$EVR bullish fundamentals with bearish technicals

Waiting for break-out to enter long in this fundamentally strong stock

+ Lowest PE among peers, LT debt/equity, Cur.ratio and others are top vs. peers
+ Upward trend channel since Covid crash
+ Surging retailer investors fueling revenues and margins

- Negative divergence with rising wedge pattern
- Overbought market environment

Any additional thoughts?
For discussion purposes only, not a recommendation
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