There seems to be falling wedge pattern on the 1h chart which indicated buying pressure. However if we looses this zone it would crash down to a highest demanded zone period marked on the chart. But for the good, there are visible gaps in the chart which higher possibility of covering them to the upside..
US 10 year futures looking to make another move after brief pull back. given the positive FED signals and overall market sentiment this can turn and start moving up again. DISCLAIMER : The content and materials featured are for your information and education only and are not attended to address your particular personal requirements. The information does not...
The pair looks like it may pause a little, and it has run upward quite sharply. The stochastic is slightly positive, and SMI plus the AO all suggest we may see higher before we correct again. I am inclined to be BUYER @ 17.4350-17.4700 and place profit order @ 17.6850 for now. SL based on personal risk appetite.
Nifty nearest support lines ..look for price action ..at these areas..
Here is a chart where we do not have a bottom. We do not have a bottom pattern and no reversal signals. There is no bullish breakout, no rising volume, nothing. We can find something by looking at some indicators but all these signals would be weak. Now, consider this, how far lower can it go? We've seen how a strong bullish breakout, a surprise move, can...
- I believe market has turned daily support into resistance and seems to be respecting it - We got a FVG at 4 hour support that needs to get hit - I also believe we are in the process of creating a lower low on 30min chart
Selling after yesterdays daily bullish imbalance taking my sells back to 145.000 I see liquidity set on the 1-5 min time frame and a big gap on the daily imbalance.
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There’s a 518 day time cycle from the 2 previous major lows to today. There’s also a falling broadening wedge breakout, DMI cross (not shown), and escalating regional conflict in the Middle East. Iran has launched ballistic missiles at Israel. There is a major downtrend but it’s far enough overhead that there’s headroom for upside. The trend seems vulnerable...
NZD/USD is breaking down, slicing through uptrend support on the daily chart as we head towards nonfarm payrolls. With momentum indicators providing bearish signals, selling rallies and breaks is preferred near-term. If we see a push back towards the former uptrend today, consider selling with a tight stop above for protection against reversal. Potential...
Can we say that the bottom is in? In this chart, AXLBTC, we can see a consolidation pattern (sideways) after strong bearish action. The fact that prices go flat after a strong bearish wave tells us that the bearish wave is no longer viable. It tells us that the bearish wave is over. Now, a bearish wave ending doesn't necessarily lead to a bull-market, there can...
Ryan: I think everyones being a little silly 🙂 🐻: ... 🥤 Ryan: We are going to all time highs 🙂 🐻: Drink this Ryan... 🥤 Ryan: Gulp.... 😪 ehhhhh.... 🐻: Yessssssss..... drink up now... there you go Ryan: 😴
Here's what that means. A long-term view. Traders, The pressure is on for these altcoin bulls to run through the end of the year. However, we are flirting with disaster this time around. Here's why? From the beginning, the 350 DMA (or 50-week MA) has always told traders whether we were in a bull market or a bear market. Though periodically, the price did stick...
Weekly Imballance + Trendbased Fibonacci + Fibonacci Analysis. We'll See how it ends up.
prilika za kupnju nakon pada btcusd para na 60 000 popularni gartley uzorak pokazuje da investitori ciljaju take profit nivo od 115 000.. Buyers are looking for buy opportunity as btc dropped to 60 k and targeting famous gartley pattern at 115'000 as take profit area!!!
prilika za kupnju nakon pada btcusd para na 60 000 popularni gartley uzorak pokazuje da investitori ciljaju take profit nivo od 115 000.. Buyers are looking for buy opportunity as btc dropped to 60 k and targeting famous gartley pattern at 115'000 as take profit area!!!
Team, congratulations to those who followed 7 trades yesterday; we got all hit perfectly. AUS200, UK100 , DOW X 2 AND NAS AND GOLD X 2 We are shorting GOLD at the moment 2656-2655 ranges, with stop loss at 2665, Target at 2649 target 2 at 2647 Target 3 at 2645 or 2643 Once the price hit below 2650, trail stop loss to BE