DXY, EUR/USD, USD/JPY, GBP/USD, AUD/USD, USD/CAD
SPDR S&P 500, CHESAPEAKE ENERGY CORP, BANK OF AMERICA CORP, GENERAL ELECTRIC COMPANY, POWERSHARES QQQ TRUST, SERIES 1, MICRON TECHNOLOGY INC
S&P 500, Nasdaq Composite, Dow 30, Nikkei 225, DAX, FTSE 100
Gold, Silver, Crude Oil, Natural Gas, Corn, Bitcoin
BTC/USD, ETH/USD, BCH/USD, XRP/USD, LTC/USD, ETC/USD
US 10Y, Euro Bund, Germany 10Y, Japan 10Y, UK 10Y, India 10Y
Gold, Brent Oil, Crude Oil, CFDs on Natural Gas, Palladium, Silver
Just started a double bottom, the target have more than 150 pips.
But i think, price need a harder correction, can arrive to 61.8%fibo, low risk to a high profit.
Can be a nice oportunity to close the GAP and look for a nice long then
Can be nice week to try long with all pairs against dollar, dollar index is in correction.
It's probably a nice opportunity to try a short in a GBPUSD, but the problem are the news about brexit, and
unsteadiness of the market
We'll see a short in a USDCAD?, probably just broke a bearish trendline, to entry in a bearhish channel, haha we'll see next week