S&P 500, Trading plan

1. I will open buy if the price will make a pullback to 2860
Because there is a huge chance that it will happen

The goal will be before historical high 2942

2. Near 2942 I will open Sell if there will be a fake broke
Mostly price bounce 1st time from such powerful levels
In that situation potential profit could be in 10 - 20 times bigger than a risk
Chart PatternsEURUSDForexGoldsp500analysissp500indexS&P 500 (SPX500)SUTrend AnalysisWave Analysis

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