ES is still trading in the range between 3470 (yesterday´s high, also selling tail), and 3411 ( Monday´s buying tail and low of the session) , yesterday´s low is weak so i am looking this point to be repaired and then i would like to see a directional move until 3411 to see if market can hold this zone, i think that yes because of Monday´s activity at 3500...
TSLA is in a bullish trend and it is forming a bullish triangle during the last weeks between 329,82 and 502,5 , we are looking on the open interest tab that the highest open interest strikes are at 400 and 500 price, so the market is showing us a bullish sentiment for the earnings report, let´s see what is going to happen with TESLA
Yesterday we got a doble distribution structure with no value migration to the downside, it seems that today we are going to have an inside day, we are opening above yesterday´s rally high (3427,5) and for that reason the overninght inventory is also 100% long so i would expected a correction to the inventory and generate value in the range between 3423-3450 for...
Prices broke´s up 78,20 resistance last two weeks, after that OMCL is having a rotaion above this level, for that reason, if we get to this level again i am going to look for longs
Price rejected previous price spike because we are opening above this level and we are in balance related to friday´s range, in the other hand, previous rally high (3500) is poor and this is one of the reasons of the spike rejection, how ever, 3500 needs to be repaired, so i am looking for longs at 3483,5 to complete this poor rally high structure
Price is opening above previous pullback low (40,96) so bulls are in control, eventhough, this pullback low is poor so if we want to look for a good movement to the upside i want to see a correction of this level, after that we can look for continuation,how ever, previous high is poor (41,21) so it tells me price needs to be repaired at this zone, something that...
Price is above yesterday`s pullback low (3463,25) so bulls are still in control, i am expected a little push until 3493 to repair the weak structure from wednesday`s session, so i would like to look for longs above previous high to look for 3493, or if price sell off in the first part of the session i would like to get involve on the pullback low to trade until...
Overnight inventory is a 100% short, we are above previous pullback low 40,40, for that reason the situation has not changed yet and bulls are still in control, i would like retest of this zone to look for longs at this level. the other idea is if price can hold above previous high i would like to look for longs until 41,55
We are opening in a gap down over the 0910 Gap up, so we are getting th inventory correction, let´s see if it holds, i believe that it is going to hold, why? because yesterday´s rally high is poor and also it is in halfback, for that reason, i believe that the sellling from this point is emotional, so for today i think we can have a bullish day, if not i think we...
AAPL is opening below rally high from yesterday, we are going to look for shorts in this level 122,2 until 121 and previous low (119,65) because the auction to the downside is still incomplete
Price is trading below the rally high so the context is still the same as yesterday and also yesterday´s low is weak (3491,5), how ever, ES is trading in balance, for that reason i am going to look for a break below balance to the downside (3503), also good places to get short is below 3491,5 to fill the gap from Monday´s session.
Price is opening in value and it is trying to hold previous pullback low (3522,75) this is the key level to see if things have changed relative to yesterday´s auction, Premarket price is balance and his POC is the pullback low, so i am going to look for a break below premarket low (3510,5) to look for shorts because yesterday´s range has a lot of anomalies in his...
Price is repairing Monday´s gap, and it is opening in a small gap up relative to previous range, there are two hypos for me today, the first one is CL goes higher and could reenter to Friday´s range (above 40,38) first target will be 40,77. and the other hypo, is price will repair the anomally that price has in resterday range between 39,87 and 40,07, if this...
ES is having a bullish trend last week, today we have a gap up , eventhough i have to wait to see what market wants to do, of course if the initial balance is bullish go with the trend, eventhough, i am gonna wait for 3473 support to get involve with longs. the other trade we can expected is a short balance today getting acceptance of the gap. today´s i can not...
CL is opening in a gap down, eventhough, the premarket structure is pretty balance between 39,80 and 40,45, for that reason i am going to look for shorts at 40,40 zone if price goes there again or if price can break below 39,8 i am going to be very berish in this zone, nd it would be the perfect trade for me
DXY is dying for that reason GBPUSD is showing a good chance to be long, but we are waiting for the confirmation oF the break ouT, this week we are going to see if price can hold above 21 and 50 Daily EMA to get involve
Price last weeks has been consolidating range after a lot of times doing higher highs, and in the daily chart price is holding 50 EMA and 21 EMA, for that reason we are currently long until 37,5 zone
ES is opening in a pretty balance gap up, so i have to wait for the premarket high (3459) break to get involved , and the other hypo is looking for the acceptance of the gap to wait for pullbacks at 3438 and take longs from there. The premarket balance tells me that today can be a pretty balance day but let´s see what is going to happen.