short #gold at 1511 to take profit at 1491 and 1474 while he is overbought weekly and daily and have a big rsi divergence in 4h as indices rebound and risk off fading i think this week we will see a pull back, my SL at high 1532 ratio 1/2
as my first trade i loss around 8$ on 1 lot
i made 2 lot on this trade
1 lot i will close at 1492-90
the second lot i wll made stop loss at 1505 to if back up i get few gain
for info on all my trade my leverage is at 1/50
as my first trade i loss around 8$ on 1 lot
i made 2 lot on this trade
1 lot i will close at 1492-90
the second lot i wll made stop loss at 1505 to if back up i get few gain
for info on all my trade my leverage is at 1/50