Expecting soft CPI with positive unemployment claims which might give the index a small spike upwards, mixed data likely expected.
Index might bounce and resume to drop, managed to get out of my shorts with a small loss last night, cancelled all pending sell limits, will be buying any pullback with an expected TP of 1900.
This gap has been messing with my head, hope it closes one way or the other soon
Index might bounce and resume to drop, managed to get out of my shorts with a small loss last night, cancelled all pending sell limits, will be buying any pullback with an expected TP of 1900.
This gap has been messing with my head, hope it closes one way or the other soon
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