NZDCAD Sell Idea @Weekly Supply Zone (0.93385 - 0.95196) Sell Limit: 0.93273 Stop Loss: 0.95455 Take Profit: 0.86837 Risk Management = 0.01/$100, With Stop Loss Risk Management = 0.01/$200, No Stop Loss (Recommended) Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:2 Close partially the contract once it reaches 50% of profit, Move stop loss...
CADCHF Sell Idea @Daily Supply Zone (0.75191 - 0.75916) Sell Limit: 0.75105 Stop Loss: 0.76090 Take Profit: 0.73408 Risk Management = 0.01/$100, With Stop Loss Risk Management = 0.01/$200, No Stop Loss Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:2 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the...
GOLD Buy Idea @ Daily Demand Zone (1229.91 - 1217.14) Buy Limit: 1227.48 Stop Loss: 1244.25 Take Profit: 1215.83 Expiry 1 month Risk Management = 0.01/$100 Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:1.5 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the entry level Close partially the contract...
GBPNZD Buy Idea @Weekly Demand Zone (1.85708 - 1.81282) Buy Stop: 1.86050 Stop Loss: 1.81029 Take Profit: 2.00898 Risk Management = 0.01/$100, With Stop Loss Risk Management = 0.01/$200, No Stop Loss Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:2 Close partially the contract once it reaches 50% of profit, Move stop loss over the entry...
GBPCAD Buy Idea @Daily Demand Zone (1.68981 - 1.67624) Buy Stop: 1.69119 Stop Loss: 1.67512 Take Profit: 1.72959 Risk Management = 0.01/$100, With Stop Loss Risk Management = 0.01/$200, No Stop Loss Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:2 Close partially the contract once it reaches 50% of profit, Move stop loss over the entry...
USDCAD Sell Idea @Daily Supply Zone (1.35742 - 1.36618) Sell Limit: 1.35613 Stop Loss: 1.36773 Take Profit: 1.33079 Risk Management = 0.01/$100, With Stop Loss Risk Management = 0.01/$200, No Stop Loss (Recommended) Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:2 Close partially the contract once it reaches 50% of profit, Move stop loss...
EURNZD; Very Strong Monthly Supply Zone (1.75242 - 1.79595), Daily and Weekly Supply Zones are nested at the Monthly Zone. Possible sell at 1.73993 EURNZD Sell Idea @Weekly Supply Zone (1.73993 - 1.75874) Sell Limit: 1.73993 Stop Loss: 1.76739 Take Profit:1.65536 Risk Management = 0.01/$100, With Stop Loss Risk Management = 0.01/$200, No Stop Loss Recommended...
DXY , The current price action at the monthly TF is not strong enough to go forward. Strong supply zone at the Weekly and Daily TF. Currently the bears are controlling the game, possible to continue dropping till the Weekly & Daily Demand Zone (94.670 - 93.710) where long is possible DXY Buy Idea @ Weekly Demand Zone (94.670 - 93.710) Buy Limit: 94.670 Stop...
GBPSGD Buy Idea @Monthly Demand Zone (1.7460 - 1.6975) Buy Stop: 1.7396 Stop Loss: 1.6841 Take Profit: 1.8449 Risk Management = 0.01/$100, With Stop Loss Risk Management = 0.01/$200, No Stop Loss Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:2 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the entry...
Gold , breaking the weekly supply zone (1290.65 - 1307.43) will open the way for bulls to the strong supply zone (1335.43 - 1364.81), sell is possible from that supply zone (1335.43 - 1364.81) (same supply zone at the Daily/Weekly/Monthly) but confirmation is needed depending on the price action and the trend.
S&P Sell Idea @Weekly Supply Zone (2597.00 - 2687.25) Sell Limit: 2576.00 Stop Loss: 2703.00 Take Profit: 2340.50 Risk Management = 0.01/$100 Risk Management = 0.01/$200, No Stop Loss Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:2 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the entry level...
EURAUD Sell Idea, breaking 1.60642 will open the way to the Daily Demand Zone (1.58603 - 1.57653) Sell Stop: 1.60642 Stop Loss: 1.61559 Take Profit: 1.58683 Risk Management = 0.01/$100, With Stop Loss Risk Management = 0.01/$200, No Stop Loss Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:2 – 1:3 Close partially the contract once it...
ETHUSD Sell Idea @Weekly Supply Zone (192.91 - 232.64) Sell Limit: 182.56 Stop Loss: 245.97 Take Profit: 95.47 Risk Management = 0.01/$100, With Stop Loss Risk Management = 0.01/$200, No Stop Loss Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:2 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the entry...
USDZAR Buy Idea @ Daily Demand Zone (13.47566 - 13.26915) Buy Limit: 13.50250 Stop Loss: 13.23619 Take Profit: 14.04885 Risk Management = 0.01/$100 Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:1.5 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the entry level Close partially the contract once it...
DISNEY Buy Idea @ Monthly Demand Zone (100.08 - 96.50) Buy Limit: 100.25 Stop Loss: 95.68 Take Profit: 110.80 Risk Management = 0.01/$100 Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:1.5 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the entry level Close partially the contract once it reaches 80%...
DXY Buy Idea @ Weekly Demand Zone (94.670 - 93.710) Buy Limit: 94.772 Stop Loss: 93.535 Take Profit: 97.002 Risk Management = 0.01/$100 Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:2 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the entry level Close partially the contract once it reaches 80% of...
USDJPY Sell Idea, Breaking 109.779 may open the way to the Weekly Demand Zone (105.954 - 104.626) Sell Stop: 109.779 Stop Loss: 110.592 Take Profit: 106.895 Expiry 2 month Risk Management = 0.01/$100 Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:2 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the...
EXXON MOBIL Buy Idea @ Monthly Demand Zone (62.86 - 55.77) Buy Limit: 63.10 Stop Loss: 55.77 Take Profit: 79.47 Risk Management = 0.01/$100 Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:2 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the entry level Close partially the contract once it reaches 80%...