Portfolio Manager Patrik talks
Next trade = to open short at 6,40 USD /STOPLOSS 6,54 USD = 2,2% TARGET PROFIT 5,45% = 14,77%/
BE at price 6 USD >> 65 %
We will see soon.
Lukas says Long
Patrik says Short
This OPEC agenda looks really interesting. The price goes down, but there are some key supports.
Me and my friend made deal if Long or short, I say Short
Participation on biotech sector
I have open position on Bayer since 1st January.
I like how it looks on the chart.
I see some reasons to long this stock in the chart.
i see some technical reasons to short this stocks.
Risk is to short to defensive companies as telecoms.
I wrote some reason to short in the chart
There is some reasons I wrote in the chart.
based from real life
Vasek rika radsi prodej, ja rikam v pohode nakup..
This is just basic chart 2012-2016.