🚨 WARNING: SOMETHING TERRIBLE WILL HAPPEN IN THE NEXT 24 HOURS!!
98% of people will lose everything overnight.
When the market opens on Monday, this won’t be “just another dip.”
It’ll be the moment people realize THE COLLAPSE HAS ALREADY STARTED.
Stocks will dump.
Bonds will dump.
Metals will dump.
Crypto will take the hardest hit.
And insiders are already repositioning.
0 buys, 467 sells in the futures market.
They’re not rotating.
They’re selling everything except oil.
They're raising cash because systemic pressure is building beneath the surface.
The dollar is weakening.
Bond markets are repricing.
And global yields are moving together.
That includes Japan.
Japanese government bond yields are rising fast.
And that matters far more than most realize.
Because when Japan reprices, global liquidity tightens.
Carry trades unwind.
Risk appetite fades.
And capital starts moving back home.
That is a major warning signal.
And it’s happening in real time.
At the same time China has been nonstop selling U.S. Treasuries.
And increasing gold reserves at record pace.
That matters because it changes the global liquidity equation.
Less support for bonds.
More pressure on yields.
More questions around the dollar.
This is not about one headline.
It’s multiple pressure points building at once.
Geopolitical stress.
Rising yields.
Dollar weakness.
Tighter liquidity.
Energy risk.
It all leads to declining risk appetite.
And fragility across the bond market.
That is a DANGEROUS combination.
And markets don’t wait.
They reprice fast.
From here, there are three paths:
1⃣ STABILIZATION
U.S.-Iran diplomatic channels reopen.
Tensions cool.
Markets absorb the shock and volatility settles.
2⃣ EXTENDED PRESSURE
No peace deal.
No inflation slowdown.
Risk premiums expand and volatility stays elevated.
3⃣ AGGRESSIVE REPRICING
War escalation.
Oil spikes.
Yields climb.
Liquidity tightens.
Risk assets dump hard.
That’s where real damage can begin.
This is why macro matters.
Watch bonds.
Watch oil.
Watch liquidity.
Because when all of them move together, markets pay attention.
I’ve spent years tracking macro moves and market reactions like this.
When the next signal becomes clearer, I’ll post it here.
Follow and turn on notifications.
By the time it becomes mainstream news, it’ll already be too late.
🚨 S&P 500 IS FORMING A RARE WYCKOFF PATTERN...
Wyckoff structure has completed its upthrust phase, printing a new all-time high...
Based on historical data, next phase is typically a broad market decline in the index
Final downside target is around ~$4,700, followed by a retracement back toward previous levels...
Move is expected to start very soon - turn on notifs, I’ll update
🚨 S&P 500 HAS ONE PATTERN IT NEVER BREAKS
Same story every cycle:
Top forms → pullback hits 0.5 Fib zone
- 2020
- 2022
- 2025
Now a new top is building and same level sits near ~$6,000
This pattern survived pandemics, rate hikes and global shocks - still untouched
Nearest level for next drop is ~$6,000 - which is most likely to be reached within 60-90 days...
It’s not a question of if, only when - turn on notifs, I’ll update
EL S&P 500 SE PREPARA PARA UNA CAÍDA FUERTE…
El patrón “megáfono” ya completó fases 1-5 ✅
Ahora inicia fase 6: caída inminente.
Algo grande se acerca… activen notificaciones…
Learn These Trading Strategies in 6 Minutes
0:00 Fibonacci Retracements
0:27 Chart Patterns
1:01 Elliott Wave
1:51 Fair Value Gap
3:06 Support & Resistance
5:01 Volume
5:22 Supply & Demand
5:50 Break of Structure
5:58 Change of Character
No me considero nadie en esta industria pero si he tenido alguna que otra experiencia dura, con que a una persona le sirva ya me doy por satisfecho.
¡Espero que os guste!
https://t.co/rTCegj3fwO
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