Analytical Reviews

Forexmart's analytical reviews provide up-to-date technical information about the financial market. These reports range from stock trends, to financial forecasts, to global economy reports, and political news that impact the market.

Disclaimer:  Information provided here to retail and professional clients does not contain and should not be construed as containing investment advice or an investment recommendation or an offer or solicitation to engage in any transaction or strategy in financial instruments. Past performance is not a guarantee or prediction of future performance.

Moody’s zvýšila rating společnosti ServiceNow na A2 díky silným výhledům růstu

Agentura Moody’s Ratings zvýšila dlouhodobý rating emitenta a rating seniorních nezajištěných dluhopisů společnosti ServiceNow, Inc. (NYSE:NOW) z A3 na A2 a potvrdila pozitivní výhled. Ratingové rozhodnutí odráží očekávání agentury Moody’s, že obchodní a finanční profil společnosti ServiceNow se bude i nadále posilovat díky robustnímu růstu a vyvážené finanční politice.

Společnost ServiceNow prokázala solidní výsledky v rozšiřování svých cílových trhů tím, že rozšířila úspěch svého servisního centra na širší IT pracovní postupy a pracovní postupy mimo oblast IT. Agentura Moody’s předpokládá, že tržby společnosti ServiceNow vzrostou do roku 2025 přibližně o 20 % na 13 miliard USD, přičemž i přes velkou velikost společnosti se v příštích 2 až 3 letech očekává podobné tempo růstu.

Softwarová společnost si udržuje značnou finanční flexibilitu s hotovostí a investicemi ve výši 10,9 miliardy USD oproti nesplaceným dluhům ve výši 1,5 miliardy USD. Její celkový poměr dluhu k EBITDA byl na konci března 2025 mírně pod 1x. Moody’s očekává, že volný peněžní tok společnosti ServiceNow v roce 2025 překročí 4 miliardy USD a v roce 2026 5 miliard USD.

ServiceNow zaujímá vedoucí pozici, která mu umožňuje těžit z tržních příležitostí vytvořených generativní umělou inteligencí a agentními technologiemi AI. Společnost integrovala technologie AI do řady produktů nabízených za vyšší průměrné prodejní ceny, přičemž využívá svou rozsáhlou zákaznickou základnu a přístup k datům o pracovních postupech v různých organizačních systémech.

Rating A2 je podpořen zbývajícími závazky společnosti ServiceNow ve výši 22,1 miliardy USD a mírou obnovení smluv na základě ročních hodnot smluv přibližně 98 %. Agentura Moody’s uvedla, že rating by mohl být dále zvýšen, pokud společnost ServiceNow bude pokračovat v diverzifikaci výnosů a udržovat konzervativní finanční strategie, zatímco ke snížení ratingu by mohlo dojít, pokud se růst výnosů zpomalí nebo pokud poměr dluhu k EBITDA překročí dvojnásobek.

EUR/USD: Tips for Beginner Traders on March 23rd (U.S. Session)
07:06 2026-03-23 UTC--4

Trade Review and Tips for Trading the Euro

The test of the 1.1544 level occurred when the MACD indicator had just begun moving upward from the zero line, confirming a valid entry point for buying the euro. However, the trade resulted in a loss, as the upward movement failed to continue.

In the second half of the day, data on construction spending in the United States will be released. Despite its specific nature, this information plays a role in assessing the current state of the U.S. economy. The construction sector is considered sensitive to macroeconomic changes, and its trends can signal broader economic developments. Traders will closely analyze these figures to determine how effectively the construction sector is coping with current economic challenges such as interest rates, inflation, and government regulation. Particular attention will be paid to how spending is distributed across different segments—residential, commercial, and infrastructure—each of which has its own characteristics and impact on the overall economy.

However, the main driver of market direction will be the situation in the Middle East and the military actions of the United States and Israel against Iran.

As for intraday strategy, I will mainly rely on the implementation of Scenarios No. 1 and No. 2.

Buy Signal

Scenario No. 1: Today, buying the euro is possible when the price reaches around 1.1510 (green line on the chart), with a target of 1.1542. At 1.1542, I plan to exit the market and also open short positions, expecting a reversal move of 30–35 points from the entry. A strong upward move in the euro today is unlikely.Important: Before buying, make sure the MACD indicator is above the zero line and just beginning to rise.

Scenario No. 2: I also plan to buy the euro if the price tests the 1.1482 level twice in a row while the MACD indicator is in the oversold zone. This would limit the downward potential and lead to a reversal upward. Growth toward 1.1510 and 1.1542 can be expected.

Sell Signal

Scenario No. 1: I plan to sell the euro after the price reaches 1.1482 (red line on the chart). The target will be 1.1448, where I intend to exit the market and open long positions in the opposite direction (expecting a 20–25 point move). Downward pressure may return at any moment.Important: Before selling, make sure the MACD indicator is below the zero line and just beginning to decline.

Scenario No. 2: I also plan to sell the euro if the price tests 1.1510 twice in a row while the MACD indicator is in the overbought zone. This would limit the upward potential and lead to a reversal downward. A decline toward 1.1482 and 1.1448 can be expected.

analytics69c119566c48a.jpg

Chart Explanation:

  • Thin green line: entry price for buying
  • Thick green line: suggested Take Profit level or area to manually lock in profits, as further growth above this level is unlikely
  • Thin red line: entry price for selling
  • Thick red line: suggested Take Profit level or area to lock in profits, as further decline below this level is unlikely
  • MACD indicator: when entering the market, pay attention to overbought and oversold zones

Important: Beginner Forex traders should make market entry decisions very carefully. It is best to stay out of the market before major fundamental reports to avoid sharp price fluctuations. If you decide to trade during news releases, always use stop-loss orders to minimize losses. Without stop-losses, you can quickly lose your entire deposit, especially if you do not use proper money management and trade large volumes.

Remember, successful trading requires a clear trading plan, like the one outlined above. Spontaneous decisions based solely on current market conditions are generally a losing strategy for intraday traders.

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Foreign exchange is highly speculative and complex in nature, and may not be suitable for all investors. Forex trading may result in a substantial gain or loss. Therefore, it is not advisable to invest money you cannot afford to lose. Before using the services offered by ForexMart, please acknowledge the risks associated with forex trading. Seek independent financial advice if necessary. Please note that neither past performance nor forecasts are reliable indicators of future results.