Long trade in line with the overall bullish trend, closed the imbalance, now we try to go higher targeting the next swing high of the range.
Advanced trade on EUR/USD to balance out range. Strong imbalance below. London manipulation and change of short term trend after BOS. Entry after Engulfing candle
BOS, LQ taken, 5m Supply, potential sell limit, target set at 50% of the swing (equilibrium). Instead of putting a sell limit you can also decide to wait for confirmation at the zone. Good Luck Traders!
Taking a long setup on this demand/imbalance to target the double top. We have daily buyside liquidity on top of the double top as well which is also an Asian High. Good luck traders
EUR/USD Short on London open manipulation into the most premium supply zone. Target is 50% of the swing, stops will be moved to BE after 15m break of structure.
Target achieved on the previous position, now we risk it for the biscuit and we go short in line with the overall structure after the reaction on this supply zone.
Change of short term trend, counter-trend trade to the next supply, very clean pattern. Let's see if we get filled
Let's see if we get filled. 1 to 3 Risk-Reward Ratio. Good luck! Everything self-explained on the picture
Risky trade before NFP but so many confluences, everything is lined up perfectly. Let's see how it plays out!
Eur/Usd, went short after 5m shift candle (engulfing). Bearish trend, Liquidity done and retested. Let's see how it plays out.
Going short on EU after taking out liquidity of the quasimodo pattern at 3.30pm (Central Europe Time) NY Open - Good Luck!
The only thing I don't like about this setup is the fact we have high impact news at 2.30pm European central time and it doesn't look like price took out the asian high. (It could be a double top?). We have BOS (on H1 too), we are quite on a premium zone, we took out internal liquidity and closed the gap/imbalance precisely. Got my confirmation with PVP volumes...
Intraday short, asian manipulation, BOS, 1:4 RR ratio. Volumes shift candle confimation. 1% risk as always, good luck
Asian Manipulation, BOS, retracement and imbalance filled. Aiming at the sellside liquidity below for a 1 to 3 risk-reward ratio.
Entered this setup with a sell limit after NFP. Supply trading.
1:3 Risk-Reward Ratio. Lets see how it plays out. Premium, NY Open manipulation, VWAP
Potential moves on EUR / USD. Potential short to long scenario. Very similar to NASDAQ. Let's see if we can get a trade opportunity
Entered this long with a buy limit, let's see how it goes. Posted late