Looking at the chart.
Is this the end of S&P 500?

Will it affect the global market (Australia, China, Hong Kong, Singapore, etc)?
At which level should you be buying in the short term and long term?

From the chart, it seems that S&P has the potential to go lower.
Will it end at 182 level and rebound (to create the biggest bull in history)?
Will that be the opportune time to buy?

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Big Boys Movements:

 6 weeks before Plunge of Singapore Index
(Available to Public)
Almost 6 weeks before the Singapore Market plunges 550 points (16%),  there is a huge purchase of Puts contracts under Singapore ETF.

2 weeks before US market Plunge
(Available to Public)
Just 2 weeks before DOW Jones plunge 2000 points,  there is a huge purchase of VIX.

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