S&P 500 Index ($US500) 4H: Liquidity Sweep

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S&P 500 Index ($US500) 4H: Liquidity SweepUS 500 IndexPEPPERSTONE:US500ChartPro_DataS&P 500 Index (US500) 4H: Liquidity Sweep at Demand Base Triggers High-Asymmetry Mean Reversion Setup ### πŸ‡ΊπŸ‡Έ USA S&P 500 Index (US500) 4-Hour Technical Matrix (Ref: US500_2026-07-24_08-31-24.png) We are releasing an intraday structural study on the US S&P 500 Index (US500) tracking the 4-Hour (4H) time horizon. Following a sharp shakeout move that breached the institutional 200-period EMA, price action has met aggressive buy-side absorption near key liquidity pools, signaling a high-probability mean-reversion opportunity back toward core dynamic averages. The index is showing early stabilization today, trading up at **7,426.7 (+0.28%)**, leaving long lower shadows on recent 4H candle closes. --- ### πŸ” Technical Architecture & Liquidity Mechanics: Our quantitative framework isolates a clear oversold structure supported by dynamic boundaries: 1. **The Liquidity Sweep & Rejection:** The price temporarily undercut the horizontal support shelf at **7,471.0** and the institutional **200-period EMA (purple line sitting at 7,467.8)**. The rapid recovery from the **7,397.5** intraday lows highlights strong institutional demand defense. 2. **Dynamic Resistance Target Band:** The primary recovery target rests within the overhead **72-period SMA ribbon complex (7,504.5 – 7,522.6)**, which currently acts as the macro mean-reversion anchor. --- ### 🎯 Tactical Long Execution Framework: Given the clear structural rejection at lower bounds, the risk-to-reward geometry strongly favors a recovery play: * **Tactical Entry Corridor:** Current accumulation area around **7,423.3 – 7,426.7**. * **Protective Stop Loss:** Positioned strictly below the liquidity sweep low at **7,373.7**, protecting against further downside extension. * **Intermediate Objective:** A reclaim of the **7,467.8 – 7,471.0** pivot zone (200-EMA and former support line). * **Primary Take Profit Zone:** Extended targets aim directly into the **7,504.5 – 7,522.6** 72-SMA ribbon cluster. ### πŸ“Š Tactical Parameters Summary: * **Current Bias:** Bullish Mean-Reversion (Buy the Dip) * **Risk Invalidation Anchor (Stop Loss):** 7,373.7 * **Immediate Reclaim Pivot:** 7,467.8 (200-EMA) / 7,471.0 * **Primary Profit Target:** 7,518.6 – 7,522.6 (72-SMA Cluster) --- πŸ“Š **ChartPro Data** *US Equity Architecture, Mean-Reversion Dynamics & Systematic Risk Management.* ⚠️ **Disclaimer:** For educational and informational purposes only. This active market study represents a personal trading framework and does not constitute financial or investment advice.