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Nikkei 225 Futures - Mar 15

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17,480.50 -129.50    (-0.74%)
30/01 - Closed. Currency in JPY ( Disclaimer )
Type: Index Future
Underlying: Nikkei 225

  • Prev. Close: 17,610.00
  • Open: 17,817.50
  • Day's Range: 17,467.50 - 17,855.50
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Nikkei 225 17,480.50 -129.50 (-0.74%)
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Nikkei 225 Futures Technical Analysis

Summary:STRONG SELL
Moving Averages:Strong SellBuy (0)Sell (12)
Technical Indicators:Strong SellBuy (0)Sell (7)

Pivot PointsJan 30, 2015 10:00PM GMT

NameS3S2S1Pivot PointsR1R2R3
Classic17587.5017587.5017587.5017587.5017587.5017587.5017587.50
Fibonacci17587.5017587.5017587.5017587.5017587.5017587.5017587.50
Camarilla17587.5017587.5017587.5017587.5017587.5017587.5017587.50
Woodie's17587.5017587.5017587.5017587.5017587.5017587.5017587.50
DeMark's--17587.5017587.5017587.50--

Technical IndicatorsJan 30, 2015 10:00PM GMT

Symbol Value Action
RSI(14) 35.486 Sell
STOCH(9,6) 98.279 Overbought
STOCHRSI(14) 0.000 Oversold
MACD(12,26) -40.320 Sell
ADX(14) 26.274 Sell
Williams %R -2.692 Overbought
CCI(14) -247.4626 Oversold
ATR(14) 75.1429 High Volatility
Highs/Lows(14) -66.0000 Sell
Ultimate Oscillator 40.833 Sell
ROC -1.114 Sell
Bull/Bear Power(13) -191.9780 Sell

Buy: 0

Sell: 7

Neutral: 4


Summary: Strong Sell

Moving AveragesJan 30, 2015 10:00PM GMT

Period Simple Exponential
MA517550.70
Sell
17532.92
Sell
MA1017566.60
Sell
17565.78
Sell
MA2017615.40
Sell
17603.86
Sell
MA5017667.56
Sell
17652.09
Sell
MA10017680.75
Sell
17632.22
Sell
MA20017535.86
Sell
17524.90
Sell

Buy: 0

Sell: 12


Summary: Strong Sell

My Sentiments

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Members' Sentiments:
Bullish
56%
Bearish
44%

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Japan 225 Futures
 
 
 
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Latest Nikkei 225 Futures Comments

sterling intentions
sterling intentions Jan 29, 2015 10:04PM GMT
New news just in. Abandon all long positions NOW. Blood on the streets for Friday.

sterling intentions
sterling intentions Jan 28, 2015 11:01PM GMT
Time for the Moon Shot to NEW HIGHS . . . mortgage the house and go all in long.

sterling intentions
sterling intentions Nov 03, 2014 12:29AM GMT
Certain information has just been released to a select few concerning devastating economic factors in both the US and EU that may not be made public for a while. Estimated release of data is 7 November at 3PM ET, US. We have liquidated ALL long holdings Worldwide on Friday 31 October and are now short 50% hoping for those in control to make an effort to keep markets afloat until Friday, where we will be 100% short, all holdings, all nations. Extremely limited upside potential followed by tremendous downside potential and possible collapse. Greed kills, take profits NOW. When the move comes, you will not be able to get out fast enough.
Andrei C.
Andrei C. Nov 27, 2014 03:40PM GMT
Gee, nothing happened.
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