EUR USD ANALYSIS FOR TOMORROW ( SELL ZONE )Please share with me your thoughts about it,
This analysis is based on the price action and the repetition of the same sell signal scenario's,
So we can expect tomorrow a high sell signal when we will see a great sell big volume to restore the market's health
Sellzone
TIME TO SELL VERY CLEAR FOR ALL !!As you can see the gold market now is in a perfect condition to sell it
Nasdaq sell Nasdaq has created an all time high, but with the US not taking Coronavirus lightly and with the BLM protests and Trade war in place all fundamental news - with this, technology stocks have seen incredible growth but has the growth paused or now come to an end and needs retracing?
What can we see technically?
- Daily bearish but breaking momentum short has now broken 10,000 level.
- Monthly supply has now formed with all time record high.
- bounce from the demand zone to create a new high.
- We have a strong weekly rejection candle
- we had some good indecision candles on the daily
Where to enter?
Follow your plan
we entered at 10053 as we could see these zones lining up with our analysis
we have further sell limits at 10,350
All trades risk free
Note: Trading is about timing. so even if our stop loss gets hit on the chart. We may not have entered all together and orders can be adjusted.
Trade what you see, this is purely our Bias.
Why follow us?
Updates on our pairs as and when we can.
Swing trade out looks
10 years combined experience in capital markets
simple breakdowns for beginners to advanced .
KISS - keep it simple stupid.
we trade purely from naked charts, less indicators - remove the noise.
If you like our work, please leave a like or comment.
Many thanks for your support to our existing and new followers. Take care out there.
Thanks,
Team Lupa.
GBPUSD-Weekly Market Analysis-Jun20,Wk3GBPUSD on the higher timeframe on the daily chart, it is a bearish trend, right not the setup is at its the perfect shorting opportunity.
There are 3 opportunities to short this pair.
1. Within the sell zone(red box) there is a shorting opportunity
2. Personally, I preferred to short on the bearish shark setup on the 1-hourly chart
3. The head and shoulders on the 4-hourly chart for a shorting opportunity.
It is a pair I'm going to watch closely for the next trading opportunity.
RTY - Russell2000 e-mini s/r zonesHello traders,
Description of the analysis:
Trade what you understand, trade carefully and sparingly according to the business plan.
About me:
Hi, my name is Jacob Kovarik and I´m trading on stock exchange since 2008. I started with a capital of 3000 USD. My first strategy was based on OTM options. (American stock index and their ETF ). I´ve learnt on my path that professional trading is based on two main fundaments which have to complement each other, to make a bussiness attitude profitable. I´ve tried a lot of techniques and many manners how to analyze the market. From basic technical analysis to fundamental analysis of single title. My analytics gradually changed into professional attitude. I work with logical advantages of stock exchange (return of value back to average, volume , expected volatility , advantage of high stop-loss, the breakdown of time in options, statistics and cosistent thorough control of risk). At the moment, my main target is ITM on SPM index. Biggest part of my current bussiness activity comes from e mini futures (NQ, ES). I´m trader of positions. I´m from Czech republic and I take care of a private fund ($4.000.000 USD). During my career I´ve earned a lot of valuable experience, such as functionality of strategies and what is more important, control of emotions. Professional trading is, in my opinion, certain kind of mental training and if we are able to control our emotions, accomplishment will show up. I will share with you my analysis and trades on my profile. I wish to all of you successul trades.
Jacob
FALL IN PRICE COMING - GET IT AT THE BOTTOM - CL1! - 30MN - OILThanks for your likes and shares! Much appreciated!
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Primary and secondary supports, primary and secondary resistances. The market price has been touching several times some points giving us hints on the speed of the uptrend movement. Slowing down now where the quick and slower support lines are crossing . Coupled with high volumes , at the end of the last session, the market price failed to break up . Now it is down to a crucial point where if going down further from Monday, we could see a nice fall in price.
The suggestion would be to wait until it finished its fall and get it at the bottom for a nice long direction profitable trade. Decrease your position as the market is going up. Start big.
ES - e-mini SP500 futures s/r analysisHello traders,
Description of the analysis:
H4 strong s/r zones. There is high probability reactions from these levels.
About me:
Hi, my name is Jacob Kovarik and I´m trading on stock exchange since 2008. I started with a capital of 3000 USD. My first strategy was based on OTM options. (American stock index and their ETF ). I´ve learnt on my path that professional trading is based on two main fundaments which have to complement each other, to make a bussiness attitude profitable. I´ve tried a lot of techniques and many manners how to analyze the market. From basic technical analysis to fundamental analysis of single title. My analytics gradually changed into professional attitude. I work with logical advantages of stock exchange (return of value back to average, volume , expected volatility , advantage of high stop-loss, the breakdown of time in options, statistics and cosistent thorough control of risk). At the moment, my main target is ITM on SPM index. Biggest part of my current bussiness activity comes from e mini futures (NQ, ES). I´m trader of positions. I´m from Czech republic and I take care of a private fund (4 000 000 USD). During my career I´ve earned a lot of valuable experience, such as functionality of strategies and what is more important, control of emotions. Professional trading is, in my opinion, certain kind of mental training and if we are able to control our emotions, accomplishment will show up. I will share with you my analysis and trades on my profile. I wish to all of you successul trades.
Jacob
AUDUSD. Price will enter the sell zone soon.Hello dear subscribers!
The price of the Australian dollar this week will stop growing.
Sell zone is located below the resistance level.
The price will fall to the target, and possibly later to the key level.
Good luck to you!
If you liked this idea, please like and subscribe to my profile.
This idea does not provide the financial advice.
XAUUSD Cup and Handle Pattern - SellBoth on weekly and monthly chart we can see the candlestick formation on the move.
The resistance area for me is between 1767 and 1797. Any point between those levels is an appropriate Sell entry in my opinion.
After a considerable drop on gold and complete restructuring on the financial and wealth system following the Cup and Handle pattern we can expect a potential move above 1800 to 2000.
AUDUSD. Sell zone above resistance level.Hello dear subscribers!
The price of this currency pair has reached the resistance level;
above it is the sell zone.
The price will fall to the target.
Good luck to you.
If you liked this idea, please like and subscribe to my profile.
This idea does not provide the financial advice.
NQ - Nasdaq100 S/R zonesHello traders,
Description of the analysis:
I have identified important s/r levels that the market should respect and respond to.
Be careful to trade and invest sparingly!
About me:
Hi, my name is Jacob Kovarik and I´m trading on stock exchange since 2008. I started with a capital of 3000 USD. My first strategy was based on OTM options. (American stock index and their ETF ). I´ve learnt on my path that professional trading is based on two main fundaments which have to complement each other, to make a bussiness attitude profitable. I´ve tried a lot of techniques and many manners how to analyze the market. From basic technical analysis to fundamental analysis of single title. My analytics gradually changed into professional attitude. I work with logical advantages of stock exchange (return of value back to average, volume , expected volatility , advantage of high stop-loss, the breakdown of time in options, statistics and cosistent thorough control of risk). At the moment, my main target is ITM on SPM index. Biggest part of my current bussiness activity comes from e mini futures (NQ, ES). I´m trader of positions. I´m from Czech republic and I take care of a private fund (4 000 000 USD). During my career I´ve earned a lot of valuable experience, such as functionality of strategies and what is more important, control of emotions. Professional trading is, in my opinion, certain kind of mental training and if we are able to control our emotions, accomplishment will show up. I will share with you my analysis and trades on my profile. I wish to all of you successul trades.
Jacob