The SP500 is in long consolidation and it looks like it is near to its end.
I am considering two scenarios:
1. After debt ceiling deal – when they increase debt limit – the price will break up as a bull trap and will bounce from the next resistance.
It will fuel the price to push to the targets – near pandemic bottoms.
2. The price, after the deal, will do correction of last decline and will continue to drop till meet the targets.
I am considering two scenarios:
1. After debt ceiling deal – when they increase debt limit – the price will break up as a bull trap and will bounce from the next resistance.
It will fuel the price to push to the targets – near pandemic bottoms.
2. The price, after the deal, will do correction of last decline and will continue to drop till meet the targets.
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👉👉👉👉👉 discord.gg/PbPRA8Srvq 👈👈👈👈👈
Go and check our YouTube!
GLOBAL: youtube.com/@manticoreinvestments
POLAND: youtube.com/@manticoreinvestmentspolska
Penafian
Maklumat dan penerbitan adalah tidak bertujuan, dan tidak membentuk, nasihat atau cadangan kewangan, pelaburan, dagangan atau jenis lain yang diberikan atau disahkan oleh TradingView. Baca lebih dalam Terma Penggunaan.
JOIN:
👉👉👉👉👉 discord.gg/PbPRA8Srvq 👈👈👈👈👈
Go and check our YouTube!
GLOBAL: youtube.com/@manticoreinvestments
POLAND: youtube.com/@manticoreinvestmentspolska
👉👉👉👉👉 discord.gg/PbPRA8Srvq 👈👈👈👈👈
Go and check our YouTube!
GLOBAL: youtube.com/@manticoreinvestments
POLAND: youtube.com/@manticoreinvestmentspolska
Penafian
Maklumat dan penerbitan adalah tidak bertujuan, dan tidak membentuk, nasihat atau cadangan kewangan, pelaburan, dagangan atau jenis lain yang diberikan atau disahkan oleh TradingView. Baca lebih dalam Terma Penggunaan.
