


Snick3rSD
Premium✅ Here we are in a bullish market structure so I am looking for a long position if the price takes out the liquidity below (previous weekly low) and rejects from the daily bullish orderblock + mid figure 6.50.
✅ Here I expect the same scenario as on S&P500, the price to take out the liquidity below PWL (previous weekly low) and to reject from the bullish orderblock+institutional figure 13000 to fill the imbalances left behind.
✅ Here I am looking for a long position if the price take out the liquidity below PWL (previous weekly low) and rejects from the daily bullish orderblock + institutional figure 4200, also the price has to fill huge imbalance left behind.
✅ Here I am looking for a long position if the price takes out the liquidity below equal lows+PWL (previous weekly low) and closes the imbalance.
✅ Here on VIX we are very bullish, but I expect the price could go a little bit higher to close the imbalance and to take out the liquidity above PWH (previous weekly high), then to reverse from the institutional figure 30.00 for filling the huge imbalance left behind.
✅ Here I am looking for a short entry if we have a lot of volatility next week and the price takes out the liquidity above equal highs + PWH (previous weekly high) and rejects from the bearish orderblock. We can correlate this move with the bullish DXY Index.
✅ Here the price accumulated all previous week and I expect the AMD Pattern, price to manipulate sell side liquidity below PDL (previous daily low) and distribute from the bullish orderblock + institutional figure 1.03000 to take the buy side liquidity.
✅ Here I expect a down move as price took the buy side liquidity and there is a huge imbalance left that has to be filled. I will look only for long position on DXY as we are in a strong bullish market structure.
✅ Here I will look only for short entry as we are in a strong bearish market structure. The price rejected from the weekly bearish orderblock and I expect the price to take sell side liquidity and to look for a confluence on the retracement to enter the trade. One of the followers ask me to make an analysis of this chart. If you want me to make some specific...
Here I expect bullish price action as we have SMS+BOS+RTO Pattern, the price failed to break the last bottom, made a BOS (break of structure) and returned to orderblock.
Here I expect bullish price action as the price took the liquidity below previous daily low and rejected from the bullish orderblock and institutional figure 1.08000. The price has to take buy side liquidity and previous daily high liquidity where we have a lot of stop losses, we can correlate this move with DXY Index.
✅ Here I expect a retracement before the price will continue bullish price action to take the trendline liquidity. I expect the price to reject from the H4 OB (order block), price level 95.00. Like and comment below if you think this is a great post!
✅ Here on Friday a entered too fast and get a SL, but now I think it's a conservative entry as the price closed the H4 imbalance. I expect the price could go a little bit lower to take the PWL (previous weekly low) and reject from the H4 OB (order block) + institutional figure 0.93000. Like and comment below if you think this is a great post!
✅ Here I expected a bearish price action if the price closes the H4 imbalance and rejects from the H4 OB (order block) + institutional figure 1.09000. Like and comment below if you think this is a great post!
✅ Here I expect a bearish price action as we are in a bearish market structure and the price took the BSL (buy side liquidity) and rejected from the daily bearish order block + institutional figure 1.02000. Like and comment below if you think this is a great post!
Here I expect bullish price action as the price took all possible sell side liquidity below old lows + PWL (previous weekly low) + PDL (previous daily low) and closed 50% of the H4 imbalance.
Here we have SH+BOS+RTO Pattern, as the price took the buy side liquidity with that spike, broke the structure and rejected from the H4 OB (order block) + mid figure 1.26500.
Risk-on risk-off is an investment setting in which price behavior responds to and is driven by changes in investor risk tolerance. Risk-on risk-off refers to changes in investment activity in response to global economic patterns. During periods when risk is perceived as low, the risk-on risk-off theory states that investors tend to engage in higher-risk...