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- szmik commented May 13, 2013
Same here
- szmik commented May 9, 2013
I think it also has to do with the concept of risk appetite/risk aversion. Good US employment data => possible withdraw in QE in the foreseeable future => S&P500 down, US equities down (in the near future as well) , etc.
- szmik commented Mar 26, 2013
Like me, for example If I had placed my SL just 2 pips lower, I would have survived all this..
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