It seems that the analysis made yesterday of the US30 index seems to have had a rejection in the first zone of demand, from where we predicted moderation and then the reaction from that demand
Analysis of US30 by SMC strategy. There are 2 possibilities at this moment from my point of view on US30. The first is to reach the first supply area and react from that point or to reach the 2nd supply area to react from there As a target/take profit, we have the liquidity area formed by the price area of 3950 Personally, I will set an alert in both supply...
After several SMC type correlations and concepts, I noticed that EUR/USD has entered the OB zone and shows strong rejection from it ahead as a target of 1.06382, with a profit of 187 PIPS