CL is trading both FIbs ad SMAs.
They have a higher price in Trade, but
have gaps both Above and Below.
70.16 / 70.11 would be the Pullback,
but the BOts won't allow this until after
Lunch and the EU Session ends.
We took a small sell only to be stopped
take a $900 loss.
NQ a different story as we took a small
long there and enjoyed the run.
16400 is the New NQ Price Objective, we'll
see how CL responds as it is tracking with
NQ against the OVX.
____________________________________
Crude Oil continues to trade vertically in Extensions.
One after another...
They have a higher price in Trade, but
have gaps both Above and Below.
70.16 / 70.11 would be the Pullback,
but the BOts won't allow this until after
Lunch and the EU Session ends.
We took a small sell only to be stopped
take a $900 loss.
NQ a different story as we took a small
long there and enjoyed the run.
16400 is the New NQ Price Objective, we'll
see how CL responds as it is tracking with
NQ against the OVX.
____________________________________
Crude Oil continues to trade vertically in Extensions.
One after another...
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免責事項
これらの情報および投稿は、TradingViewが提供または保証する金融、投資、取引、またはその他の種類のアドバイスや推奨を意図したものではなく、またそのようなものでもありません。詳しくは利用規約をご覧ください。