NFP week, expecting funky PA. roadmap is not super clear at the moment so won't waste time theorizing, this is my current outlook based on what liquidity pools i find attractive. Watching to see how the market responds.
Trade active
Long on EU, looking to just get above asia high liquidity. If this plays i will likely be done taking actual trades for the week but will continue to post my ideas.
Trade active
Position survived intra-day spread widening. a little too close for comfort tbh.
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TP extended to Friday's high
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Comfortable moving my SL now, this is either it or its not tbh.
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Getting some movement. headed to bed, hopefully London session doesn't take me out as asia low is a liquidity target risk for london session.
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London gave more bullish action, price having a hard time trading above weekly open price. Second position was added during london session.
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Here are relevant TP areas, but honestly considering just letting this run full volume to final TP
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2nd position SL at BE by news.
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Still looking for buys. Should have taken profit. Hindsight is 20-20.
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Gave way too much back to the market. Lesson learned. in an additional long, with a more conservative TP for both of monday high.
Trade closed: stop reached
Wrong side of the market. extremely poor risk management on this one.
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hunting for an EU short.
Trade active
Trade active
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SL to BE
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Moved my SL to the high to give it some room.
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Closing trade at market wherever price is at 4:45PM
Trade closed: stop reached
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Not my best week for trading, NFP week in general should be traded with caution. here is a recap of what price achieved.
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