E-mini S&P 500 Futures (Dec 2024) forum
A++ setup (primary)
Short the pop into 6420–6435
Trigger: 15m bearish context plus a 5m bearish close inside the zone (no exceptions).
Initial stop: 6448 (or last swing high if tighter).
TPs: TP1 6396 (scale ½) → TP2 6378 → TP3 6310.
Management: Move stop → BE only after structure break or 15m/30m close through TP1; trail runners by 15m/30m swings.
Flip scenario (only if invalidated)
If we accept above 6448–6450 (15m close + hold), I’ll look long on a retest 6448–6452 toward 6463 → 6476+, provided structure confirms.




Normally, absorption here = short trigger on confirmation.
But MOC module rules override:
• > $2B buy imbalance = expect directional push into the close.
Shorts are high risk into 3:50–4:00 ET because auction pressure can overpower supply zones.

Supply zone = 6417–6425.
5m close rejection inside that zone would confirm entry.
If price accepts above 6448 → that invalidates. Otherwise, this is the prime entry area.