Multiple fakeouts, multiple wedges/continuations = MANIPULATED

This market behaves like nothing we've seen. I'm short since 22,500 and wrecked, HODL'ing my trade. Multiple consolidations and continue patterns broken down and rebounded. Who's rescuing? Who is buying stocks on good, bad, neutral and no news? Something stinks, but the reality of the disconnect between market and economy must come home to roost. Stay short or stay out. Best of luck
FibonacciTrend Analysis

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