Generally market does opposite to normal people thinks. Please take it easy, no one knows what will happen, I do not claim to know similarly and do not hate me I am just seeing the other side. I do not care long term where it goes but for the short term it does not look good.
This is just my opinion how it MIGHT behave. Remember any one tells you they know 100% what is going to happen, that means they are trying to manipulate. If anyone starts mocking means they are bag holding and has deep fear.
Monday: Red candle. Opens higher or flat and then heavy sell off. Possible close around 140 or lower.
Tuesday: Green Candle, Continues to go higher whole day, making higher than Monday's close. Mainly due to relief rally in broad market. (Possibly the best/last opportunity to sell in recent time). This is specially designed to misguide retailers making them think exactly ok and to distribute to them. Possible close 160 or higher.
Wednesday: Holiday but most likely you will regret you sold on Monday sell off or you will be happy that you still hold and super happy as price went higher on Tuesday.
Thursday: Super Red, Super puke and nothing to do with 4C. 4c will be just a reason to go down. Last quarterly had 112k income, this quarterly will likely have less. Possible to touch around 119c. Because of Tuesday's rally you will have HOPE that it will come back. But most likely it may not come back higher.
Friday: Red candle a dead stock by that time. Likely to close the week between 94c to 119c
@Dirac I will have deep respect for you if it follows your prediction but for now It is going to do what I mentioned above.
Chart, page-16194
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