Short from 4123 Sl above 4200 Target 4000 possibly lower. FED tomorrow another bank blowup today + Apple.
Short from 13214 Sl at least above 13240 mine is 13339 Target 12600 possibly lower. FED tomorrow another blowup today + Apple.
I entered long position at 2.73 Freeport LNG is going to open soon after months of being offline. Export of US LNG to EU will resume which will lower EU prices and rise USA prices.
Entered short at 4048 Yearly Pivot. Target 3333, Stop loss above 4100. I think price action is similar to March 2002.
Perhaps we are here Dr Burry said maybe, I tend to agree.
I'm short at 0.705 price is at 200SMA major fib and in the pivot sell zone China's reopen is already old trade.
I'm starting to buy USD again. GBPUSD and EURUSD..........................................................
I have added short position at 3995 SL, above the recent high at 4045.
Added short at 11170 SL above 11385 Price retraced back to resistance at 0.618 fib level and weekly m3 and monthly Pivot. J.Powel pivoted from hawkish to more hawkish.
I added short at 3845 SL above 3885. Price retraced back to resistance at major fib level and weekly m3. J.Powel pivoted from hawkish to more hawkish.
The price is at resistance again. I'm short from 4103. SL. above 4230 -Blue line is 200 moving average.
Entered 2 small short positions at 12562 one is an open stop-loss since I am a bear second one has sl. slightly above 12603. -profit taking at the end of the week?
I'm going short again at 13620 SL. have to go above recent high The black line is 0.618 fib retracement from Mar high. Don't forget the FED they are not done yet.
Apple is the biggest component of NASDAQ if Apple goes down so does NASDAQ I certainly wouldn't be buying at this price. Don't forget the FED they are not done yet.
I'm short from 13380 SL. have to go above 13500. FED isn't over jet. Inflation YoY is well above 2% I don't think FED will stop until YoY inflation is at 4%.
I'm short EURUSD from 1.035 SL above 1.085. TP at 1.00 FED isn over jet USD will stingten again.
Im short from 13271 SL above13375 NFP was better than expected good news is bad news for stock market reason FED.
Im short from 14880 SL above recent high at 15280. Blue level was important support now turned resistance. Russia Ukraine crisis isn't over.