Market Mover | AGL Energy shares plummet 5%, facing significant selling pressure
Market Mover | AGL Energy shares plummet 5%, facing significant selling pressure
$AGL Energy Ltd (AGL.AU)$ shares fell 5.83% on Thursday, with trading volume expanding to A$41.03 million. AGL Energy has fallen 9.36% over the past week, with a cumulative gain of 17.89% year-to-date.
$AGL Energy Ltd (AGL.AU)$ 週四,股價下跌5.83%,交易量擴大至A$4103萬。AGL能源在過去一週內下跌了9.36%,年初累計漲幅爲17.89%。
AGL Energy's technical analysis chart:
AGL能源的技術面分析圖:
Technical Analysis:
技術面分析:
Support: A$10.48
Resistance: A$11.57
Price range A$10.48 to A$11.57: The trading range indicates a heavy concentration of selling orders, with the stock price on an downward trend. There's a high concentration of trapped positions within the trading range, which implies strong resistance to any upward movement. The stock started to decline near A$11.57 due to selling pressure and repeatedly touched the A$10.48 level, where it seems to find some support. Going forward, it's crucial to watch whether the support at A$10.48 holds and if it can lead to a potential rebound.
支撐位: A$10.48
壓力位: A$11.57
價格區間A$10.48到A$11.57: 交易區間顯示有大量的賣單集中,股價處於下跌趨勢。交易區間內有大量被套住的倉位,暗示對任何上漲動力有強烈的阻力。股價在A$11.57附近開始下跌,受到賣壓影響,反覆觸及A$10.48水平,似乎在這裏找到一些支撐。未來關鍵是觀察A$10.48支撐位能否守住並且是否能引領潛在的反彈。
Market News :
市場資訊:
Because the cheap coal and natural gas supply contracts had ended, Barrenjoey lowered its expectations for future profits. They downgraded their stock rating to "sell" and dropped their target price from $13.80 to $11.20 Australian dollars. In addition, they cut their profit forecasts.
由於廉價煤和天然氣供應合同到期,Barrenjoey降低了對未來利潤的預期。他們將股票評級降級爲"賣出",目標價從13.80澳大利亞元降至11.20澳大利亞元。此外,他們削減了利潤預測。
Overall Analysis:
總體分析:
Fundamentally, focus on the company's performance and operational status. Technically, pay attention to whether the support levels hold and if the resistance levels can be effectively breached.
基本上,關注公司的業績和運營狀況。從技術上講,要注意支撐位能否持穩,以及阻力位是否能被有效突破。
In this scenario, investors should adopt a cautious strategy, setting stop-loss points to manage risk and maintaining ongoing vigilance regarding company developments and market conditions.
在這種情況下,投資者應採取謹慎的策略,設置止損點來管理風險,並對公司發展和市場情況保持持續警惕。
Source: AFR
資訊來源:AFR