ETHUSD Sell Idea @Weekly Supply Zone (192.91 - 232.64) Sell Limit: 182.56 Stop Loss: 245.97 Take Profit: 95.47 Risk Management = 0.01/$100, With Stop Loss Risk Management = 0.01/$200, No Stop Loss Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:2 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the entry...
USDZAR Buy Idea @ Daily Demand Zone (13.47566 - 13.26915) Buy Limit: 13.50250 Stop Loss: 13.23619 Take Profit: 14.04885 Risk Management = 0.01/$100 Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:1.5 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the entry level Close partially the contract once it...
DISNEY Buy Idea @ Monthly Demand Zone (100.08 - 96.50) Buy Limit: 100.25 Stop Loss: 95.68 Take Profit: 110.80 Risk Management = 0.01/$100 Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:1.5 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the entry level Close partially the contract once it reaches 80%...
DXY Buy Idea @ Weekly Demand Zone (94.670 - 93.710) Buy Limit: 94.772 Stop Loss: 93.535 Take Profit: 97.002 Risk Management = 0.01/$100 Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:2 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the entry level Close partially the contract once it reaches 80% of...
USDJPY Sell Idea, Breaking 109.779 may open the way to the Weekly Demand Zone (105.954 - 104.626) Sell Stop: 109.779 Stop Loss: 110.592 Take Profit: 106.895 Expiry 2 month Risk Management = 0.01/$100 Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:2 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the...
EXXON MOBIL Buy Idea @ Monthly Demand Zone (62.86 - 55.77) Buy Limit: 63.10 Stop Loss: 55.77 Take Profit: 79.47 Risk Management = 0.01/$100 Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:2 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the entry level Close partially the contract once it reaches 80%...
CAC Buy Idea @ Monthly Demand Zone (4514.35 - 4301.13) Buy Limit: 4561.29 Stop Loss: 4217.23 Take Profit: 5356.78 Risk Management = 0.01/$100 Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:1.5 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the entry level Close partially the contract once it reaches...
AUDJPY Sell Idea @ Daily Supply Zone (80.680 - 81.248) Sell Limit: 80.626 Stop Loss: 81.438 Take Profit: 78.563 Expiry 2 month Risk Management = 0.01/$100 Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:2 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the entry level Close partially the contract...
Breaking 1.12916 may open the way to the Demand Zone (1.06622 - 1.03545) Sell Stop: 1.11963 Stop Loss: 1.13751 Take Profit: 1.06957 Expiry 2 month Risk Management = 0.01/$100 Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:2 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the entry level Close...
EURNZD Sell Idea @ Weekly Supply Zone (1.73993 - 1.75874) Sell Limit: 1.73760 Stop Loss: 1.76133 Take Profit: 1.68209 Expiry 3 month Risk Management = 0.01/$100 Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:1.5 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the entry level Close partially the...
GBPUSD Buy Idea @ Monthly Demand Zone (1.2539 - 1.1959) Buy Limit: 1.2549 Stop Loss: 1.1902 Take Profit: 1.3631 Expiry 1 month Risk Management = 0.01/$100 Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:1.5 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the entry level Close partially the contract...
EURCHF Buy Idea @ Monthly Demand Zone (1.9873 - 1.07923) Buy Limit: 1.10369 Stop Loss: 1.07688 Take Profit: 1.14911 Expiry 3 months Risk Management = 0.01/$100 Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:1.5 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the entry level Close partially the...
CADCHF Buy Idea @ Daily Demand Zone (0.74506 - 0.73970) Buy Limit: 0.74580 Stop Loss: 0.73787 Take Profit: 0.76306 Risk Management = 0.01/$100 Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:1.5 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the entry level Close partially the contract once it...
EURCAD Sell Idea @ Daily Supply Zone (1.52365 - 1.53204) Sell Limit: 1.52305 Stop Loss: 1.53318 Take Profit: 1.49104 Risk Management = 0.01/$100 Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:1.5 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the entry level Close partially the contract once it...
EURCHF Sell Idea @ Daily Supply Zone (1.14005 - 1.14348) Sell Limit: 1.14005 Stop Loss: 1.14379 Take Profit: 1.13255 Expiry 1 month Risk Management = 0.01/$100 Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:1.5 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the entry level Close partially the...
Ripple Buy Idea @ Daily Demand Zone (0.33518 - 0.31299) Buy Limit: 0.35280 Stop Loss: 0.26290 Take Profit: 0.56591 Risk Management = 0.01/$100 Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:1.5 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the entry level Close partially the contract once it...
EURNOK Sell Idea @ Daily Supply Zone (9.75401 - 9.80640) Sell Limit: 9.74897 Stop Loss: 9.81383 Take Profit: 9.60227 Risk Management = 0.01/$100 Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:1.5 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the entry level Close partially the contract once it...
DJ Sell Idea @ Daily Supply Zone (26343 - 26567) Sell Limit: 26259 Stop Loss: 26667 Take Profit: 25430 Risk Management = 0.01/$100 Recommended Leverage not to exceed 1:50 Recommended Risk Ratio 1:1.5 – 1:3 Close partially the contract once it reaches 50% of profit, Move stop loss over the entry level Close partially the contract once it reaches 80% of the profit