Trade exclusively based on correlation. Buyers are not letting go of their positions as the pullback was really shallow on relatively low volume. The trade is labeled A little bit risky as i couldnt read the sellers momentum. I expect to hold the position max till midday US.
Trade active:
Trade Management: I reduced my risk exposure of half by tightening the SL tp 1.96393
Trade Management: I reduced my risk exposure of half by tightening the SL tp 1.96393
Trade active:
Scaled out 50% and Brought my risk to Nul(Stop @ Breakeven)
Scaled out 50% and Brought my risk to Nul(Stop @ Breakeven)
Trade closed: stop reached:
the remaining position got closed at breakeven
the remaining position got closed at breakeven