Disliked{quote} recently closed all positions in a small profit after holding for hours. Not jumping in before the news.Ignored
Going out for coffee and caffeine, back in few hrs to see whats going on
B4 Elvis there was nothing
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Disliked{quote} recently closed all positions in a small profit after holding for hours. Not jumping in before the news.Ignored
Dislikedcashout some profit b4 Fed mess it up , record some profit for the week.Ignored
Disliked{quote} it's not okay with me because that ship sailed already, if you're asking it looks like a loserIgnored
Disliked{quote} i got 1 short at 2398 off 15 min and one short at 2399 off hourly plus a sell limit at 2420 so if doesnt fall before the fed announcement most likely will after on the spikesIgnored
Disliked{quote} What? Sorry Whale, it's too early in the morning and I don't understand your question... or are you just being ironic hahah?Ignored
Disliked{quote} im puttin in a sl to protect profits just under BE left my sell limit order in incaseIgnored
Disliked{quote} cablekingdom, if you are a day trader the best way -imo- is to use the prior day range, and follow the same setup constantly. I hope it helps to understand PA during the following day. {image}Ignored
Disliked{quote} true LOL i usually count the weeks or months that it took for price to go up and since price falls faster usually less time than it took to go up after a sell signal on weekly or monthly thats how i try timing the hier charts just like i think GU goin back down to liz truss resignation and the price advance took 10 months to go up so will be that long or quicker to fallIgnored