Two false upside breakouts and bearish MACD divergence. It's better get out of position, if you have one. But company (stock) is fundamentally strong, so no shorting.
Pair trading - TATN short, Novatek long - MSCI rebalancing august or november
VIX calmness and S&P hyperbolic rise bothering me to go long.
VYM weakness sends dangerous signals for all markets
GAZP short intraday (30 min)
wish to buy for dividends, but afraid of this chart.