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The pullback should be bought and probably is being bought.
Small gap up so likely just a range day.
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Breakout to the new day high with good looking bull bar then it's an uptrend day.
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The pullback might be bought but it made an uptrend day less likely.
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Breakout is more likely, I don't think it'd be a double top here.
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Evil site had something I did not read today where the headline claimed options SKEW indicated what is going on. As in why this market has not dropped. It is as if they all discussed things over the weekend at Hamptons parties that Monday was the most likely day to blow off over bought conditions but don't worry the options market makers are pinned at 4,300 so be sure and buy the dip.
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I assume the pullback will be bought again as we should always give bulls more credit.
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If we closed under 4335 ES, we will have negative price action for the day, tomorrow should be more weakness, above closed will be strong day tomorrow yet.
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My comments are for entertainment/educational purpose only. NOT a trade advice.