Looking at the weekly and monthly timeframe
we could see that the market is going to sell US Dollars on the long run. Now Assets like commodities
) are facing some interesting rebound area, as well the eurusd
and the cable are probably going to rebound on monthly lows areas.
There are some other MACRO factors in this analysis and, if you want to discuss that, you can send me a DM
on the platform.
Look at the video for the analysis.