6/13
SA: Cautious. Strong 300+ buying. T2108 is Bearish. Primary Indicator is Bullish. 20% Weekly is Bullish-Caution. Market gapped, faded after FOMC, then stabilize before close. Choppiness likely to continue. Selective Delay-9M on thematic high fund ownership with catalyst works. Focus on A quality 9M+, 9M delay reaction with thematic catalyst. Look for low risk entry near support less than 2.5% LOD stop and aim to peel 80% off then trail 2%/$2/1R
Viz: SS, FHP, ACE, ABC, CRT, SAV, FFM, T3A, TTT/TT, PLASTICS, OLC, 2LYNCH, MAGNA53, NTRT/MTRT, COUGAR, SUGAR BABIES, IPO10, BUCKETS, EG100, BILL10, No Size, No FEE
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ROP