WyckOff + Pullback Confirmed / IMB as targets.
We got the last operation to SL (only -0.5% of my account), so it does not bother to me at all. Changed the risk ratio and a clearer pullback
Based on many divergences + confluencing with a Daily Base Institutional Pattern. WyckOff also discovered in the change of trend, also looking at price action.
I'm basing on institutional levels, a Daily IMB was reached, confluencing with a double daily divergence + a WyckOff formation confirmating the BOS.
Waiting for the retail to finish to join in buy.
As I see the DXY covering a gap to buy, this pair I am guessing is going to go to sell. DXY Analysis:
We have reached the oversold RSI zone, we got in a zone that the price had to correct, now we may have an upt trend. Made a huge spring, also coinciding with a high-demand zone that the price is. If you think to copy this, I am not responsible for earnings or losses.
On 15M for a more detailed Wyckoff,here we have our last Elliot's wave, founding an Wyckoff event, right now at the upthrust stage. We want to wait for the jump and break of structure.
I am planning to sell due to we are in a major low trend, following the 2 base patterns of price action ineficiency and an overbought RSI with sold out candles at the end confirming me we are going to sell. If anyone is trying to make profits with this, and goes to SL, do not blame me because this is for educational purposes.
We have 3 very clear unbalances down here, each one after being in a higher temporality
The price seems to be going up but we have some selling candles very strong that show that we could may go for those imbalances and base patern. We are waiting for the price to arrive to those points so we can buy a sniper operation until an institutional candle which didn't get correctet.
Seeing the gaps and ineficiencies from the DXY and this pair, I see clear that the price is going to reach those areas at a minimum of the 50% of the unbalanced candles.
The DXY has a GAP and here we see that in that area there is price ineficiency.
Waiting for oversold RSI levels, psychologic points to buy at the pullback. Target zone imbalance of the price.
Looking at the offer/demand zones I see that the main trend is downwards + there is an imbalance where the price did not make a correction. Waiting for the price to hit the demand/offer zones and then selling to the uncorrected zone.