The S&P closed at nearly unchanged during a volatile week last week. According to the technical model the market is SELL for all size equity indexes in all periods. Bonds are still favorable despite the Fed decision.
I have now added a 5 minute ticker analysis (see chart on S&P below) and will begin studying how effective the technical model is in various time periods. While I am not a trader per se this analysis will help determine effective entry and exit points. Also as I hope to have more time to watch the market I hope to be able to trade more frequently.