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Websim Analysis, March 3, 2022: LONG Clean Energy

Your capital is at risk if you invest. You could lose all your investment. Please see the full risk warning here.

The Clean Energy sector saw a lion-like 2020 and then a violent correction in 2021. The war between Russia and Ukraine has brought this sector back into the global spotlight. Especially for Europe, it is now obvious that Russia is not a reliable partner and therefore we must put the accelerator on energy alternatives capable of making us independent in terms of energy. Renewables will surely play a primary role in this context and in fact the sector indices have regained strength.

We take the iShares Global Clean Energy ETF as the industry benchmark. The bottom, after touching the supportive band between $17.2 and the 61.8% Fibonacci retracement, seeks a strong restart. In fact, the ETF has returned to just above $20, close to the static resistance of $21.2, which also corresponds to 50% of the Fibonacci retracement. The 200-period moving average is also approaching here. This is therefore a fundamental threshold. If the ETF were to break this level, a LONG strategy can be activated with a target of $24 and $26.

We recommend going on LONG on the ETF at the closing break and with volatility of the resistance at $21. In the event of a breakout without volatility, it is better to wait for the next session to confirm. You can trade by buying the Leverage Shares 3x ETP on iShares Global Clean Energy ETF (ISIN: XS2399371017), with a short-term target of around $24 and $26. Alert/stop loss should be below $20.3 (closing daily).


The information provided by Websim, a division of Intermonte SIM, a company authorised by CONSOB to provide investment services and registered in the Italian SIM under no. 246, are obtained from sources deemed reliable (of which the company is not able to guarantee the absolute completeness and accuracy) and in any case, if there are doubts about their reliability, this will be clearly indicated. The main purpose of the site is to provide a set of updated and accurate information, studies and analyses in compliance with the provisions of the «recommendations» in current legislation and does not represent a «solicitation to invest» pursuant to art. 1, paragraph 1, lett. t) of Legislative Decree 58/1998.

Your capital is at risk if you invest. You could lose all your investment. Please see the full risk warning here.

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Violeta Todorova

Senior Research

Violeta se unió a Leverage Shares en septiembre de 2022. Ella gestiona la realización de análisis técnicos, investigación macroeconómica y de acciones, y ofrece información valiosa que ayuda a la definición de estrategias de inversión para los clientes.

Antes de unirse a LS, Violeta trabajó en varias empresas de inversión de alto perfil en Australia, como Tollhurst y Morgans Financial, donde pasó los últimos 12 años de su carrera.

Violeta es una técnica de mercado certificada de la Asociación Australiana de Analistas Técnicos y tiene un Diploma de Postgrado en Finanzas e Inversiones Aplicadas de Kaplan Professional (FINSIA), Australia, donde fue profesora durante varios años.

Julian Manoilov

Marketing Lead
Julián se unió a Leverage Shares en 2018 como parte de la principal expansión de la compañía en Europa del Este. Él es responsable de diseñar estrategias de marketing y promover el conocimiento de la marca.

Oktay Kavrak

Head of Communications and Strategy

Oktay se incorporó en Laverage Shares a fines de 2019. Él es responsable de impulsar el crecimiento del negocio al mantener relaciones clave y desarrollar la actividad de ventas en los mercados de habla inglesa.

Él vino de UniCredit, donde fue gerente de relaciones corporativas para empresas multinacionales. Su experiencia previa es en finanzas corporativas y administración de fondos en empresas como IBM Bulgaria y DeGiro / FundShare.

Oktay tiene una licenciatura en Finanzas y Contabilidad y un certificado de posgrado en formación empresarial de Babson College. También es titular de una certificado CFA (Chartered Financial Analyst).

Sandeep Rao

Investigación

Sandeep se unió a Leverage Shares en septiembre de 2020. Está a cargo de la investigación de líneas de productos existentes y nuevas, clases de activos y estrategias, con un enfoque particular en el análisis de eventos y desarrollos recientes.

Sandeep tiene una larga experiencia en los mercados financieros. Comenzó en un hedge fund con sede en Chicago como ingeniero financiero, su carrera abarcó varios dominios y organizaciones durante un período de 8 años, desde la División de Prime Services de Barclays Capital hasta (más recientemente) el Equipo Index Research de Nasdaq.

Sandeep tiene una maestría en Finanzas, así como un MBA del Illinois Institute of Technology de Chicago.

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