Earlier, we had taken a long trade on crude oil based on trends. Now, a slight pullback is expected. I've marked the levels I'm playing with and my position.
6200 has been rejected many times already, and expecting it to be rejected this time as well.
The targets are not much. I'm expecting only 3-4% in profit and -2% loss at max. Manage risk accordingly.
6200 has been rejected many times already, and expecting it to be rejected this time as well.
The targets are not much. I'm expecting only 3-4% in profit and -2% loss at max. Manage risk accordingly.
Trade attivo:
Respect SL. My option SL is not hit yet so my trade is still active
Commento:
This was a better entry than earlier
Commento:
A 5 min closing above I'll accept the loss and exit
Trade chiuso: stop raggiunto:
Closed the trade
Trade attivo:
Reentering. Choose appropriate SL and Targets
Commento:
Back to green, but a very small amount.
Trade chiuso: obiettivo raggiunto
Commento:
Expecting it to reach 6200 again