GateUser-0777fe40

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$NAS // $NQ HTF is negatively configured, any rally into supply is likely a sell event.. A larger scale breakdown will intensify in Q3.. Posting an LTF and HTF charts
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Will risk 5% on this one
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A lot of money to be made swing shorting stocks.. Multiple breakdowns across the boeard, in sync with SP500 and Nasdaq HTF projections
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I really missed the whole trade as i was focused on other markets wow 😂
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The plan given all in advance!! 🔥 Now we wait and exécute with proper size I may risk 5% on this trade due to the fact it’s very high probability trade.. I want a weekly close bellow the market structure also..
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Confirmed, daily candel closed bellow the market structure low which confirmed a daily cycle pattern failure, so in theory next daily phase is likely to fail 🎁 high probability swing short is on the table
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$PLTR plan for upcoming weeks, once we get that MSB, it confirms the local top and a failed daily cycle, therefore any rally is likely to fail and sell-off where demand exceeds supply atleast.. High probability swing short setup 🎁 Risk apetite 2-3% Patience required.
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For more confident longs + spot buys into 4700$ level i will be waiting how the weekly candle closes, if close bellow 4400$ not good..
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From an LTF range perspective this could be a po3.. Anyways on to the next trade just wanted to give clarity why ive extited my position
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As we can see the retracement wasn't really that propable there was just selling pressure without any sideways liquidty getting built, also a move into demand was aggressive creating supply and no proper reaction wasn't followed.. The trade is still valid but its not HP
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$ETH clean range, clean supplies above + liq yet to be taken.. Monotoring this range here
ETH1,85%
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SP500 Naked chart GLHF
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The 4h demand could get fron-ranned so thats why theres a bid placed on lower time frame in order to position in case we pick up buy orders and push up without mitigating the 4h demand..
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$XAU As i missed my original plan from ltf demand at 4300$ level long due to the fact i was sleeping.. The plan 2 activates as we BOS on ltf, so i have placed two bids both ar 1% risk, the stop loss is bellow demand as its the only place protecting the price not to roll over..
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Ideas are not invalid, but im not looking that much into trading them zooming out we still can have a bit of upside also BTC holding pretty well comparring to equities so maybe we still have some push to the upside left, so far monotoring everything
BTC1,56%
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:( the move into LTF demand happened as I was sleeping, so new plan reactivates will wait for H1, H4 bos, and then preferably a pullback which i will stab a long.. $XAU
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$USDC.D A bit of cheat code for y'all, massive ABC in the making imo. Start accumulating BTC+ETH at 5-6% Start selling BTC+ETH at 1-0,8%
BTC1,56%
ETH1,85%
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