CRWD is one of the tech stock Today it had a good 3 percent day on high volume. A classic cup and handle pattern as told by William o Neil Currently sitting at a resistance. IMO it will break. expecting 450 soon
Bias: Bullish USD News: -Core Retail Sales m/m Analysis: -Weak bullish closure on previous daily -Looking for liquidity sweep on structure low -Looking for BUY if there's confirmation on lower timeframe -Pivot point: 2630 Disclaimer: This analysis is from a personal point of view, always conduct on your own research before making any trading decisions as the analysis do not guarantee complete accuracy
NASDAQ:MARA in hourly time frames Correction of wave 2 seems to be completing now. An ending possible diagonal in its wave ((c)) is in progress. The last decline should have started in wave (v).
4hr HBD developing on MACD nice double bottom structure with textbook retest of the neckline. Price reclaimed and defended $4.80. Nice bullish reversal pattern (maybe japanese candlestick reversal pattern??) above the S/R zone. Easy 3:1 R/R set-up, we will see what happens, NFA.
Just now opened a bitcoin long. I anticipated that it would fall a bit lower but I got my entry confirmation to long. I have close targets just incase. See chart. Time sensitive
Just recently open an ethereum long. From my analysis it looks like market will pump tonight. Its at nice key weekly level and structure is clean. Overall align with my plan checklist as well. Partials on chart, If decide to take partial before the targets I have already I will update.
https://www.tradingview.com/x/Kf0bU8Yn/ Presenting 3 variants how this correction from 22Nov might develop further.
SOfi is one of the wall street and twitter fav but since past 2-3 years it is dominated by sellers. Now if you look at the chart black lines indicates vwap from sellers. currently at 16 every seller is in loss. Now today it has a breakout on volume. This past 2-3 month is month of SPAC. SOfi can still reach to its all time high to 28.
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EURUSD Trading Journal Summary of Dec 16 Price action Price opened in Asia in premium that creates a nest of equal ST equal highs. At 3 in London and by 4 breaks down to take the ST equal lows and swings down past the 50% from the previous days range and takes the noted FVG. In NY Price swings back and forth between the .79 and 50 levels taking the equal lows and comes into the FVG to rebalance but just wicks through. By 10 rallies back up to .79 level by 1pm. To close NY in a premium. Price swings at 4 and 10 are both 38pips. NEAT. This pair experienced 3 red folder drivers so I decided to tape read. I am happy to analyze it seeking the ST equal lows/highs and rebalance the FVG and which macros price is reacting.