Without sending like the mediocre pessimistic hotcopper investor, don't set your expectations too high this week for the following reasons:
- S&P500 has been copping a 'bear battering', MA20, MA50, MA100 and MA200 are all pointing to another leg down as well as r1-3 pivot points.
- The recent increase in SP has been on small volume relative to our median trading volume, this is commonly referred to as a 'low volume pullback' and is generally attributed by weak longs and is an unreliable indicator for determining a reversal.
- The recent increase in short positions with production literally days away. we're at a historically high level of shorters relative to SOI, currently 10.69%!!
For these reasons I believe we're unlikely to see an appropriate re-rate in the short term.
Cheers boys, enjoy your weekend.
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Open | High | Low | Value | Volume |
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No. | Vol. | Price($) |
---|---|---|
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Price($) | Vol. | No. |
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122 | 26850530 | 0.032 |
42 | 21986343 | 0.031 |
94 | 18670915 | 0.030 |
24 | 5463324 | 0.029 |
Price($) | Vol. | No. |
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0.035 | 11795131 | 36 |
0.036 | 5408357 | 15 |
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