Since this Wednesday (Jan 24) the "S&P 500" is starting to get weaker and weaker. The weakness increased on Thursday even more. I remain with my overall bullish outlook towards 3000 points, which I had shared in my last chart analysis. But before the next big push higher the odds for a pullback is increasing on various momentum, rate of change and stochastic indicators.
Short entry: 2845
Stop loss: 2860
1. Target: 2810
2. Target: 2795
Risk to stop loss: 15 points
Reward to target 1: 35 points
Reward to target 2: 50 points