I have a limit order set to sell USDCAD at an untagged liquidity pool that previously led to a break in market structure via a new low.
I am buying NZDUSD at an untagged liquidity pool that previously led to a break in market structure via a new high.
I am buying USDCHF at an untagged liquidity pool that previously led to a break in market structure via a new high.
I am selling EURUSD at an untagged liquidity pool that previously led to a break in market structure via a new low.
I have a limit order to sell USDJPY at an untagged liquidity pool that previously led to a break in market structure via a new low.
I am selling AUDUSD at an untagged liquidity pool that previously led to a break in market structure via a new low.
I am selling XAUUSD at an untagged liquidity pool that previously led to a break in market structure via a new low.
I am buying USDJPY off an untagged liquidity pool that led to a break in market structure via a new high.
I am selling EURJPY at an untagged liquidity pool that led to a break in market structure via a new low.
I am buying NZDUSD at an untagged liquidity pool that led to a break in market structure via a new high.
Buying USDCHF at an untagged liquidity pool that led to a break in market structure via a new high.
Selling EURJPY at a recent, untagged liquidity pool that led to a break in market structure via a new low being formed.
Sell USDJPY at the untagged liquidity pool that led to a break in market structure via a new low being formed.
Selling EURJPY at a liquidity pool that led to a breakdown in market structure via a new low being formed.
GBP is currently a weak currency with weak data so shorting against a stronger currency CAD (strong data and monetary policy is neutral).
GBP is currently a weak currency with weak data so shorting against a stronger currency CHF (save haven).
Strong USD and much weaker NZD, bounce at key area.
Long USDJPY following break above key area!