Here we discuss under which market environments more volatility is going to exist
1news
2 important trend lines,previous high,low
3us and europian sessions (on eurusd for instance)
4due to fibonnachi behaviours, the bigger the previous move has been, its more likely that price will go in the opposite direction due to take profit, and new entries due to ob/os
what pair?
more ideas on volatility?
1news
2 important trend lines,previous high,low
3us and europian sessions (on eurusd for instance)
4due to fibonnachi behaviours, the bigger the previous move has been, its more likely that price will go in the opposite direction due to take profit, and new entries due to ob/os
what pair?
more ideas on volatility?