After receiving the forecast for the S&P500 index, for more than 2 months we simply observed sideways movement. At the moment, the formation of the right reverse H&S is taking place, and the local correction looks complete. The behavior of the indices is extremely volatile - we open the day in the red, it will be released for the upcoming session next year, and by the evening it will close again in the red. This behavior indicates the uncertainty of the market, but I suppose that we will still grow to the levels of 4900-5000, despite the "predictions" of many analysts. How to get this forecast?
1. On the growth of the index, I recommend unloading investment positions from portfolios. We won't be growing any further
2. You can load short-term long positions (from 1 to 3 months)
3. Produce an accurate set of short positions - in the future, we will begin a correction at the end of the year
4. On increased VIX volatility, load neutral strategies (selling vega ), and wait for theta to collapse
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