• Brent Crude Oil: long downward correction

    Crude oil price still consolidates within a narrow side channel, as the US dollar tendency is still unclear, and also because there is contrast of growing oil reserves in USA and reducing oil reserves in OPEC and major oil exporters.
  • RSI Bullish and Bearish Divergence in Crypto

    RSI Bullish and Bearish Divergence in Crypto
    Divergence on a chart shows that the current price move is losing momentum. In crypto trading, this signal may indicate a potential change in direction, but it often appears well before a reversal. High market volatility and large market participants' actions can generate false signals, so assess divergence in context.The Relative Strength Index (RSI) is an oscillator scaled from 0 to 100. It helps assess momentum and identify overbought and oversold zones. Regular divergence may signal a revers
  • XAU/USD: Elliott Wave Analysis and Forecast for 11.09.26–18.09.26

    XAU/USD: Elliott Wave Analysis and Forecast for 11.09.26–18.09.26
    Major Takeaways Main scenario: Once the correction has been completed, consider long positions above 4,174.78 with a target of 4,900.00–5,610.00. A buy signal: the local correction ends and the price settles above 4,174.78. Stop Loss: below 4,105.00, Take Profit: 4,900.00–5,610.00. Alternative scenario: Breakout and consolidation below 4,174.78 will allow the asset to continue declining to the levels of 3,954.50–3,720.00. A sell signal: the level of 4,174.78 is broken to the do
  • WTI Crude Oil: Elliott Wave Analysis and Forecast for 11.09.26–18.09.26

    WTI Crude Oil: Elliott Wave Analysis and Forecast for 11.09.26–18.09.26
    Major Takeaways Main scenario: Consider long positions from corrections above 92.50 with a target of 115.50–125.50. A buy signal: the price holds above 92.50. Stop Loss: below 91.00, Take Profit: 115.50–125.50. Alternative scenario: Breakout and consolidation below 92.50 will allow the asset to continue declining to the levels of 78.58–67.00. A sell signal: the level of 92.50 is broken to the downside. Stop Loss: above 94.00, Take Profit: 78.58–67.00.Main ScenarioConsider
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  • USD/JPY: Elliott Wave Analysis and Forecast for 11.09.26–18.09.26

    USD/JPY: Elliott Wave Analysis and Forecast for 11.09.26–18.09.26
    Major Takeaways Main scenario: Once the correction has been completed, consider short positions below the level of 157.50 with a target of 151.76–148.92. A sell signal: the local correction ends and the price holds below 157.50. Stop Loss: above 158.10, Take Profit: 151.76–148.92. Alternative scenario: Breakout and consolidation above the level of 157.50 will allow the pair to continue rising to the levels of 160.48–163.90. A buy signal: the level of 157.50 is broken to the ups
  • GBP/USD: Elliott Wave Analysis and Forecast for 11.09.26–18.09.26

    GBP/USD: Elliott Wave Analysis and Forecast for 11.09.26–18.09.26
    Major Takeaways Main scenario: Consider long positions from corrections above 1.3270 with a target of 1.3870–1.4140. A buy signal: the price holds above 1.3270. Stop Loss: below 1.3225, Take Profit: 1.3870–1.4140. Alternative scenario: Breakout and consolidation below 1.3270 will allow the pair to continue declining to the levels of 1.2938–1.2745. A sell signal: the level of 1.3270 is broken to the downside. Stop Loss: above 1.3315, Take Profit: 1.2938–1.2745.Main Scenari
  • Medtronic’s (MDT) Heart Devices Are Suddenly Outgrowing The Rest Of Med-Tech

    Medtronic’s (MDT) Heart Devices Are Suddenly Outgrowing The Rest Of Med-Tech
    Medtronic released fiscal 2027 first-quarter earnings on September 1, posting revenue of $9.8 billion and organic growth of 13.7%, exceeding company guidance. The quarter ended July 31 and included an extra selling week that contributed approximately $570 million to the revenue figure. Management characterized the underlying performance as the strongest quarterly result in nearly eight years and raised its full-year outlook based on the beat.
    Cardiovascular revenue grew 18.9% organically to $3.
  • G-III’s (GIII) $1.2B Bet On Life After Calvin Klein

    G-III’s (GIII) $1.2B Bet On Life After Calvin Klein
    G-III Apparel released second-quarter fiscal 2027 results on September 2, one day after completing its acquisition of Marc Jacobs on September 1. The company is transitioning away from its longtime licenses for Calvin Klein and Tommy Hilfiger, owned by PVH, and shifting toward brands it controls directly.
    Net sales declined 10% to $554.1 million from $613.3 million in the prior-year quarter, aligning with management’s expectations given the exit from the two licensed brands. However, gros
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  • Sportsman’s Warehouse (SPWH) Trades Flat Sales For A Cleaner Balance Sheet

    Sportsman’s Warehouse (SPWH) Trades Flat Sales For A Cleaner Balance Sheet
    Sportsman’s Warehouse Holdings reported second-quarter results on September 1 that emphasized balance-sheet improvement over revenue growth. Net sales rose 0.6% to $295.6 million, while the company posted a narrower net loss of $4.4 million compared with $7.1 million in the year-earlier period. Adjusted EBITDA climbed to $8.7 million from $8.3 million, signaling progress in operational efficiency.
    The company’s inventory reduction strategy has yielded measurable results. Total inven
  • Sibanye Stillwater’s (SBSW) Record Half Comes With Strings Attached

    Sibanye Stillwater’s (SBSW) Record Half Comes With Strings Attached
    Sibanye Stillwater reported first-half results that marked a significant turnaround from the prior year. Revenue climbed 64% to R90 billion, equivalent to $5.5 billion, while headline earnings per share surged 216% to R6.01 compared with R1.90 in the first half of 2025. The company swung to a profit of R18.8 billion from a R3.9 billion loss a year prior, driven primarily by higher prices for platinum group metals and gold.
    Management deployed the earnings windfall conservatively, focusing on ba
  • Popular women’s clothing chain closes 177 stores

    Popular women’s clothing chain closes 177 stores
    Torrid, a plus-size women’s specialty retailer, has substantially completed a major store optimization program that included the closure of 177 locations, according to statements made during the company’s second-quarter earnings call. The chain had initially announced plans in June 2025 to shutter around 180 underperforming stores from its fleet of just over 620 locations. The closures reflect broader shifts in consumer shopping behavior, with the retailer noting that digital channe
  • One Customer’s Delay Can’t Hide ADTRAN’s (ADTN) Optical Surge

    One Customer’s Delay Can’t Hide ADTRAN’s (ADTN) Optical Surge
    ADTRAN Holdings Inc. reported second-quarter revenue of $281.1 million on August 4, representing a 6.1% increase from the prior year period ended June 30, though the figure fell short of company guidance and weighed on the stock price.
    The Optical Networking Solutions segment emerged as a significant growth driver, generating $109.7 million in revenue with a 22% year-over-year increase and 13% sequential gain. Chief Executive Tom Stanton highlighted this unit as the primary source of quarterly
  • NIO (NIO) Narrows Its Losses, But Can It Keep This Up?

    NIO (NIO) Narrows Its Losses, But Can It Keep This Up?
    NIO Inc. released second-quarter financial results on September 1 that demonstrated significant progress in profitability. Vehicle deliveries across its three brands increased 49.4% year over year to 107,658 units, while the company’s net loss contracted 89.4% to RMB 0.5 billion. The automaker achieved its third consecutive quarter of adjusted profitability, marking a turnaround from earlier performance.
    The improvement was driven by a favorable shift in product mix rather than volume alo
  • EUR/USD: Elliott Wave Analysis and Forecast for 11.09.26–18.09.26

    EUR/USD: Elliott Wave Analysis and Forecast for 11.09.26–18.09.26
    Major Takeaways Main scenario: Once the correction has been completed, consider long positions above 1.1470 with a target of 1.1790–1.2088. A buy signal: the local correction ends and the price settles above 1.1470. Stop Loss: below 1.1425, Take Profit: 1.1790–1.2088. Alternative scenario: Breakout and consolidation below 1.1470 will allow the pair to continue declining to the levels of 1.1350–1.1230. A sell signal: the level of 1.1470 is broken to the downside. Stop Loss: abov
  • Gold Waits for the CPI Verdict. Forecast as of 11.09.2026

    Gold Waits for the CPI Verdict. Forecast as of 11.09.2026
    Despite numerous bullish drivers for gold, including de-dollarization, US government intervention in the debt market, loss of confidence, and the debasement trade, XAU/USD may decline in the short term. Let's discuss this topic and outline a trading plan.Major Takeaways Gold fears Fed rate hikes. An S&P 500 correction will intensify XAU/USD selling. The precious metal's fate hinges on US inflation. Strong CPI data would be a reason to sell gold, with a target of $4,170.Fundamental Forecast f
  • USD/CHF: Elliott Wave Analysis and Forecast for 11.09.26–18.09.26

    USD/CHF: Elliott Wave Analysis and Forecast for 11.09.26–18.09.26
    Major Takeaways Main scenario: Consider long positions from corrections above 0.8044 with a target of 0.8278–0.8400. A buy signal: the price holds above 0.8044. Stop Loss: below 0.8005, Take Profit: 0.8278–0.8400. Alternative scenario: Breakout and consolidation below 0.8044 will allow the pair to continue declining to the levels of 0.7755–0.7600. A sell signal: the level of 0.8044 is broken to the downside. Stop Loss: above 0.8080, Take Profit: 0.7755–0.7600.Main Scenari
  • USD/CAD: Elliott Wave Analysis and Forecast for 11.09.26–18.09.26

    USD/CAD: Elliott Wave Analysis and Forecast for 11.09.26–18.09.26
    Major Takeaways Main scenario: once the correction has been completed, consider short positions below the level of 1.4050 with a target of 1.3548–1.3400. A sell signal: the local correction ends and the price holds below 1.4050. Stop Loss: above 1.4090, Take Profit: 1.3548–1.3400. Alternative scenario: Breakout and consolidation above the level of 1.4050 will allow the pair to continue rising to the levels of 1.4250–1.4417. A buy signal: the level of 1.4050 is broken to the ups
  • Benner Cycle: What Is the Samuel Benner Chart and How to Use It in Investing

    Benner Cycle: What Is the Samuel Benner Chart and How to Use It in Investing
    The Benner Cycle is one of the most popular trading methods based on stock market cycle theory. It is a well-known model for chart forecasting. Today, many similar theories exist, but proponents believe the Benner Cycle is more accurate, noting that it has been used to predict major events for more than 150 years.This model can forecast long-term trades. In addition, the method is applied in wave analysis when a 5–10-year forecast is required.A trading strategy based on market cycles
  • Short-Term Analysis for Oil, Gold, and EURUSD for 11.09.2026

    Short-Term Analysis for Oil, Gold, and EURUSD for 11.09.2026
    Welcome, my fellow traders! I have prepared a price forecast for US Crude, XAUUSD, and EURUSD using a combination of the margin zones method and technical analysis. Based on the market analysis, I suggest entry signals for intraday traders.Oil prices continued to rise yesterday.Major Takeaways USCrude: After a sharp rise, oil is correcting lower and approaching the support A of 96.45–96.01. XAUUSD: Gold has almost hit its second selling target today. EURUSD: The euro is falling after reach
  • Short-Term Analysis for BTCUSD, XRPUSD, and ETHUSD for 11.09.2026

    Short-Term Analysis for BTCUSD, XRPUSD, and ETHUSD for 11.09.2026
    Dear readers,I've prepared a short-term forecast for Bitcoin, Ripple, and Ethereum based on Elliott Wave analysis.Despite minor declines within corrective waves in all three cryptocurrencies, the previous scenarios remain valid.Major Takeaways BTCUSD: The price continues to rise in a bullish correction (B). Consider long positions with a Take Profit at 82,336.26. XRPUSD: The asset continues to rise in impulse [C] of wave XX. Consider long positions with a Take Profit at 1.694. ETHUSD: The rise i
  • Dollar Gains Ground as Fed Tightening Expectations Rise. Forecast as of 11.09.26

    Dollar Gains Ground as Fed Tightening Expectations Rise. Forecast as of 11.09.26
    Could a single inflation report be enough to prompt the Fed to raise interest rates? The market appears to think so, largely overlooking Christine Lagarde's hawkish rhetoric and the decline in US Treasury yields. Let's examine the key factors driving the EUR/USD outlook and develop a trading plan.Major Takeaways The ECB raised its rate to 2.5% but gave no signals. US producer prices rose to 5.4%. The probability of a Fed rate hike in September has risen to 72%. High inflation is a reason to incr
  • ServiceTitan, Inc. Q2 2027 Earnings Call Summary

    ServiceTitan, Inc. Q2 2027 Earnings Call Summary
    ServiceTitan management outlined a strategic shift toward artificial intelligence-driven operations during the second quarter earnings discussion. The company is transitioning to Max, an agentic operating system designed to automate routine coordination tasks that were previously handled manually. Early adoption data indicated that the system enabled contractors to improve their technician-to-administrator ratios from 2:1 to 3:1, signaling potential operational efficiency gains.
    Gross transacti
  • J.Jill, Inc. Q2 2027 Earnings Call Summary

    J.Jill, Inc. Q2 2027 Earnings Call Summary
    J.Jill’s second-quarter results reflected stronger-than-anticipated performance propelled by gains in full-price merchandise sales across both retail locations and online platforms. The company also noted stabilization in its customer base while simultaneously attracting younger shoppers who demonstrated elevated average transaction values compared to prior acquisition cohorts.
    Operational initiatives included consolidating the Wearever sub-brand into core offerings to streamline the prod
  • Braze, Inc. Q2 2027 Earnings Call Summary

    Braze, Inc. Q2 2027 Earnings Call Summary
    Braze held a Q2 earnings call highlighting significant operational and financial improvements. Large customer retention rates reached 112%, indicating deeper platform integration and expanded adoption within enterprise accounts. The company attributed growth to its ‘Agentic Harness’ framework, which combines first-party data, workflow orchestration, and proprietary feedback loops to deliver business outcomes through AI capabilities.
    The Braze Data Platform remained a cornerstone off
  • MIND Technology, Inc. Q2 2027 Earnings Call Summary

    MIND Technology, Inc. Q2 2027 Earnings Call Summary
    MIND Technology, Inc. outlined challenges and strategic adjustments during its second quarter of fiscal 2027, citing significant operational disruptions stemming from regional conflict in the Middle East. The company experienced direct interruptions to existing projects in that region and encountered delays in launching new contractual awards as a result of the geopolitical environment.
    The company’s revenue composition reflected a heavy reliance on its aftermarket segment, which encompas
  • Chewy, Inc. Q2 2027 Earnings Call Summary

    Chewy, Inc. Q2 2027 Earnings Call Summary
    Chewy delivered results that outpaced the broader pet category by approximately 2x to 3x during the quarter, with performance anchored by a recurring revenue model. Autoship sales expanded 9.3% and now represent 84.6% of total net sales, providing a stable revenue foundation.
    The company achieved triple-digit revenue growth in its Chewy Vet Care segment and triple-digit unit growth in fresh and frozen offerings. The equine and farm business marked its seventh consecutive quarter of mid-double-d
  • Casey’s General Stores, Inc. Q1 2027 Earnings Call Summary

    Casey’s General Stores, Inc. Q1 2027 Earnings Call Summary
    Casey’s General Stores outlined Q1 results centered on what management termed the “convenience QSR flywheel,” where prepared food and dispensed beverages drove traffic gains and margin expansion amid a volatile macroeconomic environment.
    Margin growth was primarily fueled by a favorable product mix shift toward high-margin prepared foods and cost management initiatives, including a 9% decrease in cheese costs. Fuel performance significantly outpaced the Mid-Continent region, w
  • PVH (PVH) Reaffirmed its Outlook as Tariff Refunds Lifted Margins. Can the Core Business Recover Without the One-Off Benefit?

    PVH (PVH) Reaffirmed its Outlook as Tariff Refunds Lifted Margins. Can the Core Business Recover Without the One-Off Benefit?
    PVH Corp reported second-quarter revenue of $2.097 billion, representing a 3% decline from $2.167 billion in the prior year. Gross margin expanded 530 basis points to 63.0% from 57.7%, though approximately 510 basis points of that improvement originated from $107 million in tariff refunds, indicating limited underlying margin growth.
    The remaining 20-basis-point margin improvement reflected lower product costs, favorable foreign exchange, and advantageous product mix, partially offset by increa
  • Petco (WOOF) Reported Adjusted EBITDA Growth but a $6.8M Tariff Refund Helped the Quarter. Is the Turnaround Self-Funding?

    Petco (WOOF) Reported Adjusted EBITDA Growth but a $6.8M Tariff Refund Helped the Quarter. Is the Turnaround Self-Funding?
    Petco Health and Wellness Company reported second-quarter 2026 net sales of $1.49 billion, representing a 0.05% increase from the prior year, while comparable sales grew 0.6%. The company’s adjusted EBITDA reached $122.2 million compared with $113.9 million in the year-ago period, marking a rise of approximately $8.3 million.
    However, the adjusted EBITDA improvement was significantly influenced by a $6.8 million net benefit from tariff refunds related to the International Emergency Econom
  • Nasdaq (NDAQ) Completed the Dasseti Acquisition to Deepen eVestment’s Private-Market Capabilities

    Nasdaq (NDAQ) Completed the Dasseti Acquisition to Deepen eVestment’s Private-Market Capabilities
    Nasdaq, Inc. completed the acquisition of Dasseti, an artificial intelligence-powered platform that provides due diligence and ongoing monitoring capabilities across public and private markets. The purchase price and financial details were not made public. Dasseti will be incorporated into the Nasdaq eVestment platform, which currently serves asset managers, asset owners, and intermediaries across multiple countries.
    Dasseti maintains coverage of approximately 17,000 asset managers and general

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