//Midterm Sentiment//
(days)
TrendPhase: Neutral/Bearish (Dec 31)
Orderflow: Neutral/Bullish (Jan 14)
------------------------------
(weeks)
Positioning: Bullish (Jan 10)
Dealers: Neutral (Oct 30)
------------------------------
(months)
Seasonality: Bearish (Jan 2)
//Longterm//
(Years)
Great Cycle: Bullish (since March 2020) until 2027/2028
Intraday TrendPhase: Neutral
------------------------------
//Actionable Levels//
Resistance:
Pivot: 5860.5
Support:
Key takeways:
First of all, sorry for the lack of posts yesterday. Unfortunetly I am travelling for few days and this time I decided to go lighter than usual in sense of mobile workstation. I thought I really made it work nicely through virtual machines and small tablet but it apears its a pain to prepare everything as I do each day with such minimal setup. I still need to work on that. Anyway, I will try to post most important changes in these days but probably without some parts, charts, metrics.
Watch out with CPI today, it might change macro reading and affect positioning strategy.
Yesterday’s Intraday Trading Recap:
Notes/Observations/Issues:
Pre-Open Commentary distills key takeaways from the analysis of the London GEX and Structure posts and also serves as my personal journal (sort of).