Bullish on EU, however I would like to see it retest the yearly open. Watching intraday price action as usual for trade opportunities.
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short on EU
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at least one of these stuck
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SL BE
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closed to make back some losses
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could've given it some more time to hit sellside. at least with 20%. Be more patient exiting unless price has shown strong reversal signs. However you were in drawdown for the day so risk mitigation is understandable.
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trade idea
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went short during london assuming asia high will be maintained for a big bearish day
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SL at asia high is always a bad decision as it is a liquidity target. demo so nothing lost. however price played perfectly off hourly OB like originally anticipated.
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managing this as if I got entry with initial idea for education purposes.
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looking to add during NY
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didnt get filled at 30min OB. took entry off 5min OB (demo)
Trade closed: stop reached
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Switched bullish as its showing signs of higher prices with DXY weakening.
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SL BE on the buy
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added another position.
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SL moved to profit
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3rd position added
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SL BE on third, trade is risk free, done with executions.
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TP 1 and 2 hit. 80% closed off trades 1 and 2. 100% off trade 3.
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stopped out in profit. Long again.
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SL to BE
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2nd pos added.
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SL moved to risk free.
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ended up getting stopped out BE, but buying continued as anticipated