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تحلیل ناب 🏁🎯🔎
The fund and a ruling were spoken, and with the melting demands of the box, we come to the number ... 👆👆 👆👆

تحلیل ناب 🏁🎯🔎
#Petrol Petrol Company's sudden decline in profits (Gulf Petrochemical Petrochemical Industries and Development Group) It comes from several key factors described in the company's official reports: 📉 The main reasons for reducing petrol profit: - Failure to repeat profit from the Great Delivery: In the past fiscal year, Petrol had identified about $ 6 trillion in profits by completely transferring the stock of the Economics Company. This profit was not repeated this year and caused a sharp drop in net profit. - Capital market downturn: The revenue from the sale of stocks declined this year, Because the capital market was in recession. This led to the company's operational revenues from 1.5 trillion tomans to 1.5 trillion tomans. - Reduce the world price of petrochemical products: Petrol subsidiaries, such as Kermanshah Petrochemical, Were met with a decline in worldwide prices (especially urea) That reduced their profits, resulting in a fusion of petrol. This is in conflict with the statements of Marketing and Central Bank officials, etc. After these explanations, because one -way announcement is made and the responsibility of the supervisory body is unclear why it did not ask why the company has not taken any necessary measures to continue the profitability process.

تحلیل ناب 🏁🎯🔎
--- 📊 Capital Market Analytical Report | Saturday, September 1 In the working week leading up to September 1, Stock Exchange Index after months of reciprocal fluctuations and erosion correction, In the support range of 1.2,000 units Reacted. This reaction by increasing trading volume, reducing sales pressure And the calm transfer of indexing symbols was accompanied by real and legal actors; A sign of the market entry into the decision -making phase after a stressful period. 🔍 Fundamental analysis The net growth of the value of sector and tradable funds assets Including "Development of Robin Horizon", "Kian", "Arman Atieh" and "Amin Familiar" up to more than 1 %, It indicates the purposeful rearrangement of baskets by professional managers. Coding reports too Of the rise of capital in the "Santaran", Venice's assets And improving profitability in metal and mineral symbols. Also, the growth of gold funds simultaneously with the universal ounce mutation, The signal has provided inflationary expectations in parallel markets. 📈 Technical Analysis The overall index is on the verge of static resistance of 2.5,000 units. Crossing this level can end the erosion correction And be the beginning of a new uptrend. Symbols such as "Shasta", "Car", "Female" and "Steel" Are completing the return patterns. Positive divergence in relative power index (RSI) And the failure of short -term resistance in these symbols, It has reinforced the likelihood of continuing. Increase the volume of transactions on price floor Without sales pressure, it also indicates the activation of hidden buyers. 🧠 Market psychology and legal behavior Market in recent months with behavioral tensions, Artificial supply and manipulation of the panel have been faced That has led to public distrust. However, on the last days of last week, Some rights that were previously in the sales position, They turned to a staircase. This change of behavior is not out of optimism, Rather, it is due to concern about being back from a possible wave of efficiency. The entry of real codes with the above purchase per capita also It indicates the gradual reconstruction of the market. Political -economic analysis Iran's recent agreement with the International Atomic Energy Agency It led to a decrease in the exchange rate to the range of 1.5 USD. This transformation, with the relative reduction of geopolitical stresses, It can stylize the inflation space in the short term. However, forecasting the exchange rate in the range of 1 to 2 thousand tomans by the end of the year, The scenario is cautious and based on the structural realities of the Iranian economy - Scennity that if realized, Although opportunistic for exporters, But at the same time the pressure pressure is significant On domestic manufacturers, importers of raw materials, And the final consumers imported. 📣 Summary Market on the eve of the reopening of Saturday, September 5, Faced with positive initial demand. If the rights are out of doubt And manipulated behaviors to replace the natural flow, The likelihood of buying queues in fundamental symbols increases. The market is on the verge of turning - If the decision makers make decisions. ---

تحلیل ناب 🏁🎯🔎
--- 📊 Market on the verge of rotation: When the data speaks, the doubts are left behind In the second week of September 1, sector and tradable funds, including "Development of Robin Horizon", "Kian" and "Arman Atieh", with NAV growth and high efficiency of 1 %, transmitted a powerful signal to the market. This growth was not the result of excitement, but the result of accurate rearrangement of baskets by professional managers - targeted entry into industrial, mineral and petrochemical symbols with high weight and proper liquidity. From the technical point of view, many of the index symbols have reached valid support ranges after erosion corrections. Positive divergence in the RSI, the failure of short -term resistance, and return patterns in symbols such as "steel", "" "" " 🧠 In market psychology, legal behavior has been hesitant in recent days - Heavy supply has been replaced by step purchases. This means that fear has been replaced by a sense of back from the wave, and this feeling in the Iranian market is usually responded to the purchase queue. 📌 The panel also confirms this rotation: - Increase the per capita of real purchases in selected symbols - Reduce the power of sale of legal sales at low prices - Growth of trading on prices without sales pressure - Issuing new units in some funds distance from NAV show managers' trust in continuing upward trend 🔍 Our algorithmic analyst, based on NAV data, money flow, and behavioral patterns, assesses the possibility of forming shopping queues in the stem symbols over the next week. And that means: "Managers who decided earlier are now in the position." The market responds to analysis, not doubt. And this week, analysts are building the future - not with slogans, but with data. ---

تحلیل ناب 🏁🎯🔎
Let's go to the precise and up -to -date analysis based on the actual data of September 1: --- 🧠 Updated Analysis of #Shosta Symbol 📌 Current price - Final Price: 1,247 USD - The highest price of the day: 1,247 USD - The lowest price of the day: 1,218 USD - Current price above the previous resistance range That was considered around 1,200 Tomans. 📊 Technical Analysis - Short -term trend: ascending with failure of previous resistance - New support: 1,200 Tomans - Next resistance: range 1,285 to 1,298 USD - indicators: neutral status with a desire to saturation Legal behavior - Legal purchase volume: 228 million shares - Legal sales volume: 706 million shares - Change of Ownership: 477 million shares in favor of the real → sign of smart money entry --- ⚡ Analysis of the Fund #Charisma Lever 📌 Current price - Final Price: 19,460 Rials - the highest day price: 19,960 Rials - The lowest price of the day: 18,900 Rials - The current price of the previous resistance is at the range of 18,750 Rials. 📊 Technical Analysis - Short -term trend: ascending with resistance failure - New support: 18,750 Rials - Next resistance: 20,050 Rials - Indicators: Neutral with the desire to saturation 📈 NAV and Fundamental - NAV Normal Unit: 20,263 Rials - NAVs of Premium Unit: 19,965 Rials - 6 months efficiency: -28.78 % - 1 year efficiency: +13.28 % Marketing and legal behavior behavior - Marketer: Charizma Basket - Legal purchase volume: 47 million units - Legal sales volume: 41 million units - Property Change: 5.7 million units in favor of the real → sign of smart money entry --- ✅ Modified Summary | Symbol | Current Price | New support | Next resistance | Legal Behavior/Marketer | | ------ | ------------ -------------- | ---------------- -------------------------- | | Shasta | 1,247 USD | 1,200 USD | 1,285-1,298 USD | Legal Exit, Real Entry | Leverage | 19,460 Rials | 18,750 Rials | 20,050 Rials | Real Entry, NAV above Price | ---

تحلیل ناب 🏁🎯🔎
- Picture of the Stock Exchange: Dark well on the stock exchange, With symbols such as Shasha, Steel, Family. Investors in the falling, While stock exchanges blink with misleading numbers. An indifferent observer with closed eyes stands in distant.

تحلیل ناب 🏁🎯🔎
The very important question and answer requires legal accuracy and transparency. Let me explain very explicitly: --- ⚠️ Can a particular person or entity be definitively attributed to the price manipulation of a particular symbol? In the formal and legal environment of the Iranian capital market, no institution or person has been publicly convicted of price manipulation unless proven and public information has been proven (such as some brokerage or funds). But in the analytical and empirical environment, there is evidence that some legal entities, quasi -government, or even specific market players have a role in suspicious behaviors. --- Why don't some symbols grow natural? The main reasons are: 1. 🔒 Control of the total index Symbols like steel, family, Shasta, Fars have high weight in the index. The sudden growth of these can be: - Give the wrong signal to the market - to stimulate inflationary expectations - Create media and political pressure Therefore, indexing institutions prefer these symbols to fluctuate within the controlled range. --- 2. 💰 Financing of government or specific institutions Some symbols belong to state -owned or quasi -state companies. Their over -growing growth is possible: - to increase financial obligations - Or, on the contrary, their price drop will reduce the value of bank collateral As a result, the price of these symbols is controlled by financial and political considerations rather than real demand. --- 1. 🧠 Preventing a cash out of parallel markets If the stock market becomes attractive, capital will be out of markets like gold, currency, car and housing. This is: - Makes inflation control harder - Balance of parallel markets > Therefore, stock market growth must be limited and controlled so that parallel markets do not fall. --- 1. 🕳️ Lack of independent and transparent supervision Stock Exchange and Supervisory Institutions, in some cases: - Delay, enter suspicious transactions - Or they don't enter at all because they are the parties to the powerful institutions As a result, price manipulation is done in some symbols without accountability. --- 🧠 Summary If you name a particular symbol, I can check for you: - Is that suspicious price behavior? - What institutions are active in their transactions? - And what can make it limited? But the direct attribution of manipulation to a particular person or entity requires a formal and legal document - which is not usually published in the public space. However, analysis of trading behavior, volume, and type of orders can give very clear clues.

تحلیل ناب 🏁🎯🔎
According to official and analytical reports, the examination of suspicious algorithmic behavior in the Schwet and Steel symbols shows that the two symbols have been listed in recent weeks and have been found to be algorithmical manipulation. --- 🔍 Shasta: suspicious behavior with abnormal volumes According to the Voice of the Exchange on September 1: - Shasta's symbol is one of the symbols with a suspicious volume of transactions. - The volume of sales is diverted from the normal market trend, which is a sign of volume or oscillating algorithms. - This behavior is usually aimed at deceiving small investors and creating an artificial process. --- 🔍 steel: suspicious transactions with impact on the overall index In the target portfolio report on January 1: - The steel symbol with the family and Shasta has the most positive impact on the overall index. - But besides it, the volume of steel transactions was 2 to 5 times the monthly average, which is a sign of algorithmic manipulation in volume and price. - This abnormal volume is commonly used by trading robots to direct the total index and NAVs of funds. --- 🧠 Final conclusion Both School and Steel symbols have behaviors in recent weeks that are in line with well -known algorithmic manipulation patterns: | Symbol | Suspension Symptoms | Possible algorithm type | ------ | ---------------- | ------------------- | | Shasta | Unusual volume, artificial queue SPOOFING, Volumetrary | | Steel | Repeated Trading, Artificial Impact on Index | Elings, Index makers

تحلیل ناب 🏁🎯🔎
According to the technical diagrams of steel and Shasta symbols of valid sources, these two symbols have behaviors in recent weeks that are in line with algorithmic manipulation patterns. Let's go to the analysis of each: --- 📉 Steel (Isfahan Mobarak Steel) Based on chartix data: - 90 -day drop: about 41.8 % reduction in price. - 7 days growth: about 12.3 % increase, which can be a sign of oscillation. - Daily trading volume: More than 627 million shares, which is very high and enhances the likelihood of using volume algorithms. - distance to the historical ceiling: About 43.57 %, which means it is still in the correction phase. Suspicious Behavior: Severe fluctuations in short -term, high volume, and rapid price return show that oscillating and indexing algorithms are probably active in this symbol. --- 📊 شستا (شرکت سرمایهگذاری تأمین اجتماعی) Based on chart data: - Shasta's chart in recent weeks shows artificial sales pressure and fabricated queues. - Price behavior in daily timing is associated with abnormal candlesticks and unbalanced volumes. - On some days, heavy orders are registered in the sales queue, but immediately deleted, which is a sign of SpoFing algorithms. 📌 Suspicious behavior: Formal ordering, artificial fluctuations, and pricing trend distorting with the aim of deceiving micro investors. --- 🧠 Summary | Symbol | Type of suspicious algorithm Symptoms | | ------ | --------------------- ----------- | Steel | Eligger, volume maker High volume, severe fluctuation, fast return | | Shasta | SPOOFING, queuing Formal Orders, Artificial Sales Pressure

تحلیل ناب 🏁🎯🔎
I came up with artificial intelligence questions about price manipulation and the impact of symbols on the value of other assets of symbols. I asked about the value of the asset and the effect of leverage assets ... --- 🔍 Solidarity of "lever" with stock exchanges symbols According to the recent technical and fundamental analysis, the following three symbols have the most impact on the price trend and the NAV of the leverage fund: --- 📈 Why are these symbols important? - Steel: Because the lever in the basket weighs high weight and its fluctuations affect the NAV. The analysis shows that the technical support of steel is being tested and their failure can put more sales pressure. - Shasta: Due to the pressure of artificial sales and price correction, it reduces NAVs such as leverage. Because Shasta is in the fund's portfolio, every drop directly affects the value of the fund's assets. - Shapna: Due to price drop and loss of support, it has a moderate negative impact on the nav leverage. Of course, since the weight of the shapna in the basket is less than the steel and Shasta, its effect is limited. --- 📊 NAV Funds Fund Recent charts show that the NAV of the leverage fund last week was about 2 % of the three -month drop and is still in the correction area. This decline was mainly due to the decline in the price of steel, Shasta and Shapna symbols. ------ 🔍 Technical and Famous Fundamental Analysis According to the latest reports: - In the weekly time: Family has been involved in important resistances such as Kijun Senc and the Cumo Cloud ceiling after failing the downtrend line. This means that if it can be stabilized, there is a good chance of growing. - In the daily timing: It is close to the support of the uptrend and breaks dynamic resistances like SSL. This indicator is the possibility of a positive return in the short term. - From a fundamental point of view: depending on the global price of the laxative, so the global metal market fluctuations directly affect its performance. --- 📊 Famous impact on lever fund Based on the combination of the Charisma-Marram Fund assets: - Famil is one of the most weighty symbols in the chair basket. - Any fluctuation in the price of the family, especially in descending conditions, can reduce the NAV of the fund. - In recent weeks, with a relative drop in the price of the family, the lever fund has had about a three -month drop in NAV. --- 🧠 Conclusion Famly acts like a thermometer for lever boxes. If the ascending trend is stabilized, it can lead to the growth of the lever NAV. But if it entered the correction phase again, the negative pressure on the NAV would continue.
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