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S&P 500 futures aim to hold 5,992 POC – Defend or test 5,962/5,980 June 9 London-New York sessions

S&P 500 futures aim to hold 5,992 POC – Defend or test 5,962/5,980 June 9 London-New York sessions WikiBit 2025-06-09 14:13

Friday's 5,933–6,023 range anchors today's playbook. Watch 5,992 as the pivot for upside targets at 6,000, 6,010, and 6,023 or downside probes into

3. Bullish scenario

  • Hold 5,992 POC in London open.
  • Target 6,000 area for initial profit-taking.
  • Extension to 6,010 & 6,023 if buying pressure sustains.
  • Breakout above 6,039 (daily upper bound) opens run to 6,070+.
  • Entry: Aggressive longs off 5,992–5,980.75 zone.

    Stops: Just below 5,980.75.

  • 4. Bearish scenario
    • Failure under 5,992—rollover signals.
    • First support test at 5,980.75.
    • Deeper pullback into 5,962.50 (VWAP mid / VAH).
    • Break below 5,962.50 targets 5,946, then 5,933.
    • Entry: Short triggers under fresh 5,992 breach.

      Stops: Above 5,992

    • 5. Session flow and execution
      • London session: Assess strength at POC (5,992).
      • NY open: Confirm break or hold—use higher-timeframe VWAP and volume clusters for conviction.
      • Daily close: Monitor reaction into 5,962.50: hold bullish case; reject signals deeper correction.
    • Bottom line
    • Maintaining Friday‘s range puts 5,992 at the Focal point of today’s directional bias. Hold it, and look to revisit 6,000–6,023; lose it and expect a slide toward 5,962.50 and below. Ride the pivot and manage risk around these defined levels.

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The views in this article only represent the author's personal views, and do not constitute investment advice on this platform. This platform does not guarantee the accuracy, completeness and timeliness of the information in the article, and will not be liable for any loss caused by the use of or reliance on the information in the article.

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