//Midterm Sentiment//
(days)
TrendPhase: Neutral/Bearish (Dec 31)
Orderflow: Neutral/Bullish (Jan 14)
------------------------------
(weeks)
Positioning: Neutral/Bullish (Jan 15)
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: 5939.25
Support:
Key takeways:
Yesterday’s CPI made fast macro model indicate bearish sentiment. Which affects positioning strategy to neutral or neutral/bullish because of double bearish warning (two red arrows printed).
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).