I'm back.
Here are my positions from today.
1-Short after Weakness and NO DEMAND on this highest volume bar low as HG show. It got sl.
2-Longs after I noticed on M15 is NO SUPPLY and a kind of shakeout-wick for confirm. I closed if after I have seen there is resistance on m1 and there was bearish rejection.
3-Took long after I noticed shakeout on HIGH VOLUME BAR OF SESSION (Hiddengap idea) and NO SUPPLY. I made BE there because price reject SMA20, and next move down could be downtrend.
4-Longs on M5, There was shakeout on SMA20 and area of support.
I think I made some bad moves, but you could tell me what do you see.
Here are my positions from today.
1-Short after Weakness and NO DEMAND on this highest volume bar low as HG show. It got sl.
2-Longs after I noticed on M15 is NO SUPPLY and a kind of shakeout-wick for confirm. I closed if after I have seen there is resistance on m1 and there was bearish rejection.
3-Took long after I noticed shakeout on HIGH VOLUME BAR OF SESSION (Hiddengap idea) and NO SUPPLY. I made BE there because price reject SMA20, and next move down could be downtrend.
4-Longs on M5, There was shakeout on SMA20 and area of support.
I think I made some bad moves, but you could tell me what do you see.
Daytrader