Long term I still believe Gold will meet 2100+ but this period still in retracement step. Scenario A. may hard to meet after hit resistance Green Trendline ( as I told on the Old idea and in Twiiter ) I think B, C, D may meet in FOMC period. It means we should sell Gold in short term ( or buy limit on Lower zone ) when profit will move S/L to Entry and Let Gold decision to choose their ways.
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HiT TP1 now move S/L to entry and take partial profit. after this Let gold should her way B , C, or D case.
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Hit TP2
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Run in Case D. now that why I only should Sell in this idea.