<ul><li>Prior +5.4%</li><li>Market index 189.6 vs 192.1 prior</li><li>Purchase index 144.8 vs 147.0 prior</li><li>Refinance index 411.7 vs 415.4 prior&l
Main scenario: consider short positions from corrections below the level of 1.1070 with a target of 1.0640 – 1.0450. Alternative scenario: breakout and consolidation above the level of 1.1070 will all
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