Bearish on EU, I want a stronger low to be put in before I am convinced of sustained bullish price. Here are the levels I find interesting at the moment. This is in line with my bullish DXY outlook.
ノート
short on EU, need to see something encouraging soon.
ノート
seems to be developing, but still at risk. will move SL to BE at a new low formation.
ノート
Going to ask less of price on a monday and close out just below 12AM open price if it gets there. SL just above BE as there is a new low formation
ノート
moved SL back to the daily high, original risk.
ノート
dont love the 5min balanced range, price will need to violate it decisively.
ノート
thats more encouraging.
ノート
SL moved to break even.
ノート
Lol SL back at the daily high, no more messing with it. Price is pretty indecisive today.
ノート
slowly losing confidence in this trade tho, the high may be violated before sellside is targetted.
ノート
had written this one off mentally tbh but might still play.
ノート
DXY has made 2 lower lows, while EU has failed to make any higher highs, this leads me to think EU is weak relative to the dollar, I will be holding interday, however the risk of tomorrow making a new high and stopping out the position is there.
ノート
Lol what a grind.
ノート
taken out during london, probably should just have exited once it didnt develop. still looking for shorts.
ノート
I dont like taking positions as soon as NY opens, but I like the price.
ノート
hate taking trades off the 1M, i prefer the 5, but this is what im tracking, as its a volume imbalance, price may not give a nice 5M entry.
トレード終了: ストップロスに到達
ノート
first trade was premature. Giving it one last go for today.
ノート
great reaction off the 5M Balanced range. SL moved to break even.
ノート
small position added at the breaker.
ノート
going break even on added position.
ノート
added position stopped out break even. Tight margins, NY session hasn't given much this week. probably wont trade tomorrow ahead of FOMC.
手動でトレードを終了しました
Closed out small profit. dont think it will deliver.
ノート
short on EU. looking for FOMC to return price to the yearly open
ノート
1HR FVG sends price up for a reduced risk loss. Sidelined till after FOMC.
ノート
need to work better at sitting on my hands
ノート
will consider a short if news plays out like this.
ノート
taking a risk entry short here based on the higher timeframe
ノート
ノート
Will hold interday if today closes below the balanced range (white box)
ノート
reducing risk.
ノート
risk entry was the right call as there was no typical entry schematic near the high.
ノート
developing favorably.
ノート
it does look like the daily will close below the balanced range so i will be holding interday and expecting lower prices.
ノート
stopped out break even, id be lying if i said EU hasnt been frustrating this week.
ノート
in a buy.
ノート
need price to not show a willingness to trade below the 12AM open. dont want a weak choppy move here.