Royal Gold Inc (NASDAQ: RGLD), Forecasting Gold path higher into $6000.00
Royal Gold Inc. (NASDAQ: RGLD) is a leading precious metals company that specializes in royalty and streaming financing within the mining sector. Founded in 1981 and headquartered in Denver, Colorado,…
Bajaj Finance: Big Buying Opportunity Ahead
The recent price action in Bajaj Finance Limited indicates a classic Elliott Wave structure unfolding on the weekly chart. After completing a strong five-wave impulsive rally forming Wave (I) at…
Elliott Wave Perspective: Nvidia’s Range Bound Action Tilts Bearish
Nvidia (NVDA) has completed its cycle from the April 2025 low, and the stock is now entering a larger corrective phase. The correction is unfolding as a double three Elliott…
Uranium Miners (URA) Pullback in Corrective Structure
The Global X Uranium ETF (URA) offers investors diversified exposure to companies engaged in uranium mining and nuclear component production, making it a key vehicle for those looking to participate…
BlackRock (BLK) Enters Key Buying Zone below $1000
We previously mapped BlackRock's (NYSE: BLK) bullish weekly path. We also hinted at a potential dip below $1000. Today, we continue our analysis with the Elliott Wave structure of the…
Johnson & Johnson (JNJ) Forecast: Extended Rally Signals Patience for Buyers
Johnson & Johnson (JNJ) engages in research & development, manufacture & sale of range of products in the healthcare sector worldwide. It operates through Innovative Medicine & MedTech. It comes…
XLE Attracts Consistent Buying from Blue Box Zone
In this technical blog, we will look at the past performance of the 1-hour Elliott Wave Charts of state street energy select sector SPDR ETF ticker symbol: XLE. In which,…
Elliott Wave Analysis: Gold Miners ETF (GDX) Zigzag Correction Underway
The short-term view for the Gold Miners ETF (GDX) shows a correction unfolding in a zigzag Elliott Wave structure. From the all-time high on March 2, wave ((A)) ended at…
Ford (F) Elliott Wave Outlook
Analysts expect Ford (F) stock to trade in a tight range during Q2. However, they see moderate upside if margins stabilize. Most firms keep a Hold rating because tariffs and…
