Imho, the worse is likely in and even if we get a pullback, we'll chop around near the lows.
- Swing failure at range low
- Previous lows and range low defended
- Previous year high defended
- Reclaimed 200MA on daily
- Reclaimed POC
- Time + Price based capitulation likely done
- Possible selling climax in
Disclaimer: This post should NOT be construed as investment advice and is meant for learning purposes only. Please consult your financial advisor before making any investments.
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