You note that you expect “more wobbles in both directions,” and that there are an “increasing number of bearish setups” while longer‑term market timers remain “green.” Given that mix of conflicting signals, what concrete criteria or conditions would you look for that would signal a good entry point (or “decisive next move”)? For example: would you need a specific technical pattern, macroeconomic development, or earnings catalyst to shift from caution to opportunistic buying?
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