i am seeing some similaraties with last month
up hard aorund the middle of the week before opex
and then down hard next week
just looking at a long term point and figure chart with box sixe 10
S&P 500 has two options
go to 1.430 and we have a triple bottom sell and we go down hard
or go to 1.500 and we have a monster triple buy signal and then i'm thinking we go to 1.610-1.650 before we go anywhere down
Why??!!!
Started by
relax
, Sep 11 2007 02:33 PM
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