FX:SPX500   مؤشر ستاندرد آند بورز 500
6
- From 2080 it could have fallen but a breakout was possible.
- Eventually A breakout occurred and was magnified by some good news.
- The last "good" news was the 4 months deal in Greece which can only have short term impact.
- From here the upside is very very limited or at least can only occur in slow motion..

My position is still short through the put spread march 2000/1930.

4 weeks to go.
i think there is a risk next week flat and a small risk the rally persist to 2140 circa the 20th of March 2015.

from a feeling perspective: i feel this breakout is a fake and think the market will correct 10/12% from here no later than in 1week.

التحليلات ذات الصلة

إخلاء المسؤولية

لا يُقصد بالمعلومات والمنشورات أن تكون، أو تشكل، أي نصيحة مالية أو استثمارية أو تجارية أو أنواع أخرى من النصائح أو التوصيات المقدمة أو المعتمدة من TradingView. اقرأ المزيد في شروط الاستخدام.