S&P at the support trendline from last October. High risk to be long because overall market is bearish. US10Y still above October high Nasdaq under 100 day EMA
TP: Gap fill TP2: Top of the resistance trendline SL: On daily close break of the trendline. Minimal losses
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HSU
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There may be a lot of noise so all that matters is the weekly close
Order cancelled
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Really weak bounce. Monitoring.
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Leaning bullish because of bullish divergence on the lower timeframes but week confidence on that, let say daily price action