Many of you will be reading around that the S&P and various Indexes are pending a larger fall.
There is always a technical and fundamental reason for this, both of which you can see via news outlets or indeed by completing technical analysis.
And people do not make these claims lightly. Whether you are a day/intraday/swing/investor style trader it is still applicable to you.
So here is the lowdown (and top down).
Watch for more.
There is always a technical and fundamental reason for this, both of which you can see via news outlets or indeed by completing technical analysis.
And people do not make these claims lightly. Whether you are a day/intraday/swing/investor style trader it is still applicable to you.
So here is the lowdown (and top down).
Watch for more.
코멘트:
Looking to re short only at previous fallen support (new resistance)
코멘트:
Falling further. 4335 area is OK for light longs (advanced traders)
코멘트:
Still holding short bias until next key Price Action levels.
코멘트:
Minor rebound (do not fomo)
코멘트:
Shorts circa 4458
코멘트:
First entries likely to be lighter.
코멘트:
Still awaiting rise.
코멘트:
Light re shorts available.
코멘트:
Make sure your bias is RE short. Not heavy at all.
코멘트:
Still maintaining shorts on higher pushes.
코멘트:
Re shorts now applicable.
코멘트:
Todays news may tell you a lot about the market and where it is going.
Short bias remains.
Short bias remains.
코멘트:
Maintaining short bias on gap up open.
코멘트:
Further shorts even more applicable (RE approaching key resistance / Former Short Areas) Use your long term mind..
코멘트:
Re shorting lightly. Would not be enormously shocked if prev high broken. Short bias still remains.
코멘트:
PS ^Bias gets stronger on rises. Also similar bias across global index markets.
코멘트:
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Posts Not financial advice.