Hi everyone,
I'm out from NASDAQ since mid-October, had a feeling that too high pricing combined with issues to come (inflation, bubble areas) will hurt bad.
I'm not that experienced to post on IXIC or SPX, but I think I share what I was looking at when distancing from risky positions:
- 100 week MA
- 200 week MA
And a dozen more reasons, including fundamental ones, but I think the distance from the above 2 explains everything.
I'm watching their area as bottoming targets: if wee reach 100week before July, I'll keep watching for Target 2.
If we have a solid and longer bottoming at 100 week around or later than June, I might believe that Target 2 will not come.
Cheers, and happy dip buying if you have patience and self-control to wait,
Antonio
I'm out from NASDAQ since mid-October, had a feeling that too high pricing combined with issues to come (inflation, bubble areas) will hurt bad.
I'm not that experienced to post on IXIC or SPX, but I think I share what I was looking at when distancing from risky positions:
- 100 week MA
- 200 week MA
And a dozen more reasons, including fundamental ones, but I think the distance from the above 2 explains everything.
I'm watching their area as bottoming targets: if wee reach 100week before July, I'll keep watching for Target 2.
If we have a solid and longer bottoming at 100 week around or later than June, I might believe that Target 2 will not come.
Cheers, and happy dip buying if you have patience and self-control to wait,
Antonio
Feragatname
Bilgiler ve yayınlar, TradingView tarafından sağlanan veya onaylanan finansal, yatırım, işlem veya diğer türden tavsiye veya tavsiyeler anlamına gelmez ve teşkil etmez. Kullanım Şartları'nda daha fazlasını okuyun.
Feragatname
Bilgiler ve yayınlar, TradingView tarafından sağlanan veya onaylanan finansal, yatırım, işlem veya diğer türden tavsiye veya tavsiyeler anlamına gelmez ve teşkil etmez. Kullanım Şartları'nda daha fazlasını okuyun.