I am expecting a correction downward and it will retest its low. In my opinion take long position around 108.30-50 with stop loss 107.90 and target is 112. low risk high reward trade. Risk reward ration is 9.25.
Pending Buy @ 81.90 Stop Loss @ 81.30 Target @ 85.00 RR Ratio @ 5.17
Pending Short @ 1270.00 Stop Loss @ 1305 Target @ 1160 RR Ratio @ 3.2
1st trade :- Pending Short @ 53.30 Stop Loss @ 55.00 Target @ 50.00 RR Ratio @ 1.94 2nd trade :- Pending Long @ 50.10 Stop Loss @ 46.80 Target @ 58.00 RR Ratio @ 2.39
Pending Short : 1.6715 Stop Loss : 1.6900 Target : 1.6250 & 1.5750 RR Ratio : 2.51 & 5.22
Pending Short @ 1.4170 Stop Loss @ 1.4330 Target @ 1.3740 RR Ratio @ 2.69
Pending Short @ 0.9990 Stop Loss @ 1.0050 Target @ 0.9785 RR Ratio @ 3.46
Pending Short : 0.9925 Stop Loss : 0.9970 Target : 0.9780 RR Ratio : 3.22
Pending Short @ 1.0320 Stop Loss @ 1.0440 Target @ 1.0100 RRR @ 1.83
Pending Short @ 1.0970 Stop Loss @ 1.1313 Target : 1.0160 RR Ratio @ 2.36
I prefer to take long positions around 1200-1210 area with Stop Loss 1180 and initial target 1280.
Pending Short : 1.2460 Stop Loss : 1.2525 Target : 1.2340 RR Ratio : 1.85
Pending Short : 1.2650 Stop Loss : 1.2790 target : 1.2150 RR Ratio : 3.57
Pending Short : 1.0705 Stop Loss : 1.0835 Target : 1.0400 RR Ratio : 2.35
Watching Short entry @ 1.31 Pending Short : 1.31 Stop Loss : 1.3480 Target : 123.6 Fib level @ 1.1160
Watching Short @ 145.00 Stop Loss : 150.00 Target : 130.00 Risk/Reward : 3.0
Pending Long : 9.65 Stop Loss : 9.00 Target : 11.00 RR RATIO : 2.08
Pending Short : 1.0905 Stop Loss : 1.0960 Target : 1.0630 RR Ratio : 5.0