يارب اجعلني خيرا مما يظنون واستر علي ما لا يعلمون .. يارب اجعلني خيرا مما يظنون واستر علي ما لا يعلمون .. يارب اجعلني خيرا مما يظنون واستر علي ما لا يعلمون
I’M LITERALLY SHOWING YOU HOW TO RETIRE EARLY FROM TRADING
And people are still calling this a “hard market.”
Last 2 days:
$SPY +331%
$SPY +453%
$INTC +300%
$INTC +120%
$TEM +130%
Same setup.
8/21 cross. break. retest. enter.
There are opportunities everywhere.
The $SPX channel is playing out flawlessly.
Do NOT short right now.🩸
We are currently at a Lower Low. Shorting here is a mistake.
The roadmap I am waiting for:
1. A retracement to the upper boundary.
2. A buy-side sweep forming a new Lower High.
3. Price delivery to the 7,500 target.
Follow and bookmark to track the sequence.📌
$NVDA is preparing for its FINAL explosion!
But DO NOT buy here🩸
Once the price reaches ATH, retail will start buying massively on emotion...
That is exactly what will BREAK the market.
Smart money will simply use them as exit liquidity.
The blueprint 🚩:
1 - Flush out late buyers
2 - Sweep the pullback liquidity at $207
3 - Final expansion to $265+
Patience pays. FOMO kills.
Save this chart. You will need it when the panic starts📌
Açık kaynak göstergelerde bugün:
🚀 FiboRadar
Kodlaması yaklaşık bir hafta süren ve yayınlandıktan sonra birçok kullanıcının favorisi hâline gelen FiboRadar artık açık kaynak!
Faydalı olması dileğiyle... https://t.co/LxowwAgAVX
$SPX الارقام احتمال نفشل فيها ❌ ممكن راح يفتح قاب داون اقل من 7611
الدعم المهم لنا 7591
$NDQ الان ⬇️⬇️⬇️⬇️ 288 نقطه هبوط
لازم ننتظر افتتاح السوق 4.30 عصراً
🚨 $SPX IS ABOUT TO WIPE OUT MONTHS OF GAINS
The market went 140 DAYS without a real correction
Now the structure has finally broken
And I think the next 7.4% DROP is already being set up
This isn’t random
Historically, once these rallies stretch toward ~150 days, the odds of a sharp rebalancing rise fast
My roadmap is simple:
ATH swept ✅
Bearish structure formed ✅
Structural breakdown confirmed
Liquidity flush toward $7,518
Re-distribution traps the dip buyers
$7,313 → $7,237 final targets
The dangerous part?
Every bounce from here will look like the correction is over
That’s exactly where I expect people to get trapped
I’m not here to chase the move after it happens
I’m here to execute the setup BEFORE the crowd sees it
Follow and turn notifications on
I’ll post my exact entries as this plays out
🚨 S&P 500 IS RUNNING SAME PLAYBOOK AGAIN
Identical setup. Identical clock. Fresh cycle.
1998 → -22.16%
2002 → -30.55%
2006 → -12.56%
2010 → -17.49%
2014 → -13.67%
2018 → -18.53%
2022 → -22.15%
2026 → ???
For close to 30 years market has followed this exact script
Don't repeat crowd's mistake - you got the heads-up early...
Switch notifs on so my next market call doesn't pass you by
Fun Fact:
In a mid-term election year buying the S&P on September 27th and holding until July 18th the following year and selling has worked in 23 out of the last 24 Presidential cycles with a success rate of 95.8% with an average return of 19%. The only loss was in 1930 during the Great Depression.
Another outlier is 2018 where you would have been down almost 20% but would still have finished with a gain of 3% by July.
كل ما تحتاج معرفته عن Volume Profile في بوست واحد 👌
وش هو؟ وكيف تقرأ POC / VAH / VAL / HVN / LVN؟
وش الفرق بين Acceptance و Rejection؟ ومتى تكون المنطقة توازن، ومتى ممكن يتسارع منها السعر؟
أداة مهمة جدًا لفهم وين السوق فعليًا قبل السعر ورفضه، ودمجها مع VWAP وGEX وOption Flow يعطيك صورة أقوى للسوق.
احفظ الإنفوجرافيك وارجع له وقت تحتاجه 📌
#VolumeProfile #التحليل_الفني #الأوبشن #SPX #فك_شفرة_الأوبشن