it's a pure systematic view , for the stop loss the better is to wait for a close below 0.7041 , we can hold for higher targets !
it's an update on my previous analysis of s&p 500. because of the retest of the price high 2842 , I saw an arrangement to do here. if the market break the 2652 there gooing to be a very high probability to test 2614 because of the void between these two prices using different fibonacci retracements. if the market break's the 2614 the target i see with high...
my humble point of view on s&p 500 i see entry on short between 2647 and 2626 the target gonna be 2475 the seconde is 2370