Euro cad long following London judas. Liquidity also taken just before price started moving, would expect highs as target now.
Realised dollar is still bullish, Swiss trade quit at BE and better setup on GU for a sell
Sells to fill in gap in London. Expect bullish longer term but trading the pullback following SMT and market structure break. 2 Tp points
Short setup based on the targets posted yesterday. May add to it in NY session.
What I'm expecting for the week. Price to fill in the area to sell side lucidity, once its reached it becomes potential buy area for swing trade.
Follow up to yesterdays setup ending at break even. Better entry at 4hr ob.
Long idea for NY session. Expect bearish long term but trading the gap fill.
Short setup based on high time frame levels and price action.