Revisiones analíticas

Las revisiones analíticas de Forexmart proporcionan información técnica actualizada sobre el mercado financiero, que van desde tendencias bursátiles hasta proyecciones financieras, informes de economía mundial y noticias políticas que afectan al mercadoLeer más

Disclaimer:  ForexMart no ofrece asesoría de inversión y el análisis proporcionado no debe interpretarse como una promesa de resultados futuros.

Akcie Inditexu klesly o více než 4 % po slabších výsledcích za 1. čtvrtletí

Akcie společnosti Inditex klesly ve středu o více než 4 % poté, co tento módní řetězec oznámil výsledky za první čtvrtletí, které zaostaly za očekáváním na úrovni tržeb i provozního zisku. Současný vývoj prodejů je rovněž slabší, než se čekalo.

Tržby dosáhly 8,3 miliardy eur, což znamená meziroční růst o 4,2 % při konstantním měnovém kurzu – pod očekáváním 8,4 miliardy a růstem 5,6 %.

Srovnatelné tržby vzrostly o 2 %, ale trh počítal s růstem 3,5 %. Negativní měnový vliv činil 2,9 %.

Provozní zisk dosáhl 1,64 miliardy eur, o něco méně než očekávaných 1,66 miliardy. Zisk na akcii byl 0,42 eura, což odpovídá očekáváním, a to díky vyšším příjmům z přidružených podniků a nižší daňové sazbě. Hrubá marže zůstala meziročně beze změny na úrovni 60,6 %.

Tržby od 1. května do 9. června vzrostly o 6 % při konstantním měnovém kurzu, zatímco konsenzus počítal se 7,2 %, a to na pozadí silné srovnávací základny z předchozího roku (12%).

Zásoby se meziročně zvýšily o 6 % na 3,79 miliardy eur. Čistá hotovost dosáhla 10,8 miliardy eur, mírně pod očekáváním RBC Capital Markets.

Společnost potvrdila svůj celoroční výhled hrubé marže v rozmezí +/- 50 bazických bodů a kapitálové výdaje ve výši 1,8 miliardy eur. Vliv měnových kurzů byl přehodnocen z -1 % na -3 %.

Podle analytiků z Jefferies byl růst tržeb po očištění o přestupný rok i tak solidní, navzdory výpadku prodejního dne v únoru a počasí.

EUR/USD: Simple Trading Tips for Beginner Traders on March 12. Analysis of Yesterday's Forex Trades
02:34 2026-03-12 UTC--4

Analysis of Trades and Trading Tips for the Euro

The price test at 1.1589 occurred when the MACD indicator was just beginning to move down from the zero mark, confirming the correct entry point for selling the euro. As a result, the pair decreased by 25 pips.

The U.S. dollar continued to strengthen against the euro, as both the overall and core Consumer Price Index figures matched analysts' expectations. This anticipated outcome, while not surprising, reinforced investors' confidence in the U.S. economy's resilience. The absence of price spikes outside expectations gives the Federal Reserve the opportunity to maintain its current monetary policy, which, in turn, enhances the dollar's appeal as an investment asset. However, several questions remain about the March indicators amid the ongoing U.S.-Iran war, providing ample reasons to buy the dollar for now.

Today's economic calendar indeed shows relative calm, with investors' attention focused on Italy's unemployment data. This report, while an important indicator of the Italian economy's condition, is expected to have only a limited impact on the dynamics of the euro. Current forecasts do not predict sharp changes that could significantly support the euro in the short term.

Regarding the intraday strategy, I will rely more on implementing scenarios #1 and #2.

Buy Scenarios

Scenario #1: I plan to buy the euro today when the price reaches an entry point around 1.1551 (green line on the chart), targeting a move to 1.1575. At the point 1.1575, I plan to exit the market and sell immediately on the rebound, expecting a move of 30-35 pips from the entry point. One can expect the euro to rise only after good data from Italy today. Important! Before buying, ensure the MACD indicator is above the zero mark and just starting to rise from it.

Scenario #2: I also intend to buy the euro today if the price tests 1.1531 twice in a row while the MACD indicator is in the oversold area. This will limit the pair's downside potential and lead to an upward market reversal. One can expect growth to the opposite levels of 1.1551 and 1.1575.

Sell Scenarios

Scenario #1: I plan to sell the euro once it reaches 1.1531 (red line on the chart). The target will be the level of 1.1501, where I plan to exit the market and buy immediately in the opposite direction (expecting a movement of 20-25 pips in the opposite direction from the level). Pressure on the pair today will only return with weak data. Important! Before selling, ensure the MACD indicator is below the zero mark and just starting to decline from it.

Scenario #2: I also plan to sell the euro today if the price tests 1.1551 twice in a row, when the MACD indicator is in the overbought area. This will limit the pair's upside potential and lead to a market reversal downward. One can expect a decline to the opposite levels of 1.1531 and 1.1501.

analytics69b25dddaa6bf.jpg

What's on the Chart:

  • The thin green line represents the entry price at which you can buy the trading instrument;
  • The thick green line is the assumed price where you can set Take Profit or manually take profit, as further growth above this level is unlikely;
  • The thin red line indicates the entry price at which you can sell the trading instrument;
  • The thick red line is the assumed price where you can set Take Profit or manually take profit, as further decline below this level is unlikely;
  • The MACD indicator. When entering the market, it's important to refer to the overbought and oversold zones.

Important: Beginner traders in the forex market need to make entry decisions very carefully. It is best to stay out of the market before the release of important fundamental reports to avoid sharp fluctuations in prices. If you choose to trade during the release of news, always set Stop Loss orders to minimize losses. Without placing Stop Loss orders, you can quickly lose your entire deposit, especially if you do not use money management and trade large volumes.

And remember, successful trading requires a clear trading plan, like the one presented above. Making spontaneous trading decisions based on the current market situation is inherently a losing strategy for intraday traders.

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El mercado de divisas es altamente especulativo y complejo por naturaleza, y puede no ser adecuado para todos los inversores. Las operaciones en Forex pueden resultar en ganancias o pérdidas sustanciales. Por lo tanto, no es aconsejable invertir dinero que no puede permitirse perder. Antes de utilizar los servicios ofrecidos por ForexMart, reconozca los riesgos asociados con las operaciones en Forex. Busque asesoramiento financiero independiente si es necesario. Tenga en cuenta que ni el rendimiento pasado ni los pronósticos son indicadores confiables de resultados futuros.