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2) Second possibility. The market is volatile up down but in the end the fake down was a bear trap and we soar into the close especially because we already lost 51 S&P points today late.
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I really can't call tomorrow. Too many possible scenarios. 1) Most Bullish Scenario, we closed at the lows. So that means we tested the bottom. Made a double bottom. Now the market rises and never looks back with the new auto money leading the way.
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