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Big Short, right now

483
It look like everything is fuxxed up.

Yeah it is somewhat lower price than I expected, but I feel this is the moment that I have waited for few months.

I cancel all my previous posting and will short it right now.

Nota
syot kilat
I am wating for one more bounce play before pulling the trigger.





syot kilat
double top -> deep correction 0.886 fib which we have seen in 2 weeks ago in 4hr-day time frame.


The malicious driver is shaking market so badly lol. GL
Nota
syot kilat

It seems like there is no bounce play opportunity
Unless it breaks down trendline in left chart(yellow area), we need to be ready to short @ our original target point .

so, get ready
Nota
syot kilat

As it broke down trendline in left chart yesterday, we couldnt convince uptrend at that time.

However, there was a fake breakout, which we have seen soooo many times for last 1 month. So, I still think we are heading to our goal 4240(in ES1! 4230).

We are in NO TRADING ZONE right now, dont be shaked off by market maker, until that point
Nota
syot kilat

Aim
Nota
we might see new ATH and final top.
Today will be most interesting day, I will update it when I pull the trigger :D
Nota
we might missed the train lol anw, I will hold some short position for long time , GL
Nota
syot kilat
Suprisingly, it constructed double bottom, trying to hold it before market open.





So, is it bullsih signal?
Well, It looks obiously bearish if we look at es1/eurusd chart:
(someone explained why we should watch es1/eurusd very well in his posting before, but I cannot find it lol)
syot kilat
As we can see, it has been failed to make HH since 16th of Aprl.
But at the same time, we might get possible one last chance to catch pinpoint short based on this es1/eurusd chart.




In colclsion we are not sure everything
What we can do is prepare for different scenario.
Lets try to answer few questions.

1. Should I long/short now? -> absolutely no
2. Should I short at 4238? -> probably... but maybe little higher?
3. Will it make new ATH? -> maybe? Tbh it doesnt really matter, we just need to look at the PLCS point.
4. Should I short at the PLCS if it goes up? -> absolutely yes
5. When should I stop loss if it sky-rockets? -> if it obviously breaks up upper trendline.
6. What if it goes down directly? -> try to catch short at pull back

These are my current plans for next few days(or maybe week?)
Wish me good luck
(I will delete above updates soon, coz they are now invalid)
Nota
Fire

I think this is the moment.

short it and pray for depression

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