I know we are all upset with the US and Europe ending with a V-shape
recovery vs our expected Major B lower high to end another selloff to
Major C to finish Primary Wave IV. Our xmas rally play was ripped off..
Europe(Germany and FTSE) both hit their downside targets(13-15%) which may have sparked the bottom and led the recovery.
Anyhow, let us continue to monitor and adjust things accordingly.
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