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本帖最后由 zeebra 于 2010-6-4 18:49 编辑
All indices closed below 200/250MA again. And, closed below long term down trend line, except $COMPQ (see last 3 weekly charts)
Short term bounce is officially over. We are back to the big downtrend channel. But,
we are still in range bounce for now. so "Don't short now!"
If no bad news (such as one more PIGS, etc.) coming out over the weekend, Monday can be a gap up and close in small green, based on the buying with volume spike towards the end of the day today and NYAD / NYMO pattern (see $INDU).
Euro keeps sliding down (may test 107.71 level), US$ is very bullish (spring board), 30yr yield down, commodity index down, but GOLD up, someone is seeking safe haven. - not a bull friendly environment.
Have a good weekend. |
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