NQ / NASDAQ / US100 | 15m | Long

Wait 5 sec.

NQ / NASDAQ / US100 | 15m | LongNASDAQ 100 IndexNASDAQ:NDXfinetiqueFundamentals Context Upcoming News: PPI Nov delayed release tomorrow (exp soft after CPI core miss), Fed speakers (sticky inflation watch). Impacted News: CPI core undershoot (2.6% YoY) eased rate pressure short-term → supports risk-on / growth/tech rotation. Geopolitical: US Venezuela/Iran + EU-China tensions still in background, but no new escalation tonight → less immediate risk-off. Economic: US growth resilient (1.8–2.0% 2026 est.) + debt cycle/fiscal stimulus favors AI/tech over defensives longer-term. Why Long Makes Sense Now The 25,500 break is a clean technical signal—former resistance flipped to support, momentum indicators turning up, and CPI relief still in play. Short-term risk-reward skewed positive: if holds 25,500, upside to 26,000+ (range top) is ~200–400 points with tight stop below flip zone. Downside risk: If fails and re-enters range hard (drops below 25,400–25,500), invalidates long—quick exit, no big damage. Overall: Good spot for tactical long if you took it—trail stops (move to breakeven at +100 points, then trail on 1H MA20 or recent swing lows). Watch PPI/Fed tomorrow for next leg. If it pushes 26,030 with volume, bias flips stronger bullish (AI story + risk-on). * Not a financial advice. Just for educational purpose. DYOR! Let me know your thoughts. As I've got many different opinion. Please, support! Thank you!