by
prestonni
on
Jan 28, 2020 •
Guys, i post below a quick tactical update here given the step change in volatility from the recent market movements. US Risk SP500 and Technology have both over shot and reached record overbought territory on their weekly and daily time frames. With sentiment at contrarian levels and the SP500 reaching 3350, risk markets have moved...
by
prestonni
on
Mar 26, 2019 •
Apologies for the delay in posting this. This is last week’s update but the analysis is sound and I will update in the next 48hrs with the latest print. US Risk: After the early March risk pullback, following the tactical pattern, where into option expiration you often see the market holding up its 30 to...
by
prestonni
on
Mar 1, 2019 •
Evening guys, For those that have sold, gone short or hedged this rally its been a patient trade for the last few weeks during which many indicators have been showing impending weakness but price has kept drifting high in this bear squeeze with an absence of any contrarian sentiment top in place. US Risk: This...
by
prestonni
on
Feb 19, 2019 •
Evening gents and apologies for missing last week’s report point. All assets markets have a positive tail wind here with dovish comments from the several of the major central banks and what appears to be the last gasps of a renewal of the “bad news is good” theme of the last decade. Lead indicators like...