Get the scenario's in your head of what can and can't happen.
1) We know if we get another big drop then the odds of a rebound coming soon is really strong.
2) Most early rallies die.
It's the late ones that are really strong and can't be sold off.
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If we gap down to 408 or sell off to around that area on SPY tomorrow I think we get a late day SNAP back ie revert to mean move. 0dte last few hours can be lucrative as hell done it a number of times. Historically that area bounced hard (ukraine invasion time line roughly)


