Alg's Intraday Strategy and Free Calls

Alg

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New Pivot:

EUR/USD now Short, Pivot 1.3611 and Long, Target 150 pips
GBP/USD now Long, Pivot 1.7427 and Short, Target 150 pips
NZD/USD Pivot 0.6107 and Short
AUD/USD 0.6827 Short until next Update

USD/CAD now Short, Pivot 1.1107 and Long 200 pips
USD/CHF Retrecmant near 1.1321 and Short
USD/JPY now Long Until 101.43 and Short

In a few words, pivot point is a level in which the sentiment of traders and investors changes from bull to bear or vice versa.
 
New Update:

New Update:

EUR/USD we Short and Hold for 150 pips more
USD/CHF Hold Long, Target 1.1325
 
Now it's good to do Reentry:

EUR/USD Short near 1.3707
GBP/USD Short near 1.7297
AUD/USD Short near 0.7127
NZD/USD Short near 0.6231

USD/CAD Long near 1.1347
USD/CHF Long near 1.1297

GBP/JPY Long near 172.21
EUR/JPY Long near 136.37
EUR/CHF Short near 1.5541
EUR/GBP Short near 0.7957
 
All JPY pairs went wrong way,,,,
And if you are still in Trade I have Plan 50/50, I would try to "Break Even"
Looking for retrecmant:
GBP/JPY retrecmant near 172.50
EUR/JPY retrecmant near 137.67
USD/JPY retrecmant near 101.00
 
Still waiting:

EUR/USD near 1.3425 for Buy
GBP/USD near 1.7121 for Buy
AUD/USD near 0.6571 for Buy
NZD/USD near 0.5991 for Buy

USD/CAD near 1.1653 for Sell
USD/CHF near 1.1439 for Sell
USD/JPY near 100.27 for BUY
 
Now, I see some Trade, but Volatility is high,at first make sure that your trading Plan fits in my Strategy
Thees Entries are possible in Asian-European sessions

EUR/USD Sell near 1.3765
GBP/USD Sell near 1.7569
AUD/USD Sell near 0.7163
NZD/USd Sell near 0.6351

USD/CAD Buy near 1.1431
USD/CHF Buy near 1.1303
 
Now looking for retest:

EUR/USD 1.3557 and Sell
GBP/USD 1.7443 and Sell
AUD/USD 0.6897-0.6851 and Sell
NZD/USD 0.6157 and Sell

USD/CAD 1.1671 and Buy
USD/CHF 1.1307 and Buy
USD/JPY 100.43 and Buy

GBP/JPY 176.01 and Sell
EUR/JPY 137.37 and Sell
EUR/CHF 1.5399 and Sell
EUR/GBP 0.7823 and Sell
 
New Intraday Update:

New Intraday Update:

EUR/USD Buy near 1.3381
GBP/USD Buy near 1.7183
NZD/USD Sell near 0.6158

USD/CAD Buy near 1.1811
USD/CHf Sell near 1.1411
USD/JPY Buy near 100.25

EUR/CHF Sell near 1.5290
EUR/JPY Sell near 137.01
GBP/JPY Sell near 175.50
 
I do not see conflict with previous Update (it's enough space to "Break Even"), but new Update:


EUR/USD Buy near 1.3385
GBP/USD Buy near 1.7187
AUD/USD Buy near 0.6753
NZD/USD Buy near 0.6127

USD/CAD Sell near 1.1953
USD/CHF Sell near 1.1407
USD/JPY Buy near 100.53

GBP/JPY Buy near 173.99
EUR/JPY Sell near 137.03
EUR/CHF Buy near 1.5233
EUR/GBP Sell near 0.7801
__________________
 
New Update. Still very carefully to enter EUR/USD Long.

EUR/USD Buy near 1.3477
GBP/USD Buy near 1.4567
AUD/USD Buy near 0.7117
NZD/USD Buy near 0.5837
USD/CAD Sell near 1.1877
USD/CHF Sell near 1.1117
USD/JPY Buy near 92.87
 
Today people loosing money, but we do not. We do not trade.
Almost 3 weeks market was in unusual conditions. X-mas, New Year. Lot different political conflicts in Middle East. Today is really first day of normal market and it's big mess in USD pairs correlation. I think in Euro session everything will set up in place.
 
EUR/USD 1.3747 is good resistance. It was above 300 pips for our yesterday Entry 1.3429. You can take some profit at that price. But do not Close 100%
Hold EUR/USD Long as much as you can.
Later I'll make new Update and we'll add much more.
 
Now let's make a key of the day. EUR/USD 1.3747.
In this moment I do not see strong pivots around all USD pairs.
But EUR/USD 1.3747 (today's highs) it would be.
I do not Closing my yesterday's Longs, but I would Sell near 1.3747 for reversion.
 
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