?Hi! Hola! Ola! Bonjour! Hallo! Marhaba!? Dear Money Makers & Robbers, ? ??✈️ Based on ?Thief Trading style technical and fundamental analysis?, here is our master plan to heist the USD/CHF "Swiss-dollar" Forex Bank . Please adhere to the strategy I've outlined in the chart, which emphasizes long entry. Our aim is the high-risk Red Zone. Risky level, overbought market, consolidation, trend reversal, trap at the level where traders and bearish robbers are stronger. ??"Take profit and treat yourself, traders. You deserve it!??? Entry ? : "The vault is wide open! Swipe the Bullish loot at any price - the heist is on! however I advise to Place buy limit orders within a 15 or 30 minute timeframe most recent or swing, low or high level. Stop Loss ?: Thief SL placed at the recent/swing low level Using the 1H timeframe (0.87900) Day / scalping trade basis. SL is based on your risk of the trade, lot size and how many multiple orders you have to take. ?☠️Target ?: 0.89150 (or) Escape Before the Target ?Scalpers, take note ? : only scalp on the Long side. If you have a lot of money, you can go straight away; if not, you can join swing traders and carry out the robbery plan. Use trailing SL to safeguard your money ?. USD/CHF "Swiss-dollar" Forex Bank Heist Plan (Day/Scalping Trade) is currently experiencing a bullishness,., driven by several key factors. ??️Get & Read the Fundamental, Macro, COT Report, Quantitative Analysis, Sentimental Outlook, Intermarket Analysis, Future trend targets.. go ahead to check ???? ⚠️Trading Alert : News Releases and Position Management ? ?️ ?? As a reminder, news releases can have a significant impact on market prices and volatility. To minimize potential losses and protect your running positions, we recommend the following: Avoid taking new trades during news releases Use trailing stop-loss orders to protect your running positions and lock in profits ?Supporting our robbery plan ?Hit the Boost Button? will enable us to effortlessly make and steal money ??. Boost the strength of our robbery team. Every day in this market make money with ease by using the Thief Trading Style.???❤️?? I'll see you soon with another heist plan, so stay tuned ?????
Pairs on Watch - OANDA:XAGUSD FX:EURUSD FX:NZDUSD A short overview of the instruments I am looking at for today, multi-timeframe analysis down to what I will be looking at for an entry. Enjoy!
XAUMO Bias Today: BULLISH > NEUTRAL Gold is coiling below a breakout point with strong institutional alignment at $3,021–$3,024. Until $3,036 breaks cleanly, expect range expansion and liquidity sweeps. 1. Institutional Volume Flow • Smart Money Zones Detected at $3,023–$3,024 and $3,036 • Volume Spikes near $3,057 = Final target or trap setup • Current Action: Consolidation near VWAP (~$3,024) = Prime area for expansion Flow Bias: Accumulation in progress → Expect breakout impulse soon. 2. Key XAUMO Zones Zone Type Details $3,021–$3,023 BUY Zone Bullish OB + POC + VWAP Cluster $3,036–$3,040 SELL Zone Bearish OB + Fib 61.8% + Stop Cluster $3,046–$3,057 TARGET ZONE High Volume Liquidity Sweep Zone $3,010–$3,001 INVALIDATION ZONE Structure Break = Exit Longs 3. VWAP, POC, and Value Areas • VWAP (Fair Value): $3,024.10 • POC (Volume): $3,020.75 • VAH / VAL: $3,036 (high), $3,010 (low) Price is in equilibrium zone — anticipate deviation & reversion setups. 4. Fibonacci Confluence • Pullback from $3,057 to $3,013 mapped key retracements: • 38.2%: $3,030 • 61.8%: $3,036.45 • 78.6%: $3,041.88 Fib + OB + Liquidity = XAUMO ENTRY PRECISION XAUMO Playbook Setups A. Bullish XAUMO Plan • Entry: $3,021–$3,023 (Bullish OB + VWAP reclaim) • Triggers: RSI bounce > 55, OB engulfing, Volume > 1.5K • TP1: $3,030 • TP2: $3,036 • TP3: $3,046–$3,057 (Final sweep zone) • SL: Below $3,010 B. Bearish XAUMO Plan • Entry: $3,036–$3,038 (Bearish OB + Fib 61.8%) • Triggers: LTF rejection wick, RSI divergence, DI+ weakening • TP1: $3,030 • TP2: $3,021 • TP3: $3,010–$3,001 • SL: Above $3,046 C. XAUMO Scalping Model (VWAP Mean Reversion) • Buy dips to $3,021 / Sell rips to $3,036 • Confirm with RSI extremes + Volume cues • Focus on quick 5–10 point scalps
Good morning, traders! As a seasoned price action trader, I'll share my Nasdaq insights to help you improve your trading skills.
AUDUSD made HnS pattern and reversed now , i could see it go fast to the blue box ! AUDUSD swept downside liquidity and now should run fast for the upside liquidity, let's see what market bring us today ! 2 RRR GL Traders Not advice !
This indicators is designed based on simple patterns, price movements, and key areas where big players like banks and institutions are likely to buy or sell. I specifically created it to work on the 4-hour timeframe to easily identify the best entry points without overcomplicating my analysis. Once a setup is confirmed on the 4-hour chart, I shift to the 1-minute timeframe for precise trade execution. I use this indicators exclusively for trading gold (XAUUSD) as it helps me align with the movements of smart money and provides high-probability setups while keeping my trading process simple and stress-free. It allows me to trade with confidence by focusing only on clean and clear signals that match institutional behavior. For every trade, my Take Profit (TP) is set at 70 pips, with a Break-Even (BE) adjustment at 30 pips to secure profits and protect my capital once the market moves in my favor. This method helps reduce risk while allowing my trades enough room to play out naturally. However, just like any other strategy or indicator, it does not guarantee a 100% win rate—especially with gold's unpredictable price action. This is why risk management remains crucial in every trade. No matter how perfect a setup may look, protecting your capital should always be the top priority. Stop Loss Consideration per Session: During the Asia and London sessions, a 70-pip stop loss is usually enough to handle the normal price movements within these quieter trading hours. These sessions offer safer and more controlled market conditions, making them ideal for traders who prefer less aggressive price action. However, the New York session is known for its higher volatility and increased trading volume. Based on my observation, a 150-pip stop loss is necessary to withstand sharp price swings and avoid being stopped out prematurely if we decide to trade during this session. Traders have the flexibility to: Trade only during the Asia and London sessions for safer setups and more manageable price movements, or Include the New York session if they are comfortable handling the increased volatility and are confident in their risk management plan. At the end of the day, the key is to stay disciplined, follow your trading plan, and adjust your risk according to the session you’re trading. Patience, consistency, and proper risk management will always play a bigger role than chasing trades.
A significant trendline has been broken, and we have an iCH on the chart. Additionally, a key QM L has been reclaimed. With a pullback to the entry zones, we will be looking for buy/long positions. The targets are marked on the chart. A daily candle close below the invalidation level will invalidate this analysis. For risk management, please don't forget stop loss and capital management When we reach the first target, save some profit and then change the stop to entry Comment if you have any questions Thank You
Nifty will be shooting up from here directly towards the rate of 26,000 ,
NSE:APOLLO - Breakout Setup ? Current Price: ₹122.44 (+2.43%) ? Ascending Trendline Acting as Support ? Potential Upside Target: ₹183.30 (+49.28%) Technical Analysis: ✅ Strong bullish momentum with higher lows ✅ Breakout confirmation expected around ₹140-150 ✅ Volume increase supports upward move ? Potential 50% move ahead if trend sustains!
SELL 105.500 | STOP 105.900 | TAKE 104.950 | Price movement within a narrow range with determination of the exit.