Daniel_Urdaneta

1 ES to play this bounce - All or nothing

Long
FX:SPX500   S&P 500 Index
Entered with 1 ES contract today after market close. Initiated at 2600, stop 2571, target 2700. Playing for a 5-day bounce hoping that selling exhasted on the NY session.

Fundamentals: Good macro data all over the place, earnings beats, steady investor inflows, and a nice reset to P/E ratios courtesy of the -10% correction we've just experienced.

Technicals: Daily oversold (RSI) and daily lower BB. 200-day MA was tagged and a strong bid (buybacks, allegedly) emerged from there. I'm playing game theory and guessing that the smart money thinks the same and it's holding; just need retail to take a dip and the algos to ignite momo and here we gooo to 2700!

Riskiest trade to date. God help me. Feedback is welcome.

Disclaimer

The information and publications are not meant to be, and do not constitute, financial, investment, trading, or other types of advice or recommendations supplied or endorsed by TradingView. Read more in the Terms of Use.