Our Big picture ideal target area is still around 12-13 K We have here Double bottom scenario what can result one stronger pullback before our main target! Much depend on S&P 500 next movement with little differences, but this can still happen
Let's maximize our probability the rest is only question of risk management!
DISCLAIMER
Taking a risk on the markets based on this idea is only and only your decision. You profit is your success and you are only responsible for your potential loss.
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