Description
⋅ 2 scenarios for FOMC.
I'm favouring scenario #1 as long as we above 1223
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⋅ my buy stop triggered. im long 3 lots from various prices $1230 and 1238
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⋅ most positions are b/e sl
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⋅ 1250 is key level, if we break this, then we should go higher
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⋅ added another lot at $1240. total 4 lots all b/e sl
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⋅ if target hits my top, this weeks profit should be roughly 20k aud. if fomc goes down, profits will be a lot less.
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⋅ still holding my longs! 1238 trailing sl. but only 2 lots left. the others got b/e sl hit
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⋅ b/e sl got hit at 1238. re-entered 2.5 lots at 1239.09. price action still looks good for bulls
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⋅ we above pivot of 1245 at this time of writing