Execution Note – Post-Close Position Management
Holding my long position into the futures reopen. I’m focusing on maintaining structure above 6368.75 and reclaiming levels by 4:50 PM. If that zone is held, I will actively support the price to magnetize a drift higher by 6:00 PM.
Will continue monitoring pressure and volume. If absorption holds and passive offers weaken, the odds of a gap-up reopen increase significantly.
Exit plan will adjust if 6367.25 breaks - structurally negative.
This is a controlled hold with authorship intent into the low-liquidity reopen.