Long again at above demand zone.
buy at demand zone, above pivot day. RRR =1:2.14
Buy
Sell below pivot day and MA62, Risk Reward = 1:2
Sell at supply zone , Risk :Reward = 1:1-2
Sell
waiting mode
RIsk Reward = 1:2
GBPUSD Risk only 30 pips , profit target 60-120 pips
Risk/Reward = 1:2.28
Sell Risk Reward 1:2
I already Sell gold for the first postilion,1/3 , for my 2/3 and 3/3 entry I will entry when the price confirmed breaking out.
I will wait to buy when break out.
Long at demand zone
Risk:Reward 1:1-2
Risk:Reward 1:2
Long RISK:REWARD = 1:2
shortterm play