S&P 500 Index: Resistance at 4434/50 to cap for a retest of key supports at 4213/4199 – Credit Suisse
28.01.2022, 14:33

S&P 500 Index: Resistance at 4434/50 to cap for a retest of key supports at 4213/4199 – Credit Suisse

S&P 500 remains capped at its 200-day average and the 38.2% retracement of its January collapse at 4434/53. Economists at Credit Suisse continue to view this as a temporary relief bounce only ahead of a retest of the recent low, the 23.6% retracement of the entire 2020/2021 uptrend and the 38.2% retracement of the rally from October 2020 at 4223/4199.

A short-term pause only prior to the risk turning firmly lower again

“Whilst further near-term consolidation should be allowed for, we remain of the view this is a short-term pause only prior to the risk turning firmly lower again.”

“Below 4276 should clear the way for a retest of support at 4223/4199 – the recent low, the 23.6% retracement of the entire 2020/2021 uptrend and the 38.2% retracement of the rally from October 2020. Whilst we will look for evidence of a floor here again, should weakness directly extend we would see scope for further weakness to 4173/64 next, ahead of 4057 and eventually we think more important support at 3855/15.” 

“Near-term resistance moves to 4355, then 4374.” 

“A close above 4450 remains needed to mark a stabilization and a more prolonged consolidation, with resistance then seen next at 4495.”

 

© 2000-2024. Sva prava zaštićena.

Sajt je vlasništvo kompanije Teletrade D.J. LLC 2351 LLC 2022 (Euro House, Richmond Hill Road, Kingstown, VC0100, St. Vincent and the Grenadines).

Svi podaci koji se nalaze na sajtu ne predstavljaju osnovu za donošenje investicionih odluka, već su informativnog karaktera.

The company does not serve or provide services to customers who are residents of the US, Canada, Iran, The Democratic People's Republic of Korea, Yemen and FATF blacklisted countries.

Politika sprečavanja pranja novca

Upozorenje o rizicima

Izvršenje trgovinskih operacija sa finansijskim instrumentima upotrebom marginalne trgovine pruža velike mogućnosti i omogućava investitorima ostvarivanje visokih prihoda. Međutim, takav vid trgovine povezan je sa potencijalno visokim nivoom rizika od gubitka sredstava. Проведение торговых операций на финанcовых рынках c маржинальными финанcовыми инcтрументами открывает широкие возможноcти, и позволяет инвеcторам, готовым пойти на риcк, получать выcокую прибыль, но при этом неcет в cебе потенциально выcокий уровень риcка получения убытков. Iz tog razloga je pre započinjanja trgovine potrebno odlučiti o izboru odgovarajuće investicione strategije, uzimajući u obzir raspoložive resurse.

Politika poverenja

Upotreba informacija: U slučaju potpunog ili delimičnog preuzimanja i daljeg korišćenja materijala koji se nalazi na sajtu, potrebno je navesti link odgovarajuće stranice na sajtu kompanije TeleTrade-a kao izvora informacija. Upotreba materijala na internetu mora biti praćena hiper linkom do web stranice teletrade.org. Automatski uvoz materijala i informacija sa stranice je zabranjen.

Ako imate bilo kakvih pitanja, obratite nam se pr@teletrade.global.

Банковни
транcфери
Feedback
Lajv čet E-mail
Povratak na vrh
Izaberi lokaciju / jezik