標準普爾500指數

Equities Tail Risk - Be flat or short for 5 days NOW

290
1970/2220 is key pivot for many reasons...

Next few days have limited upside.

In this context, it is not worth keeping long for a few days until ISM is out.

STAY out or short with tight stops.

THIS IS NOT A CALL - THIS IS JUST A TAIL RISK AND ITS MANAGEMENT - Just now worth being long here.

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