A volatile week but no structural changes, or changes in the directionality. It seems the path to downside has been painted. But when it comes to the market nothing is guaranteed. One needs to think from the change or no change of current context. As of now, the H&S remain broken, the upside channel is broken. Nevertheless, my scenario 1 is a horizontal development (consolidation) to build enough energy to either regain the channel bottom or resume the downside. A premature move up, thanks to one company earnings, had failed but don't assume it is over for the buyers. My scenario 2 is a push lower, could be premature as well.
Assumptions/predictions are the source of frustration and losses.
Let the market show which scenario is in play and tag along with no questions asked.
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