Will see what comes of the weekend...weak short term S&R of 1450 & 1672, will need to see market sentiment into next week. Seeing a bid in US equities so next week may prove to be somewhat bullish but also feel risk in US detached from what we are seeing in the EU. Would expect a pull back beyond 1672 only for a possible short entry. Would be concerned longs over weekend. Could be a news headline away from a nice loss. However could get a nice gap up also. I would lean towards shorts on that "gamble"
Need to see close and price action into next week along with upcoming news