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just my two cents- i hope I am not breaking any of the rules of your thread
es seems to remain fairly strong, constantly finding support off the demand line , producing rising bottoms. the relatively low volume on the daily I see more as lack of supply than no demand, buying enough vol to keep gains and steadily rise.
whilst nq sold off for a second test of last fridays high (sunday gap high) as well as the reaction lows before recent highs (green area) es held up.
on the 15m we nicely found good support off of yesterdays close and the value area high. the big downwave at 20:00 (gmt+2) drew out 194k contracts but did not manage to progress lower, effort vs result, whilst nq did the big dive. immediately prior to close after the 194k wave we did a nice spring bar which poked into yesterdays highs. I remain bullish on es and a drive up overnight is likely.
to me the daily congestional area prior to gap down on monday and this 120m spring kind of bar (black arrow) from friday whose lows we constantly were testing during monday, has way more upside potential than current levels. 1920-30 for final push is possible to me and a steep markup off of the demand line likely.
Can you tell me your chart settings? (Not the wave - what is the tick value of your bars) I'd like to pull up a comparable chart so I can actually learn something.