stopped out at 73.20 for 60 ticks loss per lot. Nevertheless it's a good level for buying for long term (1-2 weeks)
Heavy accumulation is taking place here. Only thing holding it from shooting upwards is the DJIA. Still I am pretty confident we wont go to 73.20
Just added longs at 73.80. MP suggests funds are buying. Stop is 73.20
exited at 74.03 let's see if a better oppurtunity comes
Added some longs at 74.00 stop 73.80 target 74.40
a big gap down is virtually impossible.
Thanks guys
Exited half shorts at 73.20 and rest at 72.75. Average profit of 190 ticks per lot.
:) Exited half lots at 73.20 for 170 tics average profit per lot. Holding rest for 72.75
Profit Taking rather than accumulation took place below 74.00. Consolidation here was a given and any direction market has to take will place max...
We should see a drop towards 73.00 by 12:00pm EST
Try KOSPI, HSI, DAX
exited this trade today for mere 10 ticks profit pet lot at 74.85. A vbad trad considering I had the oppurtunity of getting over 70 ticks profit...
Just added long term longs at 74.75 TP 76.90 crude is cheap and MP action suggests funds are buying
Stopped out at 75.80 10 ticks loss per lot
Added longs 75.90 SL 75.80 TP 76.45
+80 ticks per lot on this down move
average sell was 77.80 exited at 77.25 for 55 ticks profit per lot
Just exited at 77.65 for 25 ticks profit per lot shorted at 77.66. Hopefully this should go down atleast 70 cents. Target is 76.95
Added longs 77.40
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