Analytical Reviews

Forexmart's analytical reviews provide up-to-date technical information about the financial market. These reports range from stock trends, to financial forecasts, to global economy reports, and political news that impact the market.

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Akcie společnosti ePlus posílily po oznámení prodeje své financovací divize

Akcie společnosti ePlus inc. (NASDAQ:PLUS) stouply o 2,1 % poté, co společnost oznámila, že podepsala definitivní dohodu o prodeji svého amerického financovacího podniku společnosti Marlin Leasing Corporation, která působí pod názvem PEAC Solutions.

Podle společnosti poskytne tento odprodej společnosti ePlus dodatečný kapitál, který bude moci využít k zaměření se na růstové příležitosti v oblasti technologií a služeb. PEAC Solutions je portfoliová společnost Asset Value Funds, kterou sponzoruje a spravuje globální investiční společnost HPS Investment Partners, LLC.

Mark Marron, generální ředitel a prezident společnosti ePlus, uvedl, že prodej posílí schopnost společnosti investovat do rychle rostoucích oblastí, jako je umělá inteligence, kybernetická bezpečnost, modernizace datových center a vysoce výkonné sítě. Společnost bude i nadále poskytovat finanční služby svým technologickým zákazníkům prostřednictvím PEAC.

„Oddělení této části podnikání považujeme z dlouhodobého hlediska za pozitivní krok pro ePlus, protože zjednodušuje obchodní model a umožňuje větší zaměření na technologie a služby vyšší třídy,“ uvedla Maggie Nolan, analytička společnosti William Blair, která potvrdila hodnocení „Outperform“ pro akcie společnosti.

Transakce dává společnosti ePlus flexibilitu k urychlení plánů na rozšíření své působnosti a zákaznické základny a zároveň k hledání příležitostí k organickému růstu i růstu prostřednictvím akvizic. Společnost byla při transakci zastoupena společnostmi Macquarie Capital (USA) Inc. a K&L Gates LLP.

Level and Target Adjustments for the U.S. Session – April 28th
06:40 2026-04-28 UTC--4
The British pound and the euro were traded today using the Momentum strategy. The Australian dollar was traded using the Mean Reversion strategy.

The complete absence of fundamental data from the Eurozone and the United Kingdom maintained pressure on the euro and the British pound, which had been observed since yesterday. The lack of fresh data ahead of central bank meetings forces buyers of risk assets to stay on the sidelines, awaiting a clearer picture. This creates uncertainty and reinforces the negative sentiment already prevailing in the market.

Further developments will depend on US data on consumer confidence, the housing price index, and the weekly employment change from ADP. These macroeconomic indicators play an important role in shaping market expectations and may have a significant impact on the future direction of the US dollar.

The consumer confidence indicator reflects the sentiment of US households regarding current and future economic conditions. If the data comes in above forecasts, it may signal strong consumer demand and, as a result, support the US dollar. The housing price index, in turn, is an important indicator of the real estate market, which is closely linked to overall economic conditions. Rising housing prices may indicate a healthy market and increased consumer spending, which is also positive for the US dollar.

In the case of strong data, I will rely on the Momentum strategy. If there is no market reaction to the data, I will continue to use the Mean Reversion strategy.

Momentum strategy (breakout) for the second half of the day:

For EUR/USD

  • Buying on a breakout above 1.1705 may lead to euro growth toward 1.1727 and 1.1753;
  • Selling on a breakout below 1.1685 may lead to a decline toward 1.1670 and 1.1645;

For GBP/USD

  • Buying on a breakout above 1.3505 may lead to pound growth toward 1.3530 and 1.3555;
  • Selling on a breakout below 1.3485 may lead to a decline toward 1.3465 and 1.3440;

For USD/JPY

  • Buying on a breakout above 159.60 may lead to dollar growth toward 159.80 and 159.99;
  • Selling on a breakout below 159.40 may lead to dollar selling toward 159.15 and 158.87;

Mean Reversion strategy (reversal) for the second half of the day:

analytics69f0863078701.jpg

For EUR/USD

  • Selling will be considered after a false breakout above 1.1703 followed by a return below this level;
  • Buying will be considered after a false breakout below 1.1675 followed by a return to this level;

analytics69f08636ed631.jpg

For GBP/USD

  • Selling will be considered after a false breakout above 1.3513 followed by a return below this level;
  • Buying will be considered after a false breakout below 1.3475 followed by a return to this level;

analytics69f0863e30287.jpg

For AUD/USD

  • Selling will be considered after a false breakout above 0.7185 followed by a return below this level;
  • Buying will be considered after a false breakout below 0.7163 followed by a return to this level;

analytics69f08646515c7.jpg

For USD/CAD

  • Selling will be considered after a false breakout above 1.3667 followed by a return below this level;
  • Buying will be considered after a false breakout below 1.3635 followed by a return to this level;
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Foreign exchange is highly speculative and complex in nature, and may not be suitable for all investors. Forex trading may result in a substantial gain or loss. Therefore, it is not advisable to invest money you cannot afford to lose. Before using the services offered by ForexMart, please acknowledge the risks associated with forex trading. Seek independent financial advice if necessary. Please note that neither past performance nor forecasts are reliable indicators of future results.