11yr bullish continuous expansion trend. Market peaked in 2021 Dec. The bull reached the all time high since the markets introduction. I note the FIB to identity a liquidity pool I believe I see. Noted equal lows from Aug 2015 and Feb 2016. Noted the monthly equal lows/highs. Noted a Monthly FVG. I suspect that there is an abundance of liquidity for long term short. There is enough evidence I can only anticipate run on short for retracement to lower liquidity back from 2018 if not 2012?
This index is energy, real estate, FTSE, communications, smart money 2000?
Big news trends, inflation threats to basic needs, investors from all markets moving money, shifts with CDBCs, and digital currency threat, leads me to believe that this market with recapitulate because smart money is about to fall geographically. I would bet a long term short.
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