Double Bottom and re-test Price above SMA13,50,200 OBV>OBV34 WR buy signal (my scripts: Williams %R two lines)
Entry 2.1 Stop 1.6 Target 4.5
Risk management is much more important than a good entry point. The max Risk of each plan should be less than 1% of an account. I am not a PRO trader. I trade option to test my trading plan with small cost.
Trade active
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BuyToOpen (BTO) 2022 Jan C2.5 limit 0.5x6 2022 Jan C3 limit 0.4x6 Prepare to sell C5
There was a bearish trap on 02.07.21, with RSI 13% at closing and very small volume, but bullish trend on YTD (SMA50 on 2.20$, SMA200 at 2$)
I am very bullish on it
Also see divergences with a MACD
Gonna to explode
I am very bullish on it
Also see divergences with a MACD
Gonna to explode