As mentioned above
http://borsaronero.blogspot.com/ 2011/01/nasdaq-26-1-11.html was
expect a serious drop-down, perhaps after a new high. The graph
"official" has marked this new highs on menre remained fairly distant future, I may say so caught up on both of us;)
Descent Friday was heavy, with large volumes, while the lowest I could detect numerous purchases, although for once, failed to cause recovery of the usual end of session.
Surveys accumulation unloading point out to me (long) a strong discharge of medium to long term and with the purchase of an accumulation of short yesterday.
Currently there are two possibilities.
Given the short accumulation you could have an immediate rebound that would target 2300/2307, where he again groped a short. To be considered for various reasons over the 2300, especially if it extends slightly downward before rebounding. Stop
obviously above the maximum to 2335

Alternatively, since the discharge of long, the fall could continue even with a gap down and another heavy session, in which case no I see technical levels suggest that the entry and I'll have to redo the calculations on the basis of a future rebound.
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