The chart has my key points to a bullish argument here. Volume is continuing to build, so the next re-test of that OBV level is pretty critical if the short-term trend is revert to bullish. I think it stands a fair chance here.
Ahhh so many lines! I know. So I'll keep this short. Maybe I'm wrong with my conclusions here, but the charts and facts make sense to me. I can't tell you when a crash (slash the next 'correction' to be PC) will be...but I can show you how they're engineering things in the US equity markets without QE $DIA (to compare industrials vs. broader market a la...
Looking at these two charts, it's hard to dispute that there's a relationship between the micro-trends of $FSLR and $SCTY. They're in the same sector, so similar macro-trends are visible; within that sector, they are competitors in several ways so if one goes up it makes sense that the other would go down on a micro level. The yellow lines are the most recently...