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We are getting a bounce from a short term oversold condition, but if the market is truly under distribution, a one or two day bounce will fail abruptly and the indexes will make new lows.
The market's technical condition weakened yesterday as the major indexes broke below short-term support. Volume was lighter than the previous session on both exchanges, avoiding additional distribution. However, the weakness beneath the indexes was more pronounced. The expanding weakness is important because it suggests the pressure is no longer confined to narrow areas of the market.
Pockets of strength included: Energy up 1.5% the strongest major sector over the past five sessions, advancing 2.6%. Oil & Gas groups continue to populate the leadership ranks, along with Coal. Software remains a notable source of relative strength, but also felt pressure, while Farm Machinery, Agricultural Chemicals and Agricultural Operations are emerging as areas worth monitoring. We bought $DE on Monday and shorted $IWM.
The message here is not that the bull market is necessarily over. It's that risk has increased and the market now needs to prove itself. For now, selectivity is paramount. Focus on high-quality stocks emerging from sound bases, while reducing exposure to laggards violating key support. This is not an environment to force trades or rationalize poor action.
Tactically, this is the time to cut laggards, trim extended winners and hedge where appropriate—not wait until the evidence becomes obvious to everyone . Until we see signs of repair, capital preservation takes priority. Let the market earn your exposure.
minervini.com
@lucifer5670 저도 그 회사 다녀봐서 빅테크 빅테크 하시는건 알겠지만
그 회사 재무 기획에 있다고 그걸 계속 얘기하시는거 정말 짜칩니다.
전략이 틀린적도 많고 필드 실무자들 말 안들어서 틀린 결정도 많았습니다.
회사가 결과론적으로 잘되고 있으니 그러시는 것 같은데 얼마전까지만 해도...
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