Closed all shorts on NC as a loss "only" 200 pips (it was about minus 950 at peaks...).
I have deja vu here, PA looks the same as last week. Last week it was pivot hold, then HH at R61. Seems exactly the same now, so I am out.
Closed in profit NU 230 pips.
NJ 100 pips. About 5 times missed my entry by a few pips grrr, opened later manually much smaller position.
I have deja vu here, PA looks the same as last week. Last week it was pivot hold, then HH at R61. Seems exactly the same now, so I am out.
Closed in profit NU 230 pips.
NJ 100 pips. About 5 times missed my entry by a few pips grrr, opened later manually much smaller position.
buying tops / selling bottoms