BUY ABOVE - 19800 SL - 19770 TARGETS - 19840,19900,19960 SELL BELOW - 19720 SL - 19750 TARGETS - 19680,19640,19540 NO TRADE ZONE - 19720 to 19800 Previous Day High - 19800 Previous Day Low - 19640 I am sharing NIFTY levels this levels acts as important support & resistance for intraday. if you want to trade with this levels wait for 15 min Candle closing...
My Idea on USDCHF for pre market open is, I expect a little bit of protraction down , in to a fair value Gap, before it Rally's in to a BEARISH Order block , the I expect a pull back , and another impulse Bullish strength, to breaking the Order block, and hit the extreme Order block.
Buy Above - 41700 SL - 41600 Targets - 41900,42000,42100,42250 Sell Below - 41580 SL - 41650 Targets - 41500,41400,41200,41000 Trade Safe & Happy Trading Guys
Markets are looking weak, for initial target of 18k one could short, if downside continues will update the target.
BTC seems bearish in next few sessions. Might bounce from ADR low of this session, will see there if there is enough bull power to pull it up. This has been consistent range for BTC, something will eventually give in, be on look out, long term view is still very bullish on BTC.
This is a 5 minute moving weighted average model of the Wednesday Intra-Day stock price for QQQ. The average looks at all Wednesdays for the past 12 months, and excludes any Wednesdays that fall on FOMC announcement days (those are a separate pattern). To calculate the initial model, I did a straight average of 11 months, then performed a moving weighted average...
BTC is trading at upper premium levels for intra trade. Its a good spot to start shorting it for intraday tade.
Nifty 50 Strategy for 3 oct 2022 17175 above going long for 17243 17357 17485 17593; 17140 below going short for 17107 16993 16798 16761.
Weekly Swing Trade this isn't any type of tips or calls this is purely my views on the stock and my prediction is for a long bullish movement in the stock trade in with your own analysis I just wanted to share some of it
IPO intraday trading strategy idea The share price is rising and gonna continue this trend today. The demand for shares of the company still looks higher than the supply. These and other conditions can cause a rise in the share price today. So I opened a long position from $22,08; stop-loss — $19,39; take-profit — $30,15,/MOC price. Do not view this idea as a...
Targets are developing Pivots purple lines. optimal entry at H3 which is not locked in and could change prior to UTC close
EUR USD WAITING FOR (A) ELLIOT VAGUES CORRECTION ?
After a strong bearish open to the market this week/ day i think we are going to get retracement or pullback early in the New York session. After the pullback I will look for the bearish trend to continue until around the close of New York Session. RISK/ REWARD 2.3:1 ENTRY 138.235 SL 139.119 TP 136.448
BTC showing weakness on 15 min TF, long term trend however is still bullish, so consider shorting for shorter time frames only
Intra day trading looking for a short if jpy and usd continue going up and if trading goes outside volume profile its a strong short for me and I like to see euro trading below usd when I got short on EJ so peace out squares
TSLA had an amazing last week, but we are seeing dips back to consolidation/support this week. Will be watching the chart to see where it breaks out of the structures triangle