My Premium Trade Plan is to Long USD/CAD Its a simple plan but effective. Note: Do your own research before taking the trade. Reason: Bullish Trend Continuation and Strong momentum Indictors used: RSI, Price action, EMAs & Parabolic Sar
Sunday Trader's Premium Trade Plan I will short EUR/USD. The plan is simple with good R:R of 1:20. Note: Do your own analysis before taking the trade. Reason: Rejection from Strong Resistance zone Indicators: RSI & EMAs
My Trade Plan is to Short BTC Note: Do your own research before taking the trade. Sell: 41800-41900 SL: 43200 1st Target: 38300 2nd Target: 36300 Reason: Strong rejection from Resistance and Bearish Trend active Indictors: RSI & EMAs
SundayTrader’s Premium Trading Plan: Long GBP/USD Note: Keep Stoploss in place and Do your own research before taking the trade. BUY: 1.35886 - 1.35986 SL: 1.35617 1st Target: 1.36535 2nd Target: 1.37345 Reason: After a successful bullish trend, the momentum seems to be exhausted and therefore a good Pull back is expected. Indicators used: Fib Retracement...
Sharing my Premium Trade Plan here; All Trades can fail therefore a strict Stop Loss is always intact. My Trade Plan is to Long GBP/USD on Daily Time frame thereby I will not be worrying about small volatility that exists. Risk to Return Ratio is 1:7.5 Note: Do your own analysis before taking the trade. Buy/Long: 1.31916 - 1.32145 SL: 1.31548 Target zone:...
After Successful Trade Plan of GBP/JPY before , I am looking to Long GBP/JPY again. I will Long GBP/JPY after the it Retests the Support . The trades are always risky that's why Strict Stop Loss of 10 Pips is intact. Note: Do your own analysis before taking the trade. Buy/Long: 152.900 - 152.963 Stop Loss: 152.800 Targets: 154.485 and...
The Plan is to Short AUD/JPY after the Retest as shown in the chart. Stop Loss consist of 13 Pips . RR is 1:6.8 Note: Do your own research before taking the trade. Sell/Short: 82.450 - 82.400 Stop Loss: 82.530 Targets: 82.000 - 81.575 Indicator used: Moving Average (MA) Analysis is based on Market structure, Multi-time frame analysis, Support &...
I will Short AUD/USD after the Retest takes place. Stop Loss is Important and it will be intact. R/R is 1:9. Note: Do your own analysis before taking the trade. Short/Sell: 0.72486 - 0.72455 Stop Loss: 0.72560 Targets: 0.71673 and 0.71700 Indicator used: Moving Averaging (MA) Analysis is based on Market Structure, Supply/Demand zones and Moving Averages.
I will Long/Buy BTC after a successful Retest , A strict Stop Loss is intact . Note: Do your own research before taking the trade. Buy/Long: 57,020.00 - 57,560.00 Stop Loss: 55,694.00 Targets: 65,840.00 and 67,500.00 Indicators used: Moving Average (MA) and Relative Strength Index (RSI). Analysis is based on: Market Structure, Historical data, Strength of...
I will Long XAUUSD after a successful retest around 1848.00. Risk-Return Ratio is 1:11 . Gold is Risky therefore a Strict Stop Loss is intact . Note: Do your own research before taking the trade. Buy/Long: 1847.20 - 1850.00 Stop Loss: 1843.30 Targets: 1877.40 and 1899.85 Indicators used: Moving Average and RSI Analysis is based on Market Structure,...
The Old Trade is continuing now . As I told before that USD/CAD will rise til 1.26500 and then I will Short. It seems that Short/Sell time have arrived. I will Short USD/CAD after a Retest of Broken Support level. Risk-Return Ratio for the trade is 1:7.4 with Strict Stop Loss of 13 Pips intact. Note: Do your own analysis before taking the...
The Plan is to wait for the price to Retest after Resistance zone is broken . The Risk to Return ratio is 1:7 . The Strict Stop Loss of 10 Pips would be in Place. Note: Do your own analysis before taking the trade. Long/Buy: 114.010 - 114.070 Stop Loss: 113.900 Target: 114.953 Indicator used: Moving Average (MA) Analysis based on: Moving Averages, Market...
My Trade Plan: Short GBP/USD I will Short GBP/USD after the Price Retests the Resistance zone. R/R for the trade is 1:4 . Strict Stop Loss of 10 Pips is Intact . Note: Do your own analysis before taking the trade. Short/Sell zone: 1.34430 - 1.34400 Stop Loss: 1.34586 Targets: 1.34078 and 1.33770 Indicator used: Moving Average (MA) Analysis based on...
I will wait for Retest before Shorting EUR/USD , Risk to Return Ratio is 1:6.8 , keeping Strict Stop Loss Intact. Note: Do your own analysis before taking the trade. Short/Sell zone: 1.2872 - 1.2856 Stop Loss: 1.12971 Targets: 1.12504 and 1.12135
My Trade Plan: Short XAUUSD (GOLD) I will Short/Sell Gold around 1910.00 - 1935.00 Strict Stop Loss of 1955.00 will be in place as well. Possible Exit will be from 1853.00 - 1830.00 . Risk-Return Ratio: 1:3 My Trade Plan is NOT a Buy/Sell Call. Note: Do your own analysis before taking the trade.
My Trading Plan on GBP/JPY #Long I'll Long G/J around 152.700 - 152.640 , with Stop Loss around 152.400 . I'll exit the trade around 153.200 - 153.300. The Risk/Return ratio is 1:2.7. Just sharing my Future Trading Plan for education purpose only. This is certainly Not a Buy/Sell Call. Criticism is welcome. Note: Do your own analysis...
My Trading Plan on USD/CAD. #Short I'll be looking to Short USD/CAD around 1.26350, with Stop Loss 1.26720. The Risk/Ratio is 1:8. USD/CAD is very likely to give good bounce back up before continuing the Bearish Trend . Note: Do your own analysis before taking the trade.
Lets Enjoy the Plunge the pair has given. Short/Sell is recommended. Note: Do your own analysis before taking the trade.