Bearish on indices this week. I think we need to revisit pre-CPI prices and that the market is generally overbought. Monitoring intraday price action for opportunities as always.
Catatan
Long on US500, we took sellside from last week and there is a huge weekly open gap that hasnt been filled.
Catatan
Relative equal lows are a risk. But i suspect these will be targeted later not right away
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