Two false upside breakouts and bearish MACD divergence. It's better get out of position, if you have one. But company (stock) is fundamentally strong, so no shorting.
Rusgidro buying plan
Pair trading - TATN short, Novatek long - MSCI rebalancing august or november
VIX calmness and S&P hyperbolic rise bothering me to go long.
VYM weakness sends dangerous signals for all markets
GAZP LONG
GAZP short intraday (30 min)
wish to buy for dividends, but afraid of this chart.