AUUSD for is after Accumulation. My potential setups you see on chart. This is not recommendation ;) Just my view. Usully I use 3 or 4 orders with TP1-TP4 Minimal Risk reward is 1:1 NOT LESS
If you haven`t bought the dip on GM before the previous earnings: Then analyzing the options chain and the chart patterns of GM General Motors Company prior to the earnings report this week, I would consider purchasing the 35usd strike price at the money Puts with an expiration date of 2024-4-19, for a premium of approximately $1.85. If these options prove to...
hello Traders, here is the full analysis for this pair, let me know in the comment section below if you have any questions, the entry will be taken only if all rules of the strategies will be satisfied. I suggest you keep this pair on your watchlist and see if the rules of your strategy are satisfied. Please also refer to the Important Risk Notice linked below.
hello Traders, here is the full analysis for this pair, let me know in the comment section below if you have any questions, the entry will be taken only if all rules of the strategies will be satisfied. I suggest you keep this pair on your watchlist and see if the rules of your strategy are satisfied. Please also refer to the Important Risk Notice linked below.
hello Traders, here is the full analysis for this pair, let me know in the comment section below if you have any questions, the entry will be taken only if all rules of the strategies will be satisfied. I suggest you keep this pair on your watchlist and see if the rules of your strategy are satisfied. Please also refer to the Important Risk Notice linked below.
In my post from yesterday, I mentioned that OANDA:XAUUSD had broken below support. I advised that any rallies back to that zone should be considered for selling. Following my own advice, I executed the sell, and despite an initial drop, the market reversed, resulting in my trade currently being at a loss. Setting aside my specific trade situation, let's...
If you haven`t sold KEY here: Then analyzing the options chain and the chart patterns of KEY KeyCorp prior to the earnings report this week, I would consider purchasing the 16usd strike price Calls with an expiration date of 2024-7-19, for a premium of approximately $0.78. If these options prove to be profitable prior to the earnings release, I would sell at...
Analyzing the options chain and the chart patterns of TLRY Tilray Brands prior to the earnings report this week, I would consider purchasing the 2.50usd strike price Calls with an expiration date of 2024-1-26, for a premium of approximately $0.22. If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
🔥 Price on the 4H chart might come at these support area and we might get a potential bounce🔥 Potential bounce areas for Buying 0.2190 and 0.1853 👉 Follow me for More Real Time Opportunities. Share your Thoughts if you have any?
Hello Traders! As expected, we can see a retracement of the OIL H2 from the resistance level, and also, from the OB at the price of 74.900. I see this retracement as a good signal of bearish domination, representing a good opportunity to execute a short trade. Treaders, if you liked my idea or if you have a different vision related to this trade, write in the...
We are in a good area to enter into purchases, we can enter the market in areas close to 180,786📈📈 success to all, visit my profile in Spanish to see the other operations✅ 😄📲 good ratio
Hello Traders! This is my perspective for US100 H4. NASDAQ just set a new ATH (All Time High), and now I expect a retracement until the price of 15735. A very strong move this week. In case of confirmation, it would be a good opportunity to execute a short trade. Traders, if you liked my idea or if you have a different vision related to this trade, write in the...
Hello Traders! This is my perspective for BTCUSD H4. I see two key levels that most probably will be reached. The first one is Liquidity at the price of 39300. The second one is the resistance level from 38500, from this price I will look for a Long trade in case of confirmation.✅ Traders, if you liked my idea or if you have a different vision related to this...
EURJPY is a risky trade you can take with small risk (strongly recommended) until it breaks below support (potential pump fake out) please enter in with PROPER risk management and wait until further confirmations. EURJPY Sell/Short ENTRY: 163.882 TP: 160.494 SL: 164.668 2-5% risk capital.
We are in a good shopping area, however we will wait for it to reach 0.61497 before entering SALES, in the same way entering the market now can be a good option📉📉📉 success to all, visit my profile in Spanish to see the other operations✅ 😄📲
We are in a good shopping area, however we will wait for it to reach 1.35698 before entering into purchases, in the same way entering the market now can be a good option📈📈📈📈 success to all, visit my profile in Spanish to see the other operations✅ 😄📲
If you haven`t bought the dip on S: Then analyzing the options chain and the chart patterns of S SentinelOne prior to the earnings report this week, I would consider purchasing the 20usd strike price Calls with an expiration date of 2023-12-15, for a premium of approximately $1.15. If these options prove to be profitable prior to the earnings release, I would...
Good evening gold gang! are we ready to do it all again on the gold chart? .. lets go Price is over all messy in this 100 pip range .. not many opportunities to buy or sell currently without getting caught out at old highs and lows Current algo is primed to break .. but can also be a fakeout .. so im gonna leave it and wait for either side of it id like to...