After a 12% pullback, NQ is retesting price levels from 400 days ago, and to many, it looks like a crash is coming. But what’s really driving the jitters?
1.Apple’s sales concerns & downgrades
2.Tariff fears (that haven’t even been imposed yet)
3.Doomsday takes on the U.S. economy
Sounds familiar? Same melody, just different words.
Yes, the stop is wide, but the profit target from here is at least 5X.
The question is—who sees an opportunity, and at what levels?
1.Apple’s sales concerns & downgrades
2.Tariff fears (that haven’t even been imposed yet)
3.Doomsday takes on the U.S. economy
Sounds familiar? Same melody, just different words.
Yes, the stop is wide, but the profit target from here is at least 5X.
The question is—who sees an opportunity, and at what levels?
註釋
if i had more than one contract, i'd take profits. but i only have one, so i'll let it run and watch what happens...免責聲明
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免責聲明
這些資訊和出版物並不意味著也不構成TradingView提供或認可的金融、投資、交易或其他類型的意見或建議。請在使用條款閱讀更多資訊。