Ticker: QFIN (NASDAQ)
Recommendation: BUY
Current Price: $42.93
Entry Zone: $42 - $43 (Pullback to support)
Stop Loss: $39 (-9.2% from entry, below key swing low)
Take Profit: $50.70 (+18.1% upside)
Risk/Reward Ratio: 1:2
📈 Technical Analysis
Trend: Mixed but stabilizing (Daily: Neutral, 4H/1H: Recent weakness).
Key Levels:
Support: $41.50 (SMA-50), $39 (Strong demand zone).
Resistance: $43.50 (Recent high), $50.70 (2025 YTD resistance).
Indicators:
RSI (Daily): 53.16 (Neutral, no overbought/oversold signal).
MACD: Approaching bullish crossover on daily chart.
Volume: Light selling pressure, accumulation possible near support.
💡 Fundamental Catalyst
Deep Value Metrics:
P/E Ratio: 6.57 (Sector avg: ~20x)
P/B Ratio: 0.25 (Extremely undervalued)
Zero Debt: Debt-to-Equity of 0, pristine balance sheet.
Growth Potential: Fintech sector rebound, China regulatory easing hopes.
🎯 Why This Trade?
Extreme Undervaluation: P/B < 0.3 signals potential mean reversion.
Technically Oversold: RSI2 Connors signaled accumulation recently.
Asymmetric Risk/Reward: Limited downside (strong $39 support) vs. 20%+ upside.
⚡ Trade Management
Confirmation Needed: Wait for break above $43.50 with volume.
Add-on: Consider at $45 if momentum builds.
Trailing Stop: Move SL to $41 after TP1 at $47.
📉 Risks:
China macroeconomic/regulatory risks.
Low liquidity → Wider spreads.
✅ Verdict: QFIN is a high-risk, high-reward play for value hunters. Ideal for swing traders with patience.
Like & Follow for more under-the-radar gems! 🔍
#QFIN #Fintech #Undervalued #ValueInvesting
Recommendation: BUY
Current Price: $42.93
Entry Zone: $42 - $43 (Pullback to support)
Stop Loss: $39 (-9.2% from entry, below key swing low)
Take Profit: $50.70 (+18.1% upside)
Risk/Reward Ratio: 1:2
📈 Technical Analysis
Trend: Mixed but stabilizing (Daily: Neutral, 4H/1H: Recent weakness).
Key Levels:
Support: $41.50 (SMA-50), $39 (Strong demand zone).
Resistance: $43.50 (Recent high), $50.70 (2025 YTD resistance).
Indicators:
RSI (Daily): 53.16 (Neutral, no overbought/oversold signal).
MACD: Approaching bullish crossover on daily chart.
Volume: Light selling pressure, accumulation possible near support.
💡 Fundamental Catalyst
Deep Value Metrics:
P/E Ratio: 6.57 (Sector avg: ~20x)
P/B Ratio: 0.25 (Extremely undervalued)
Zero Debt: Debt-to-Equity of 0, pristine balance sheet.
Growth Potential: Fintech sector rebound, China regulatory easing hopes.
🎯 Why This Trade?
Extreme Undervaluation: P/B < 0.3 signals potential mean reversion.
Technically Oversold: RSI2 Connors signaled accumulation recently.
Asymmetric Risk/Reward: Limited downside (strong $39 support) vs. 20%+ upside.
⚡ Trade Management
Confirmation Needed: Wait for break above $43.50 with volume.
Add-on: Consider at $45 if momentum builds.
Trailing Stop: Move SL to $41 after TP1 at $47.
📉 Risks:
China macroeconomic/regulatory risks.
Low liquidity → Wider spreads.
✅ Verdict: QFIN is a high-risk, high-reward play for value hunters. Ideal for swing traders with patience.
Like & Follow for more under-the-radar gems! 🔍
#QFIN #Fintech #Undervalued #ValueInvesting
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免責聲明
這些資訊和出版物並不意味著也不構成TradingView提供或認可的金融、投資、交易或其他類型的意見或建議。請在使用條款閱讀更多資訊。