read full author’s opinion and review in blog of #LiteFinance https://www.litefinance.org/blog/analysts-opinions/gold-price-prediction-forecast/xauusd-elliott-wave-analysis-and-forecast-for-210225-280225/?utm_source=telegram&utm_medium=social&utm_campaign=post
2025/07/07 03:44:59
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