I'll be in and out in order to minimize risk. I anticipate a retracement if news permits. Responses to news will most likey be temporary, but we never know for sure. Hence, risk managment. Resistance seens confluent with fibs at big round numbers or at the xxx.80 marks. I generally go with the higher numbers. No need risking for those extra pips. Avoid tops and bottoms.
GL
GL
Trade ativo:
Sold @ 109.03
Target: Discretionary/Open
Target: Discretionary/Open
Trade fechado manualmente:
Out at 108.779
Trade ativo:
Resold at 108.64