S&P 500: недельный schedule.Попытка закрыть неделю на новой высоте не удалась. It is recommended to hold a short position, indicative target 1800-1900.
S&P 500: daily schedule. Generally, The situation has not changed. We are waiting for the formation of a technical model.
DAX: daily schedule. The technical situation looks negative. A short position is recommended, subject to external conditions from 9600-9650, stop-9800. Target 9250-9400.
UST-10: weekly schedule. The neutral situation remains in effect. Focusing on growth in profitability by the end of the year after testing supports.
EUR/USD: weekly schedule. The negative trend continues. It is recommended to take profit on 50% positions on 1,3425-1,3440 and put a stop on the remainder when moving above 1,35.
EUR/USD: daily schedule. Testing The daily chart is clearly oversold. Recommended short bounce positions for aggressive players.
Gold: weekly schedule. Nothing new. Recommended long position for partial hedging of long portfolios and short position for aggressive players on negative momentum.
Ruble: daily schedule. The negative impulse continues. Position initiation is not recommended.
RTS и MICEX: daily schedule. Markets continue their downward movement, although they tried to gain a foothold last week. It is recommended to minimize short positions and look for attractive stocks to form a long focus portfolio.