3/5. Bearish. 300+ Selling. T2108 is Bearish. Primary Indicator is Bearish. 20% Weekly is Bearish.
Futures are pointing to a higher open, but the overall trend suggests caution. With tariff uncertainties still a factor and a mix of corporate earnings misses, look for possible opportunities in strong thematic plays with high relative strength. Avoid chasing strength in the morning. Look for low-risk entries near support, ideally with a tight stop (under 2.5% LOD) and potential for follow-through. Favor defensive sectors and selective 9M stocks with a delayed reaction to news catalysts. Consider peeling off gains early and trailing stops to protect profits.

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