In todays New York session as we go into 4th of July US independence day holiday we are monitoring GOLD, for a sell. Current price is 2346.35 that's the first entry more entry when price goes to 2359. Targets below 2332 and as low as 2302. Use proper risk management.
Today we are monitoring AUDJPY for a sell opportunity, our entry is at current market price 108.200 and stops above 108.400. Target1 is 107.730, target 2 is 107.552 target 3 is 107.377 and final target is lows of 107.00 Use proper risk management.
Today we are monitoring EURUSD for a sell opportunity, One entry is at market price 1.07700 and will increase more if price gets to 1.08070 level. Stops are above 1.08440 and tp1 is 1.07355, tp2 is 1.07000 tp 3 is the equal lows at 1.06672
We are monitoring EURUSD for a long term potential buy. Price has formed a strong support on 1.066 zone. We are expecting a strong bullish move to retest the level 1.0800 level. Stops are below 1.066 level. 1st Target is 1.07277, 2nd Target is 1.07500 and final Target is 1.0800. Use proper risk management.
Today we are monitoring GOLD for a BUY set up. Asia has been accumulating orders, the ideal scenario is a drop from current price of 2301 to sweep liquidity this means we will see a possible level of 2287.10. This should be the lowest price we are expecting before we retrace back up to 2334.77 We have final stop loss at 2277.190
In todays session we are monitoring gold for a buying opportunity. Entry at 2303.91 Target at 2334.77 Stops below 2297.38 Use proper risk management.
Today we are monitoring GOLD for a sell trade especially during NEWYORK. Targets below 2304.26 and stops above 2339.05. Use proper risk management.
In todays session both London and New York we are monitoring EURUSD for selling opportunities. Our targets are 1.07478 and below Stops above 1.06424 Use proper risk management.
We are monitoring EURUSD for a selling opportunity during NEWYORK. Entry at 1.07159 Stops above 1.07272 and Targets below 1.0652
I am still bullish on gold up to 2357-2360 level which is my bullish target THEN I will be looking for sell positions at 2360. My stops will be above 2376 and my overall take profit will be at 2257. Always use proper risk management.
Today we are monitoring GOLD for a sell opportunity. We expect price to gravitate towards 2355-2360 zone where we will open sell positions. Our stops are at 2366.666 level and targets are below 2276.80 . This is most likely the beginning of a strong correction. Use proper risk management.
Today we are monitoring EURUSD for bullish pullback. Entry at 1.0732 target 1.0807 and stop below 1.0708. Use proper risk management.
I expect a bullish move in todays trading. Entry at current price 2318, target 2353 and stops below (2309 - 2300). Use proper risk management.
Ahead of todays NFP I am expecting price to push up to 1.0910 area where I will be shorting from. I expect my target at 1.0820 and stops above 1.0930 level. Due to the volatility of the market on NFP it is advisable to use proper risk management.
In todays trading session, I am monitoring GOLD for a sell scenario, I expect a push up to 2400.47 where I will enter sells. I have my stops above 2414.40 and targets below 2324.80. I see potential for price to drop lower in the coming weeks. Use proper risk management
Today I am monitoring EURUSD for a classing double move. I expect price to drop form here to to 1.08088 level where I have more buy entry. My stops are below 1.07900 and I target 1.08787 and above. It is important to use proper risk management and have all factors considered. I wish you all the best as we get into the second half of the year.
After CPI market has priced in the negative CPI numbers, I expect a drop to the 2304 level and below. Use proper risk management. Cheers
Ahead of CPI I am looking to short EURUSD, my targets are below 1.07000 stops above 1.086 area. Use proper risk management. The box shapes drawn on my chart are from GOLD BACH. If you want to learn about it let me know. Cheers