We have an imbalance below. That will likely fill. After the retraction, from the supply to demand flip zone, market will bounce to all time highs. I will buy 540 put options. Then afterwards Calls.
Experimenting with options - 9 x 550 Calls expiring on 7/5.
Why?
We are in an uptrend.
Trendline broken.
Wyckoff accumulation.
Bouncing from demand zone.