http://s13/mw690/001wR27egy6W4A6niCUdc&690
最后一个回撤的斜率是反向通道的斜率
两个楔形突破的方向不同,方向突破 第一目标 楔形开始的地方 即通道起点,
顺向突破则是一倍幅 楔形的垂直高度为目标
1 Y(yesterday) = was weak bull. G(gap) up but bear bar so POSS(possible) HOD(high of the day), HH(higher high) MTR(major trend reversal) so ok swing S(sell or short) and maybe scalp, but small bar so TR(trading range) most likely.
2 Bull RB(reversal bar) but small bar again. Bears might get out above but too far above MA(moving average) and too much SGP(selling pressure) since 56 to B(buy or long).
4 SW(sideways) bars and tails. Better to exit S(sell or short) before report.
6 MDB(micro double bottom), or, but report. Wait.
7 BO(breakout) but big tail so not strong, but big enough body so more up likely.
8 FT(follow through) but tail.
9 Bear RB(reversal bar) but 1t body so not HP(high probability) so swing only or wait. Might be BRS(buyers) below.
10 C(close) on L(low) so better for bears but lp since 7 8 have big bull bodies, W(wedge) 72 HH(higher high) MTR(major trend reversal) and top of channel 18 65 Y(yesterday) so POSS(possible) HOD(high of the day). Might SCS(swing and maybe part scalp).
12 Bear BO(breakout) so move stop to above its H(high), but tail so still TR(trading range) pa. Better to scalp at least part.
13 IB(inside bar) so F(fail, failure) bear BO(breakout) and BP(breakout pullback) B(buy or long) from 7 BO(breakout), but 5 bar bearMC(microchannel) and not strong bull so PROB(probably) SA(sellers above).
15 B2 B(buy or long) at MA(moving average), bull body, bears will exit. Swing bulls will B(buy or long) as BP(breakout pullback), but every bar today has tails so TR(trading range) pa and might be in TTR(tight trading range) so not HP(high probability) so swing only or wait.
16 2 bar BO(breakout) so more up.
17 LH(lower high) MTR(major trend reversal) but doji SB(signal bar) and 2 strong bull bars so BB(buyers below). Magnet of bearTL(trendline) above.
18 H1(one legged pullback in a bull move) but top of weak bull. Better to not B(buy or long).
20 W(wedge) top, 2E(second entry) S(sell or short), F(fail, failure) BO(breakout) but doji. Traders deciding whether top of TR(trading range) with 12 as TGT(target) or still in W(wedge) channel and one more push up. Ok swing S(sell or short) but not much SGP(selling pressure) since 7 so odds PROB(probably) favor one more push up, ESP(especially) since magnet above.
25 Bull IB(inside bar), BP(breakout pullback) B(buy or long) but 6 bar bear MC(microchannel) and weak bull so PROB(probably) SA(sellers above). Might be TR(trading range) and now near top.
31 Bear BO(breakout), SV(sell vacuum) test of 60MA(60 minute 20 bar exponential moving average), bottom of TRD(trading range day). Less likely, will get TD(trend day) and MM(measured move) down.
33 Bull II(two inside bars) so might be FF(final flag). Lp S(sell or short) so swing only.
34 BO(breakout) but tail and still might be TRD(trading range day) so might get F(fail, failure) BO(breakout).
36 L1(one legged pullback in a bear move) S(sell or short) so lp and swing only. New LOD(low of the day) and 2 bull bars so PROB(probably) BB(buyers below).
38 Big bear bar, C(close) on L(low), more down.
39 Strong FT(follow through), SV(sell vacuum) test of 52 L(low) Y(yesterday), 18t below 36 so might get bounce. Ok to S(sell or short)C(close) but big SX(sell climax) so odds favor PB(pullback). Swing bears have stops above 38, so trade small. Better to S(sell or short) rally after big S(sell or short).
40 Bull IB(inside bar), F(fail, failure) BO(breakout) below 77, DB(double bottom) Y(yesterday) 52 but better to wait for 2nd entry B(buy or long). Odds favor TBTL(approx. Ten bar, two-legged correction) SU(sideways to up) after big SX(sell climax). Might becomeTTRD(trending trading range day).
43 L1(one legged pullback in a bear move) S(sell or short) but after big SX(sell climax) so lp and SW(sideways) more likely. If take it, have to make fast decisions. PROB(probably) better to wait for L2(two legged pullback in a bear move) to S(sell or short) or F(fail, failure)BO(breakout) and 2E(second entry) B(buy or long), but if TTRD(trending trading range day), then might behave like TR(trading range) and go up with just a single bull IB(inside bar).
45 MDT(micro double top), 3rd or 4th CC(consecutive) L1(one legged pullback in a bear move) so lp and more SW(sideways) likely. Might be FF(final flag). No one knows yet if 39 is start of huge bear or simple SV(sell vacuum) test of /or resistance). Daily chart good location for put spreads, or can wait for flip to AIS(always in short), if it happens.
47 H2(two legged pullback in a bull move) B(buy or long) but TTR(tight trading range) so ok to wait.
50 L2(two legged pullback in a bear move) S(sell or short) at MA(moving average), strong bear RB(reversal bar), but following bullOU(outside up bar) so LR(lower) P(probability). Ok S(sell or short) for reward 2x actual risk.
52 F(fail, failure) BO(breakout) but doji so not strong enough to erase 50 51. Wait.
55 2BR(two bar revresal) BP(breakout pullback) S(sell or short), but bottom of TR(trading range) so LR(lower) P(probability) so onlyS(sell or short) if going for 2x risk. Ok to wait to see if get bottom to B(buy or long) since bottom of TR(trading range) and might beTTRD(trending trading range day). Bears want channel, bulls want TTRD(trending trading range day).
56 2S(second signal) B(buy or long) but bear bar and better price than 52 so lp so better to wait.
57 L2(two legged pullback in a bear move) S(sell or short) but bull body and not quite to MA(moving average) so LR(lower) P(probability).
58 Big OD(outside down bar), L2(two legged pullback in a bear move) S(sell or short) but OD(outside down bar) at bottom of TR(trading range) is lp so need reward 2x risk or wait.
61 2BR(two bar revresal) F(fail, failure) BO(breakout). Ok swing B(buy or long) since lp. BP(breakout pullback) S(sell or short) also. Pink line below = bottom of 2 week TR(trading range).
64 RB(reversal bar) with big tail but 1t body. Ok swing B(buy or long) for F(fail, failure) BO(breakout).
65 Doji bear IB(inside bar) so don’t B(buy or long). BP(breakout pullback) S(sell or short) but tails so lp and need reward 2x risk.
66 Best bear bar in 2 hours so will attract BRS(buyers) = bears BG(buying) back shorts, and maybe bull scalpers. Better to not S(sell or short) C(close) after CC(consecutive) SC(spike and channel) and best bar.
67 Bull body so PROB(probably) better to not S(sell or short) until bounce, but not strong enough to B(buy or long). Good day for bears. Might get G(gap) down tomorrow and then down for several weeks.
69 Huge tail so might be LOD(low of the day). Bear body so don’t d.
70 F(fail, failure) BO(breakout) but bear body. Better to not B(buy or long). BP(breakout pullback) S(sell or short) but SX(sell climax) so better to not S(sell or short).
73 Good bull RB(reversal bar) but top of TR(trading range) and very bearish day so don’t B(buy or long). L2(two legged pullback in a bear move) S(sell or short) below.
74 Big OD(outside down bar) so maybe more down, but 69 SX(sell climax) so extreme that it will PROB(probably) be LOD(low of the day). If S(sell or short), need reward 2x risk.
77 DB(double bottom) 69 but 1t body. Don’t B(buy or long).
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