Gold case study, why short?
Big picture:
- Monthly waiting pullback since Feb
- Weekly MA10 potentially become resistance ; 2351
- EMA21 - 2243 (deep thinking), time vs pricing > 225x-226x vs CMP (1000p)
- Overall outlook = Healthy pullback
Trade setup reason:
Entry 2370-2380 (can layer 1-2 trades)
SL above 50% fibs 2388-2390 area
RR 1:5
Fibs 38.2%
Targets 2303 and 227x area
H4 trending down > sideway > manipulation > continuation down
current market sweep liqduity above, pending down. Expect movement on Friday.
Big picture:
- Monthly waiting pullback since Feb
- Weekly MA10 potentially become resistance ; 2351
- EMA21 - 2243 (deep thinking), time vs pricing > 225x-226x vs CMP (1000p)
- Overall outlook = Healthy pullback
Trade setup reason:
Entry 2370-2380 (can layer 1-2 trades)
SL above 50% fibs 2388-2390 area
RR 1:5
Fibs 38.2%
Targets 2303 and 227x area
H4 trending down > sideway > manipulation > continuation down
current market sweep liqduity above, pending down. Expect movement on Friday.
交易進行
SELL LIMIT HIT手動結束交易
2303 TP1 hit - first target hit + liq.gap filled.Next downside 227x area, trader may secure 80% and left 20% run lower
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免責聲明
這些資訊和出版物並不意味著也不構成TradingView提供或認可的金融、投資、交易或其他類型的意見或建議。請在使用條款閱讀更多資訊。