US500 likely we are at a top and will have a correction. Momentum has slowed and more dips have been happening aswell as volume decreasing. Signs these levels are not sustainable.
When the correction happens their will probably be a major global news for the fundamental reasoning behind it.
Current price is a great opportunity to short but i would wait till *4450$ Stop loss *4500$ Take profit *4000$
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So far playing out exactly how i anticipated. Still not sure if the Taliban news was the catalyst i was saying would be the fundemental reason behind the dip.
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Guys i know the trade hit stoploss and im currently at loss but i just can feel that it will dip, might be a bad emotional decision from me but im going to continue holding this till 4550 * personal updated stoploss 4550