I short the gold on rebound with 3 target RR 1/2.5
Fomc +yellen hawkish
the gold make technical rebound only
majority of people buy it.
Target 1 = 1288 again
Target 2 =1279
Target 3 = 1271
SL 1308
this trade wil be aborded if North Korean up tension with a launch a H Bomb as mentonned in the news
Fomc +yellen hawkish
the gold make technical rebound only
majority of people buy it.
Target 1 = 1288 again
Target 2 =1279
Target 3 = 1271
SL 1308
this trade wil be aborded if North Korean up tension with a launch a H Bomb as mentonned in the news
Trade closed: stop reached:
i cutted 1 lot yesterday at 1290 = + 8$
other lot was stopped at 1308 = -9$
result lost 1$
other lot was stopped at 1308 = -9$
result lost 1$
Comment:
also i should close all yesterday until NK topid is not finish..is the only thing that support gold
Comment:
next time i not make SL grrrrr..i also wanna short at 1312 tonight and scare NK topic and now - 12$ shitty news and all
Trade closed: stop reached:
if i waiting a bit without SL i will be on my entry pts now...anyway is the MM and ratio ,is the forex...no choice to do that or you never win at the end..
is ok i made + 150 pips on eu,gu,au,nz today so my 1$ lost is erased easily...but i angry not for the money but for the no logic of risk off 2h risk on 2h risk off 2h risk on 2 hours..i should know that it been 3 day is risk off asian session and risk on in europe and us..why? i dunno
is ok i made + 150 pips on eu,gu,au,nz today so my 1$ lost is erased easily...but i angry not for the money but for the no logic of risk off 2h risk on 2h risk off 2h risk on 2 hours..i should know that it been 3 day is risk off asian session and risk on in europe and us..why? i dunno