Out 3728.00 for loss of 2.5 ptsLong 3730.50 Initial stop 3724.00
Out of March at 3719.00 for gain of 24.75 pts.Out at 3702.50 for gain of 338.25 pts. I have rolled into March long at 3694.25. Reevaluation area will be 3307.00
I've moved long term investments to cash.---I'm not saying that you should do that.
Im looking for longs in the 3680 to 3690 area if we happen to dip down there this morning
Same as I always use-----charts-----the longer term ones look negative to me.Are you expecting some hedge funds to go bankrupt over the current market shenanigans.
What is your macro outlook based upon?
I can see 3250warning was issued, but I dont think the downside is done, might flush to 3650 to 3670