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It's algorithmic how price fell short of the 1hr Fair Value by a few pips and then retraced back to the institutional reference point prior to the expansion run. Liquidity has been engineered on both sides of the market, Monday low is the best swing for stops for traders who went long and It would be a draw on price. Clean highs lies above market price. I'm...
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Looking at Eurusd from a monthly perspective down to hourly. The runs on buyside and sellside, the movement from discount to premium and back to back to a discount reference point for a run on the buyside. All this inter-waxed, I'm seeing the market this way this week.
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