?Purpose: 1.4635 ‼️We enter at 0.5% of the allocated money for spot trading. There is more information in my channel.
MATIC could be a very attractive option for a $2 target
Hello traders and hope you are doing good! Today I would like to analyse deeply this market, trying to understand the logic behind my thesis. Do not forget to support and comment my idea, nothing change to you, but is really supportive to me. Overall, OIL looks like potentially going to complete a two weeks dump and pump template, and especially today with CPI and OIL major red news on calendar, it can be pretty interesting, but let's go deeper. The last week, since Wednesday the market drastically dumped down, breaking on Friday the low of week and closing the day/week in breakout, with short traders in the market. Now, typically, depending on the behaviour of price, the market can keep going breaking lower or reversing if volume is trapped down low, as it happened in this specific scenario. I would say then, that the low of week can be locked and it may start the reversal process, going to stop short traders from Wednesday. Monday, in the new week, the market placed a higher high (because it broke the Friday high of day), closing the day as first green day, which is a strong signal of market reversal. Tuesday, volume was trapped almost all the day below Monday closing price, and a dump and pump session setup pushed the price even higher! Wednesday, today, market kept breaking higher, potentially higher time frames long traders are driving this move. Let's discuss about the thesis, as you may already know, I do not predict the market, but I just show what it can be (as per my criteria) the highest probability setup, setting for the day. The long thesis, which is my current and main view, targeting the previous HOW, could be really interesting if the price will dump down into the low placed in London session, consolidating till 10:30am OIL news release for a buy low long trade setup, which I will be really willing to take. However, the market can consolidate up high into the current HOD/HOW, for a short scalp back into any higher level long, for example low of London or yesterday closing price, but I will be updating this analysis every hour from the beginning of NY session 8am NYT. Remember, I do not predict any movement but I only trade setup! See you later every one and let me know if you need any clarification!
As the write up on the screen is self explanatory and my recent post about EURUSD shows the opposite of this because this pairs are negatively correlated, I will wait and see what the markets will show me before I commit to the market, do well to like share and follow, stay tuned for more updates.
MÖGLICHER SHORT TRADE Es sah gestern bereits danach aus und aktuell haben wir die Bestätigung, dass der Bitcoin mit dem letzten Anstieg nur die Liquidität um $98.500 einsammeln und keine höheren Ziele erreichen wollte. Sollte der Bitcoin nun bei dem nächsten 4h-Close in rund 50 Minuten unter den wichtigen EMA‘s closen, sollte dies $94.000 als nächstes Preiziel markieren. Dort befindet sich die nächste relevante Liquiditäts-Zone und ein ziemlich ungesundes Chart-Bild aufgrund der ganzen Wicks. Dementsprechend könnte man davon ausgehen, dass der Bitcoin, sobald wir wieder unter die Trendline fallen, nicht nur die Wicks um $94.000 sondern diesmal vielleicht den 200er EMA, welcher sich aktuell um $92.000 aufhält anläuft. Sollten wir also in 13:00h unter den wichtigen EMA‘s schließen, suchen wir uns im 15min-Chart einen guten Short Entry beim Bitcoin. Tag: @Trading | @Signals
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