The Market should be able to test highs today if the US Dollar keeps pulling back through the cash session…….AAPL blowout numbers had indicies rallying early in the after hour session last night…..EU opened but was unable to press new highs with the US Dollar on a strong run. Ok, now to the levels of held inventory….
ES has the following RESISTANCE levels with resting SHORT inventory for today………..1210.50 to 1207.50 still Delta Zone of resting SHORT inventory with a new level within that range of 1209.50 from last nights After Hours session. Market back to over 30,000 contracts held in upper 3 points of range. Trade today to the 1209.00 level or higher can be tracked for a Multi-day Delta Divergence SHORT.
ES has the following support levels today with resting LONG inventory…………1201.75 and 1201.25 minor levels, regular levels at 1197.00, 1194.00, 1190.25, 1181.00, 1179.75, 1170,00 is key support level with decent accumulated LONG inventory and 1166.25 is next lower key support level.
Also, I will look to sell 6C’s today with any trading above the 1.0065′s level into first sell response after that level hit…sold 1.0055′s last night…pulled out one lower held position already at the 1.0027′s
Strap your helmet on…It’s still dangerous even if you know what’s going on……
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The FT Group has been waiting for the trade above the previous S&P500 Emini high of 1099.00 and this morning we were able to trade to the 1102.00 level finally. The FT Group is now very aggressive sellers of this market with our first heavy SHORT entries initiated at the 1101.00/1101.25 levels.
We will continue to be… very aggressive sellers with any trading beyond the 1102′s as the market shows sell response from the Cumulative Delta Volume Study. Now I am getting excited…..this will be an excellent longer term SHORT trade set up going into the final days of the 2009 trading year!
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We had a very active after hours session and pre-market today in both Oil and the S&P500 Emini. The FT Group added SHORT positions in the “ES” at the 1094.25 level and another SHORT position added to the “QM” SHORT trade at th…e $81.40 level. We have new profit targets set up for the ES at the 1087.00, 1079.00, and 1070.00 levels for now. In our SHORT Oil trade we have entered a new profit target at the $80.30 level with all previous profit targets still in place.
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The FT Group had our Oil SHORT trade in the “QM” contract hit profit targets in the after hours at the $80.30 level and all other profit targets remain as previously set…….an excellent pullback in Oil! Want to know how we track the cumulative delta in the CL and QM? Check out Alerts Access…become a subscriber!
Also in trading…. It was another day in US Dollar weakness that led the stock market rally as the markets started a SHORT covering run in futures through equities buyside program trading pushes. We sold into the rally late in the day with entries we’re holding in the S&P500 Emini from the 1091.50′s. We will continue to be aggressive sellers in this environment into the after hours session tonight with any trading in the “ES” above the 1092.50 price.
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The FulcrumTrader Group nailed profit targets in the “ES” late day blowout today all the way down to the 1075.00 level……that was an excellent move off the recent highs retest today. The “Commercials” today had added additional SHORT ES positions with the trade back to the 1098.50 level. Commercials were active sellers late in the day as the ES was driven lower cleaning out massive amounts of previously held LONG inventory.
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