Main scenario: consider long positions above the level of 142.24 with a target of 151.77 – 155.00 once a correction is formed. Alternative scenario: breakout and consolidation below the level of 142.
<p>Pivot</p> <p> (invalidation): 1.3625 Our preference</p> <p>Short positions below 1.3625 with targets at 1.3580 & 1.3555 in extension.</p> <p&
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