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.

Disclaimer:  Information provided here to retail and professional clients does not contain and should not be construed as containing investment advice or an investment recommendation or an offer or solicitation to engage in any transaction or strategy in financial instruments. Past performance is not a guarantee or prediction of future performance.

Pesimistická roční prognóza společnosti UnitedHealth a nižší než očekávaný čtvrtletní zisk zasáhly akcie

Společnost UnitedHealth v úterý obnovila svou prognózu celoročního zisku, kterou před několika měsíci pozastavila, a představila nový výhled, který zdůraznil výzvy, kterým americká pojišťovna čelí, včetně rostoucích nákladů na zdravotní péči.

Společnost předpokládá celoroční zisk na akcii ve výši nejméně 16 USD, což je výrazně méně než snížené odhady analytiků, zatímco zisk za druhé čtvrtletí nedosáhl očekávání.

Jeho akcie se před otevřením trhu obchodovaly s poklesem o 5 %, což by mělo přispět k letošnímu propadu o více než 40 %.

UnitedHealth (NYSE:UNH) a další pojišťovny byly letos tvrdě zasaženy zvýšenými náklady na zdravotní péči. Neuspokojivé výsledky společnosti vedly v květnu k náhlému odchodu generálního ředitele Andrewa Wittyho. Nový generální ředitel Stephen Hemsley je pod tlakem, aby obnovil důvěru investorů uprostřed finančních problémů společnosti a poškození její reputace.

Společnost v prvním čtvrtletí zaznamenala první propad zisku za více než deset let a čelí trestnímu a civilnímu vyšetřování amerického ministerstva spravedlnosti kvůli svým účtovním praktikám v programu Medicare Advantage.

Analytička Morningstar Julie Utterback uvedla, že vzhledem k tomu, že nový výhled je zhruba poloviční oproti původnímu odhadu UnitedHealth pro rok 2025, budou investoři očekávat, že vedení společnosti uklidní obavy ohledně dlouhodobé ziskovosti podniku.

Společnost UnitedHealth v prosinci původně odhadovala upravený zisk pro rok 2025 na 29,50 až 30,00 USD na akcii. V roce 2024 činil upravený zisk 27,66 USD na akcii.

Společnost uvedla, že její nový odhad odráží očekávání vyšších realizovaných a předpokládaných trendů v oblasti péče. Společnost v květnu pozastavila svůj odhad pro rok 2025, což je historicky první případ v historii pojišťovny, a to s odkazem na vyšší než očekávané výdaje na zdravotní péči, které otřásly i jejími konkurenty.

EUR/USD: Trading Tips for Beginner Traders – September 25 (U.S. Session)
10:36 2026-09-25 UTC+00

Review of Trades and Trading Advice for the European Currency

The test of the 1.1388 price level occurred when the MACD indicator had already moved significantly above the zero line, which limited the pair's upward potential. For this reason, I did not buy the euro, and I made the right decision, as no significant rise followed.

The data showed that Germany's GfK consumer climate index for October was much weaker than expected, falling sharply to -30.6 points versus the forecast of -27.1. The overall picture was supplemented by a batch of data for the eurozone as a whole. Private-sector lending growth in August fell short of the consensus forecast, coming in at 3.1% versus the expected 3.2%, while the M3 money supply increased exactly as much as the market had expected, by 3.5%. Nevertheless, this data had virtually no effect on the euro, which is becoming a consistent pattern this week.

The key risks for EUR/USD in the second half of the day remain the U.S. durable goods orders data and the University of Michigan data, including the Consumer Sentiment Index and inflation expectations. Speeches by John Williams and Beth Hammack will add to the picture, but they are unlikely to bring any surprises, as both have already commented in recent days, while the overall tone of Fed officials this week has been surprisingly consistent. For the euro, this sequence of statements means that the market has already largely priced in the hawkish shift in the Fed's rhetoric, and today the determining factor is likely to be the economic data rather than new comments from Fed officials. Weak orders data or a disappointing University of Michigan report could give the pair temporary relief, while strong figures, in my view, would only reinforce the already significant divergence with the much more cautious ECB, keeping EUR/USD under pressure.

As for the intraday strategy, I will focus more on the implementation of Scenarios No. 1 and No. 2.

Buy Signal

Scenario No. 1: Today, the euro can be bought when the price reaches the 1.1397 level (the green line on the chart), with the target of rising to the 1.1420 level. At 1.1420, I plan to exit the market and also sell the euro in the opposite direction, targeting a move of 30–35 points from the entry point. Any rise in the euro today can only be expected as part of a correction. Important! Before buying, make sure that the MACD indicator is above the zero line and is just beginning to rise from it.

Scenario No. 2: I also plan to buy the euro today if the price tests 1.1382 twice consecutively while the MACD indicator is in the oversold area. This will limit the pair's downward potential and lead to a reversal to the upside. A rise toward the opposite levels of 1.1397 and 1.1420 can be expected.

Sell Signal

Scenario No. 1: I plan to sell the euro after the price reaches the 1.1382 level (the red line on the chart). The target will be 1.1363, where I plan to exit the market and immediately buy in the opposite direction, targeting a 20–25-point move in the opposite direction from the level. Downward pressure on the pair could return at any time. Important! Before selling, make sure that the MACD indicator is below the zero line and is just beginning to decline from it.

Scenario No. 2: I also plan to sell the euro today if the price tests 1.1397 twice consecutively while the MACD indicator is in the overbought area. This will limit the pair's upward potential and lead to a reversal to the downside. A decline toward the opposite levels of 1.1382 and 1.1363 can be expected.

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What Is Shown on the Chart:

  • Thin green line – the entry price at which the trading instrument can be bought;
  • Thick green line – the expected price level where Take Profit orders can be placed or profits can be taken manually, as further growth above this level is unlikely;
  • Thin red line – the entry price at which the trading instrument can be sold;
  • Thick red line – the expected price level where Take Profit orders can be placed or profits can be taken manually, as further decline below this level is unlikely;
  • MACD indicator. When entering the market, it is important to take the overbought and oversold zones into account.

Important. Beginner Forex traders need to make market-entry decisions very carefully. Before the release of important fundamental reports, it is best to stay out of the market to avoid exposure to sharp exchange-rate fluctuations. If you decide to trade during news releases, always place stop orders to minimize losses. Without stop orders, you can lose your entire deposit very quickly, especially if you do not use money management and trade large volumes.

And remember that successful trading requires a clear trading plan, such as the one presented above. Making trading decisions spontaneously based on the current market situation is an inherently losing strategy for an intraday trader.

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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.