Panic Sell-Off or Golden Pullback? Robinhood at a Critical Level

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Panic Sell-Off or Golden Pullback? Robinhood at a Critical LevelRobinhood Markets, Inc. Class ABATS:HOODisahebdadiOn the daily timeframe, the stock corrected sharply from the $150 peak and is now retesting a major support zone around $65–70, a previous resistance turned support (role reversal). Short-term moving averages are sloping down, indicating selling pressure. However, this level is structurally important. Short-Term Outlook (Next Few Weeks) Bullish Bounce Scenario If price holds above $72–75: •🎯 Target 1: $90 •🎯 Target 2: $105 •🎯 Target 3: $120 •⛔ Stop Loss: Close below $65 Bearish Continuation Scenario If $65 breaks: •🎯 Target 1: $55 •🎯 Target 2: $45 •🎯 Extended: $38–40 •⛔ Stop (short): Close above $78 Long-Term Outlook (6–12 Months) Macro structure still shows higher highs and higher lows unless $55 fails. Long-Term Bullish Case If price reclaims $100: •🎯 $130 •🎯 $160 •⛔ Investment Stop: Breakdown below $55 Fundamental Snapshot Robinhood Markets, Inc. generates revenue from: •Payment for Order Flow •Options trading •Crypto trading •Net interest income Growth drivers: •Higher market activity •Expanding user base •Product diversification Risks: •Volume dependency •Regulatory pressure •Competition with Charles Schwab Corporation and Interactive Brokers High beta stock — explosive in risk-on markets, fragile in risk-off phases.