Main scenario: consider long positions above the level of 140.35 with a target of 146.00 – 148.00 once a correction has formed. Alternative scenario: breakout and consolidation below the level of 140.
<p>PLEASE TEST THIS STRATEGY ON A DEMO ACCOUNT FOR 4 WEEKS TO GET COMFORTABLE. MONEY MANAGEMENT IS 50% OF THE KEY TO SUCCESS SO DO NOT RISK YOUR ENTIRE ACCOUNT BALANCE BY TAKING EXCESS
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