Darn news can stuff things up. (Sympathies 4 the decline btw)
Was the quarterly not up to expectations or was the bloodbath responsible for weakening this chart?
Want observe 7.1 / 7.0 remain unfettered & SP to crack tech resistance between 8.2 & 8.7 tomorrow so that it doesn't retrace any further over the next few weeks b4 rebound.
Don't know if news was negative or if it was an overreaction triggered by the Dow?
(Maybe a fundamental analyst can enlighten me?)
Tomorrow's another day anyhow, hopefully a more positive imprint on chart. (GL)
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