We have run Sell stops and long positions have been accumulated. My final target of 1.21423 is probable, I anticipate taking partials as the price is delivered higher.
We have started breaking swing highs, after a massive bearish momentum at the start of the week. Entered after London Open. Why short? the dynamic expansion lower form yesterday has left Sell stops and the Previous Day's Low with Sellside. I'm anticipating this rally could be for shorts during the London Session, Once we sweep below the Asia lows, ill secure...
Quick scalp to the long side, we seem to be extended to the short side. I anticipate a potential target of 953.70 with partials made
entered early, chased price, stop tagged made a re-entry after 1330 anticipating a continuation higher if my stop is tagged again, I'll re-evaluate. targets and annotations made in the chart with Asia and London Buy stops as viable targets
Quick scalp on us 100 the anticipated final target is 11611.8 partials made in the chart Missed better entry
anticipate bearish crypto, Solana has played my short setup. I anticipate lower prices with a target of 29.0967. Partials to made accordingly, if you enjoy the Fibonacci, you can look for viable extensions to the downside
anticipating lower prices in DXY during the London Session. We are in a high Premium and I believe shorts will be in play during the London Session The entry price of 103.250 is my possible ideal price for limit order shorts any price above 103.241 is possible ideal for shorts as well Profit targets made in that chart at 102.763 with partials taken accordingly....
Annotations made in the chart Price has taken a swing low in London Open, any net short trader has been squeezed in the rally higher, accumulation of short positions above 1850.33 could be ideal for shorts to enter. i anticipate a run on Asia low. we have had a shallow run on Asia lows. I anticipate attacking Asia sell stops of any net long trader as price...
London Session short, I have an entry at 4149.9. anticipate a move lower to the previous Day's low. I anticipate a risk-off day with targets at 4104.4. Short entry setup formed. Price should deliver lower. If the price runs higher than 4149.9, I'd be willing to close my positions bearish if my stop is hit seeking the previous Day's low
Short-term opportunity to go short. My point of interest is at 1857.41 The rally higher could be an opportunity to short. Ideal targets are Asian low with annotations made in the chart. My entry is at the Equilibrium range so I expect another rally higher after the fall to take out any early sellers chasing the move lower before a potential dump lower. Once a...
London open manipulation and a re-accumulation of longs. Since it's Friday, maybe we could go higher before any melt lower for a reversal. Most short ideas have been invalidated previously. I'm taking longs to a final target of 1855.52. I anticipate a run higher rather than a sweep on the relative equal highs. My stops are below the lows. let's observe and...
We have had a parabolic squeeze in NY session with 0830 news providing volatility and squeeze higher at New York Open the 1000 am news could be paired in the afternoon session for shorts in the rally higher. The imbalance created could be rebalanced in the PM Session, Asia and Potentially London. The session should include a melt through Asia and London next...
Logic made on the chart with annotation, I anticipate a reversal with my point of interest at 1834.48. We have made a massive rally during the London Session with the most active traders long. More Breakout traders have been induced to the marketplace long at 1824.80. Also, trailed stops at 1824 have liquidated. As approaching the NY session, my logic is that...
while the price is counter-trend, I expect a rally higher to seek liquidity and potential smart money reversal after liquidity has been purged. Partials and annotations are made on the chart. My target is 12372(easier target)
While the market structure confirmed bullish yesterday, I expect the price delivery to continue bullish towards FOMC meetings. I anticipate the move to be already priced in. However, if bullish price action continues, expect a deep retracement lower with the news, before a continuation higher. If you observe the pattern formed on the 15M, an inverted head and...
While the market structure has shifted bullish, I expect a retracement lower to potentially fill the FVG on the 15M. The price delivery lower may be paired with smart money longs for continuation higher in NY, My expectation is that London Session may provide the temporary high of the day before NY with a possible reversal in NY for a continuation higher. My...
US30 long idea. taken multiple positions with partials taken along the way. There is possible anticipation of a move higher with my final target at 34049. stops at 33563. For a detailed thesis, DM for more
US30 continuation lower to sweep the consolidation. Using fib for targets at 0.5 and potential run on the Previous Day's Low.