SOUTH AFRICA 40 SHORTS. We are bearish on weekly and daily timeframes so we look for sells. Has potential to run alot further.
GBPCAD SHORT IDEA. I will be looking for sells at the top of range. Technically still bearish on daily timeframe.
Tilray looks ready to pop. Rotated positive off the yearly Pivot. Weekly lows bought on the 1hr. Stop loss below last swing low. Clear room to move. 2% risk on this one.
Eurusd is positive off the daily since Monday's daily close. BTFD
Reversal on the 4hr - selling on 1hr range. Looking for gold to pullback, longterm I am bullish.
EURCHF Short. Market order. Range trade. SL10620 TP 10507
Selling the Dow, we popped upto the top of range yesterday but we are still in downtrend
Sold the Dax, 2% risk, I am bearish on most indicies.
Selling NZDCHF, we are in a downtrend selling the 1hr range.
GBPCHF SHORT. Reversal candle yesterday, selling the high.
NZDUSD SHORT. Downtrend still intact, gap down on the open last night showing selling pressure. We look for sells
Selling cable, Reversal candle yesterday targeting last swing low.
IAG sell activated. Bearish set up at monthly fib high.
I am bullish on Gold, the lows bought. 1:6 GREAT RISK TO REWARD
Selling Monthly Pivot. I see Copper heading lower from a technical point of view.
Gold sells activated. Big range on this one. TP daily support. 2% RISK.
NASDAQ SHORT IDEA. I see the Nasdaq rolling over from yesterdays high, will watch for entry signals.
Bullish on the dollar, jobless claims later today could give this a quick boost. I hear a risk off sentiment around the radios. Yes longer term we are bearish but I would see a risk on day with a pullback in equities.