50 Market analysis lecture May Quarterly Theory By Daye1080P HD480P
Student of the Things · 6,270 words · 31 min read · EN

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Hello everyone. Hope that you had a wonderful weekend. I'm pretty sure that some of you had a good trading day today as you know one of the few models that I've been you know teaching you guys you know without you basically knowing that I am which you know I will you know make
loud and clear right now. Right. So anyways before that today you can see that we have no you know high impact news events and this will be you know how we will be going forward right if there is no high impact news event on Monday then the live stream will be Monday afternoon but
if we have news on Monday then we'll do it on Sunday right because there is No reason for us to be doing anything in the market on Monday unless what happened today happened. What happened today? There was a curtain correlation between Friday the past Friday and today right so there was sequential SMT or SSM
between last week's high or Friday's high of last week and the high of the day today right in regards to the S&P 500 NASDAQ and the Dow Jones. So, tomorrow we have Hamp News events at 8:30 and 10:00 a.m., right? So, tomorrow will not be the best day to trade. The best day to trade will be Wednesday. You
know, obviously, we all know this. It's CPI and that's when we should get most of the volatility, right? So, tomorrow, you know, people usually say, um, do not trade the day before CPI or whatever, but as long as there's a setup, right, you can take it, right? Due to the fact that I'm pretty sure that most of you
here will not be risking all of your account on one trade, right? On Wednesday, as I just said, there will be CPI. So, we'll have a lot of volatility entering the market. market will be will become one-sided right so after CP is released right if you manage to get in that's fine but if not the market should
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