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SPX500 Index – Ready for the Next Pullback Heist Move?

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🚨 SPX500 / US500 Index – The Money Heist Swing Plan 🎭💰
📊 Plan Overview
Bias: Bullish 200-SMA Pullback Plan @ 6380.00

Entry Strategy (Layering Style):
Thief strategy = multiple buy limit orders stacked like layers 🎯
6400.00 ✅
6410.00 ✅
6420.00 ✅
6440.00 ✅
(You can increase or adjust the layering based on your own style and risk tolerance.)

🛡️ Stop Loss (Thief SL)
SL: 6360.00 ⚠️
Dear Ladies & Gentlemen (Thief OG’s), adjust your SL to fit your risk style. This is just the plan’s guardrail.

🎯 Target / Exit
Target Zone: 6580.00 🚀
Note: This is the “Police Resistance” 🛑 – an overbought + trap zone. Escape with the stolen money 🎭💰 before getting caught.

Reminder: Not financial advice. You decide where to take profits.

🤔 Why This Plan?
🔹 200 SMA Pullback Logic: Price retraced into moving average = classic thief-style entry.
🔹 Layering Strategy Advantage: Building positions gradually improves average entry price & reduces risk.
🔹 Momentum & Sentiment: Neutral Fear & Greed Index (53/100) 😐 and low volatility (VIX 16.9) = stable environment for pullback entries.
🔹 Market Strength: US500 is up +16.81% YTD 🚀 with strong sector support (Alphabet +8.57%, Macy’s +19%).
🔹 Risk Factor: Economic data shows weakness (job openings & factory orders ↓), but bulls remain in control = reason for cautious layering.
🔹 Overall Outlook: Bullish score 65/100 ✅ → Mildly bullish bias fits perfectly with a buy-the-dip pullback strategy.
🔹 Trap Zone Awareness: Plan exits near resistance at 6580.00 to avoid overbought trap — thieves always escape before alarms go off 🚨.

📊 US500 INDEX CFD Real-Time Data (September 03)
Daily Change: +0.51% ↗️
Monthly Performance: +1.87% ↗️
Yearly Performance: +16.81% 🚀
All-Time High: 6,510.93 (August 2025)

😰😊 Investor Sentiment: Fear & Greed Index
Current Reading: 53/100 (Neutral) 😐
Trend: Balanced sentiment with no extreme fear or greed.

Key Indicators:
Market Momentum: S&P 500 above 125-day moving average (positive momentum) ↗️
Volatility (VIX): Low volatility (16.90), indicating stability 🟢
Options Activity: Put/Call ratio stable (no significant fear)
Junk Bond Demand: Moderate risk appetite
Safe Haven Demand: Bonds underperforming stocks (greed signal)

📈 Fundamental & Macro Score

Market Breadth: Moderate (balanced volume) ⚖️

Economic Data:
Job openings lowest since Sept (weakness) 🔻
Factory orders down -1.3% 🔻
Friday’s jobs report = critical ⚠️

Sector Performance:
Communication services (Alphabet +8.57%) 🟢
Consumer discretionary (Macy’s +19%) 🟢
Energy sector weak (Exxon Mobil -2.08%) 🔻

🐂🐻 Overall Market Outlook
Bullish Score: 65/100 (Mildly Bullish) ✅

Reasons:
Strong yearly gains (+16.81%)
Low volatility & neutral sentiment support stability
Tech & communication sectors leading momentum

Risks:
Weakening job & factory data
High valuations near ATH

💡 Key Takeaways
US500 trending upward with neutral short-term sentiment.
Friday’s jobs report = key catalyst.
Sector rotation in play: tech strong, energy weak.
Balanced fear/greed supports controlled bullish setups.

📌 Related Pairs to Watch
SPX500
US500
DJI
NDX
VIX (for risk gauge)

✨ “If you find value in my analysis, a 👍 and 🚀 boost is much appreciated — it helps me share more setups with the community!”

#SPX500 #US500 #IndexTrading #SwingTrade #LayeredEntry #SMAPullback #TradingPlan #StockMarket #SP500 #InvestorSentiment #FearGreed
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📈 Live US500/SPX500 INDEX CFD Data
• Current Price: 6,715.79 USD – The index is trading flat today, showing minimal movement in early sessions.
• Daily Change: +0.01% – A tiny uptick from yesterday's close, reflecting steady but cautious trading amid global cues.
• Open/High/Low: Opened at 6,722.14, hit a high of 6,750.87, and dipped to 6,705.67 – This range captures intraday volatility driven by economic previews.

🔍 Fundamental & Macro Score Points
• P/E Ratio: Not directly available in live feeds, but historical context points to elevated valuations around 25x earnings – Measures how pricey the index is relative to profits, signaling growth expectations.
• Macro Overview: Solid growth backdrop with balanced risks – Key points include robust GDP expansion and controlled inflation, supporting equity stability without overheating.

🍂 Seasonal Tendencies
• October Performance: Historically strong with average +1.4% gains – US stocks often rally in Q4 starts, bucking any "scary October" myths from past crashes, as data shows consistent positive returns over decades.

💰 Interest Rates
• Fed Funds Rate: 4.00%–4.25% range after September's 25bps cut – Effective rate at 4.09%, easing borrowing costs to fuel economic activity while curbing slowdown fears.

📊 Inflation Rates
• CPI YoY: 2.9% as of August – Up slightly from 2.7%, but within Fed's comfort zone, indicating cooling pressures from energy and goods without wage spiral risks.

📈 GDP Rates
• Q2 Growth: 3.8% annualized – Strong expansion from consumer spending and business investment.
• Q3 Estimate: 3.8% – Steady pace expected, highlighting resilient economy despite policy uncertainties.

🏦 Bank Orders (Institutional Positioning via CFTC)
• Net Positions: Heavily net long at 915,843 contracts – Asset managers hold 58.9% long vs. 12.2% short of open interest, showing big players betting on upside through futures.

😊 Retail Traders' Sentimental Outlook
• Bullish %: 43% expecting rises – Retail crowd leans optimistic but not overheated.
• Bearish %: 18% – Minority cautious, with 39% neutral; overall mood measures moderate confidence in near-term gains.

🏛️ Institutional Traders' Sentimental Outlook
• Long %: 59% of positions – Pros are aggressively positioned for growth.
• Short %: 12% – Minimal downside bets, signaling strong conviction in sustained bull run.

📈 Overall Mood of Investors
• Investor Sentiment: Balanced neutral with bullish tilt – AAII survey shows steady expectations for 6-month upside, tempered by government shutdown noise but buoyed by earnings season kickoff.

😱 Fear & Greed Index
• Current Value: 54 (Neutral) – Markets neither panicked nor euphoric; indicators like volatility and safe-haven flows point to even-keeled trading, avoiding extremes.

🐂 Overall Market Outlook Score
• Bull (Long) – Data across rates, growth, and positioning favors upward bias; no red flags for immediate reversal, aligning with seasonal strength for measured gains.

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