3 push down then strong rebound (so far) so maybe the range low was in. now the question is where the range high is.
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OK, so all around the planet PMI's are dropping. Apartment sales in China are down. Bond rates are falling along with loan applications. Analysts have dropped next quarter earnings to negative year over year. The real surprise is that funds are buying defensive issues instead of going straight to cash, but as fund managers have said in the past nobody will pay fees for having their money held in cash.
testing day high, if break through then the gap probably will be filled today.
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1st test of ema20 in 2+ hours, so maybe the pullback will be bought.
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