World Blog by humble servant.Cesar Trade Recommendation: Personal and Public Service we never ask for money. This report provides buy and sell trade recommendations for /MNQM25 (Micro Nasdaq futures) and /MESM25 (Micro S&P 500 futures) based on the provided chart and data as of March 25, 2025. The analysis includes short-term (15 days) and long-term entry and exit strategies for both contracts.
Cesar Trade Recommendation: Personal and Public Service
This report provides buy and sell trade recommendations for /MNQM25 (Micro Nasdaq futures) and /MESM25 (Micro S&P 500 futures) based on the provided chart and data as of March 25, 2025. The analysis includes short-term (15 days) and long-term entry and exit strategies for both contracts.
/MNQM25 (Micro Nasdaq Futures) Analysis
Market Snapshot:
Open: 20,358 | High: 20,367.75 | Low: 20,334 | Close: 20,352
Volume: 20,352
SMA: 19,959
Pivot Points: R2: 20,632.50 | R1: 20,494 | PP: 20,271.25 | S1: 20,133 | S2: 19,910
Parabolic SAR: 19,487 (bullish)
Bollinger Bands: Midline: 20,268 | Lower: 19,173 | Upper: 21,364
RSI: 47.83 (neutral)
Stochastic Oscillator: %K: 48.78 | %D: 34.11 (neutral)
Market Sentiment: 34.22 (bearish)
CMF: 0.24 (positive)
Trade Recommendations:
Short-Term (15 Days):
Buy:
Entry: 20,400
Stop Loss: 20,271.25
Target: 20,494
Rationale: Price above the Bollinger midline (20,268) and Parabolic SAR (19,487) indicates a bullish trend. Positive CMF (0.24) supports buying pressure, targeting R1.
Sell:
Entry: 20,271.25 (if PP breaks)
Stop Loss: 20,400
Target: 20,133
Rationale: A break below the pivot point signals a potential pullback to S1, supported by bearish market sentiment (34.22).
Long-Term:
Buy:
Entry: 20,632.50
Stop Loss: 20,271.25
Target: 21,364
Rationale: A break above R2 confirms a bullish trend, targeting the Bollinger upper band.
Sell:
Entry: 20,494 (if rejected)
Stop Loss: 20,632.50
Target: 19,910
Rationale: Rejection at R1 with bearish sentiment suggests a potential drop to S2.
/MESM25 (Micro S&P 500 Futures) Analysis
Market Snapshot:
Open: 5,813 | High: 5,815.75 | Low: 5,806 | Close: 5,810
Volume: 17,544
Pivot Points: R2: 5,878 | R1: 5,845 | PP: 5,792.75 | S1: 5,760 | S2: 5,707
Parabolic SAR: 5,614 (bullish)
Bollinger Bands: Midline: 5,788 | Lower: 5,533 | Upper: 6,044
RSI: 48.75 (neutral)
Stochastic Oscillator: %K: 53.85 | %D: 35.78 (neutral)
Market Sentiment: 43.13 (neutral to bearish)
CMF: 0.22 (positive)
Trade Recommendations:
Short-Term (15 Days):
Buy:
Entry: 5,820
Stop Loss: 5,792.75
Target: 5,845
Rationale: Price above the Bollinger midline (5,788) and Parabolic SAR (5,614) indicates a bullish trend. Positive CMF (0.22) supports a move to R1.
Sell:
Entry: 5,792.75 (if PP breaks)
Stop Loss: 5,820
Target: 5,760
Rationale: A break below the pivot point signals a pullback to S1, supported by neutral to bearish sentiment (43.13).
Long-Term:
Buy:
Entry: 5,878
Stop Loss: 5,792.75
Target: 6,044
Rationale: A break above R2 confirms a bullish trend, targeting the Bollinger upper band.
Sell:
Entry: 5,845 (if rejected)
Stop Loss: 5,878
Target: 5,707
Rationale: Rejection at R1 with neutral to bearish sentiment suggests a drop to S2.
Summary of Recommendations
/MNQM25 (Micro Nasdaq Futures):
Short-Term (15 Days):
Buy: Entry at 20,400 | Stop Loss: 20,271.25 | Target: 20,494
Sell: Entry at 20,271.25 | Stop Loss: 20,400 | Target: 20,133
Long-Term:
Buy: Entry at 20,632.50 | Stop Loss: 20,271.25 | Target: 21,364
Sell: Entry at 20,494 | Stop Loss: 20,632.50 | Target: 19,910
/MESM25 (Micro S&P 500 Futures):
Short-Term (15 Days):
Buy: Entry at 5,820 | Stop Loss: 5,792.75 | Target: 5,845
Sell: Entry at 5,792.75 | Stop Loss: 5,820 | Target: 5,760
Long-Term:
Buy: Entry at 5,878 | Stop Loss: 5,792.75 | Target: 6,044
Sell: Entry at 5,845 | Stop Loss: 5,878 | Target: 5,707
Additional Notes:
Risk Management: Risk no more than 1-2% of your account per trade.
Market Sentiment: Bearish sentiment for /MNQM25 (34.22) and neutral to bearish for /MESM25 (43.13) suggest caution for long-term bullish positions until a stronger reversal is confirmed.
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