3/10. Bearish-Choppy. 300+ Buying. T2108 is Bearish. Primary Indicator is Neutral. 20% Weekly is Bearish.
Market is showing a defensive shift with selling pressure dominating. Notable caution in SPY and QQQ as price action struggles near key resistance zones. Rising volatility (VXX) signals market unease. Defensive sectors (XLE, XLP) holding up while growth and tech names show weakness. SOH. Watch for intraday liquidity traps and flushes, especially post-11 AM EST. Prioritize risk management with tight stops on breakdown entries. Keep an eye on upcoming macro catalysts, tariff risks, and earnings-related volatility.
Viz: T3A, SS, FHP, FFM, ACE, ABC, CRT, SAV, TTT/TT, PLASTICS, OLC, 2LYNCH, DARVAS, SUGAR BABIES, IPO10, BUCKETS, EG100, BILL10, No Size, No FEE