7/24 - Mid - Long term bias is SELL / Bear, however the short-term bias is neutral to moderately bullish.
Because of short-term bias and current risk/reward is unfavorable, I am currently waiting for a better opportunity to open a short position. Would CONSIDER opening sell position closer to 1.1000 with tight S/L and closely monitoring when to take gains. (H1 & H4 time frames)
Based on D1, risk/reward becomes more favorable above 1.1125.
Most likely staying on sidelines until next week AND when risk/reward comes more desirable.
המידע והפרסומים אינם אמורים להיות, ואינם מהווים, עצות פיננסיות, השקעות, מסחר או סוגים אחרים של עצות או המלצות שסופקו או מאושרים על ידי TradingView. קרא עוד בתנאים וההגבלות.