DXY, EUR/USD, USD/JPY, GBP/USD, AUD/USD, USD/CAD
SPDR S&P 500, BANK OF AMERICA CORP, SPDR SELECT SECTOR FUND - FINANCIAL, SIRIUS XM HOLDINGS INC, GENERAL ELECTRIC COMPANY, ORACLE CORP
S&P 500, Nasdaq 100, Dow 30, Nikkei 225, DAX, FTSE 100
Gold, Silver Futures, Crude Oil, Natural Gas, Coffee, Corn
Bitcoin / Dollar, Ethereum / Dollar, Bitcoin Cash / Dollar, Ripple / Dollar, Litecoin / Dollar, Ethereum Classic / Dollar
US 10Y, Euro Bund, Germany 10Y, Japan 10Y, UK 10Y, India 10Y
GOLD (US$/OZ), Brent Oil, Crude Oil, Natural Gas, PALLADIUM (US$/OZ), SILVER (US$/OZ)
After a long week with full of news, there is opportunity of short.
Entry: as show above
Tp: Temporary set. to be revised later.
Sl: as shown in chart
Tp: to be revised later.
Entry: trade active.
Target Point: as shown in chart.
The target point might be revised later. Let's see how it goes.
Target Point: 119.525
Entry: the best at 49.00
Target profit: 53.00
Target Profit: the previous low.
For some trades I might close manually if I feel there is price rejection on that level.
Very good RR trade.
Stoploss: above EMA10
Target Point: previous low
Entry: shown in chart
Target Point: to be defined later.
Beware of AUD pair, I have made a loss due to AUD weakening for EURAUD.
Entry price: pending order at 1.40000
Target Profit: To be defined later.
Entry: as stated in chart.
TP: to be confirmed later.
Entry level: stated in chart.
TP: the latest new low.
Let's see how it goes, I might add more positions
Target Point: to be decide later.
Pending order is set at the price level shown.
Pending order: 1.65
TP and SL as shown in chart.
Entry: defined as shown in chart.
SL: defined as shown in chart.
TP: Not define yet, have to see how it runs.
Very good RR.
Entry, TP and SL defined as shown in the chart.
Just log a small vol for first entry.
Wait for rebounce and add extra lot.
TP and SL as stated.
Target Profit: 1.22621
Stop Loss: 1.24187
Project uptrend will continue with tide stoploss
Watch out the yellow box price action.