
Presumption going into this week is that we are headed up to 2100. Not necessarily in a straight line though...

Looking at the weekly profile, we can see an upper distribution has a low of 28.75. The major distribution below has a high of 2011. So I have an eye on both levels as places a pullback could hold. If we do get below 28.75, we have to be on the lookout for a swift move to 2011 as not much traded between the two prices last week.

We didn't make much headway on Friday and it may well be time for a pullback going into today. So I'm expecting 2100 overall and looking for pullbacks to 27-28.75 (27 is Thursday low) and if not, 2011.
Weekly Numbers
Range 1995 -> 2042.75
Value - 1997.50 -> 2023.50
S1 - 2007.25 R1 - 2055
Daily Numbers
Range 2027 / 2033 -> 2042.75
Value 2036 -> 2040.50
Globex 2031 -> 2044.25
Settlement - 2037.50
Today only - 2027-2028.75, 2011
Long Term 2100, 1996.75, 1920, 1833.75, 1804.75

