technically speaking, it would have been better to have a bad finish. Still a buy, but a little overbought on the daily.
In any case, for the sake of the indicators and the time I put in on them the last 20+ years, I am still hoping the reason I didn't generate a sell shortly after 1425 is because we were going higher after all, but it remains to be seen. For me to get a sell a week late, well it has just never happened before