S&P Daily Pre-Market Prep 7/1/16
We are now at the top of the medium term range. So looking to see if we can really pop the highs or if we'll roll over to the bottom of the range.It's 4th July on Monday though - so it may well be a...
We are now at the top of the medium term range. So looking to see if we can really pop the highs or if we'll roll over to the bottom of the range.It's 4th July on Monday though - so it may well be a...
Today should be interesting. It's the end of the month, so it's quite possible we get an end of month push up. More importantly, the stock markets seem to have brushed off the Brexit. As we approach...
We are back into our range, volume is high but dropping. I'm still wary of news events but now presuming we are travelling to the top of the range.
As we drop, it's worth bearing in mind that bargains will appear. I can't quite wrap my head around Capita going down so much because if government work increases (which it will to handle the...
Thursday was a ban on exit polls - so no real news then.Friday we saw a wild ride overnight but relatively sedate in the day time.For the next few days, I'm "100% non-technical" and looking out to...
An interesting day ahead for sure. I'm sitting to one side but instead of explaining why, let me relate a story to you.
Today has huge news risk. That means at any time during the day, we could see exit poll data in the UK that shifts the market suddenly in any direction.
Still biased downside. We have 3 overlapping days, so we could be settling into a range.
Volume very high yesterday but we really didn't get anywhere in the day session - we closed just above the open. So we had some buyers stepping in just above 2050. I'm still biased to the downside.
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