0.5% CONFIRMATIONS: 1.) Bearish on higher timeframes 2.) Swept liquidity and 5M/15M distribution above the high 3.) Monthly closure today, to maintain whats looking to be a bearish BOS, we will need more bearishness today 4.) First target is new 15M low 5.) Second target is new 4H low
0.5% CONFIRMATIONS: 1.) Bearish on higher timeframes 2.) Swept liquidity and 5M/15M distribution above the high 3.) Monthly closure today, to follow NASDAQ and US30 we will need more bearishness today 4.) First target is new 15M low 5.) Second target is new 4H low
0.25% CONFIRMATIONS: 1.) 15M BOS 2.) 5M BOS 3.) Bearish on all high timeframes 4.) Daily IPA filled 5.) EQL resting as EL $
0.5% risk CONFIRMATIONS: 1.) Bearish higher timeframes 2.) 1H IC 3.) 15M BOS 4.) Ukraine
confirmations: 1.) Asian liquidity swept 2.) 15M IC 3.) Respected 1H low and reaccumulated 4.) liquidity above highs 5.) 1M BOS
CONFIRMATIONS: 1.) Bearish daily, weekly, 4H, 1H. 2.) 2H IPA fill and IC that swept liquidity. 3.) 1M redistribution inside 2H AOI. I am not a financial advisor. Be smart with your money. Result will be published in comments.
Confirmations for trade: 1.) 4H/1H demand zone 2.) 5M BOS on both SPX500 and US30 after sweeping IL. 3.) 4H, 1H BULLISH IMO. 4.) Filled 4H IPA. Possible hedges in white box, going to watch for re distribution. After pic will be in comments.
CONFIRMATIONS: 1.) IL has been swept. 2.) 4H/1H/15M demand zone. 3.) 5M reaccumulation after taking IL. 4.) Entry point rests below EQL/IL. 5.) Obvious trendline/doubletop formed at top of range. After pic will be posted in comments.
Same confirmations as before, but if the low mentioned gets swept, it will be considered as internal liquidity, and this will be the new play.
Price is bullish on the weekly. It just swept liquidity on the daily and has a nice imbalance resting above the daily high. Idea would be to buy with a target of a new daily high, and a possible hedge within the imbalance that is marked IPA.