volume + RSI + PA + macro data, everything confirms the sell off,
strong short,
SL over daily R1 10937
TP1 daily S2 @9780
TP2 9450
TP3 8800
strong short,
SL over daily R1 10937
TP1 daily S2 @9780
TP2 9450
TP3 8800
Comment:
exit 1/2 position @10300 now to reduce my open risk, rest SL now at BE, will add more shorts at any rebound
exit 1/2 position @10300 now to reduce my open risk, rest SL now at BE, will add more shorts at any rebound
Trade closed: stop reached
back to channel with huge selling presure and volume, looks good
deutsche bank will do the job ;)