Banking on America

It is no mystery that the longer the Fed keeps from raising rates, the harder it is for banks to make money which depresses their stock values. In anticipation of the eventual rate increase, certain banks have taken the brunt of the punishment the past few years as they struggle to restructure to become more efficient in an ever increasingly competitive market but some are showing value when the rates begin to rise.

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Canceled Plan

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In enters Bank of America, a stock that has been pushed down and never fully recovered since the initial sell off.  Providing exceptional tools for their clients, expanded efforts from the products they offer to a steadily increasing dividend should allow them to begin attracting more interest in the coming year.  To begin building a position, a staggered approach should be taken as some anticipated pullback in the overall markets could occur but should be offset by the advantages the banking sector should enjoy.



  Price Shares Cost Returns R/R
Green
Buy $13.11
$3,749.46  
Reward $15.65 $4,475.90 $726.44
Risk $11.88 $3,397.68 ($351.78)
Cancel $14.05    
 
Blue
Buy $11.88
$3,742.20  
Reward $15.57 $4,904.55 $1,162.35
Risk $10.48 $3,301.20 ($441.00)
Even $12.47      
 
1st Trade exit @ reward target $703.56  
Total Reward from all applicable channels $1,865.91  
Total Risk from all applicable channels ($1,193.18)  
 
Red
Buy $10.48
$2,494.24  
Reward $14.03 $3,339.14 $844.90
Risk $8.68 $2,065.84 ($428.40)
Even $11.90      
 
1st Trade exit @ reward target $263.12  
2nd Trade exit @ reward target $677.25  
Total Reward from all applicable channels $1,785.27  
Total Risk from all applicable channels ($2,703.38)  
Green

2.07:1
reward : risk
level reached 61.51%
Blue

2.64:1
reward : risk
level reached 38.87%
Red

1.97:1
reward : risk
level reached 20.38%

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