Yesterday. . In Tokyo morning,Short-Cover was entered after fell to 107.74. In NY time, was suppressed at FOMC-minutes. After that, was closed with not rebound at all.
I want to refer to the "RELATED IDEAS". The large return is as stated already. I think also that was suppressed by "Resistance-B" which had been pulled yesterday.
but. . It was sold in "SellZone-B" which is the point of the short-term, but It's being endured barely in "BuyZone-D" from the Background in which it was denied.
Since I was strategizing before FOMC- minutes , I was thinking the movement of 1 & 2 . If cracking clearly "BuyZone-D" and 107.98, I expect the deployment of attacking yesterday's low. Downside is 107.40 level.
if endured and break through the turning point of selling on short-term, I'm aiming for long in short term. but. . I feel selling is too strong.
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