Analysis for GBPUSD: 3rd july-8th july Liquidity: internal liquidity : N/A external liquidty: yet to take on any of the side Volume profile: B shape VWAP : monthly Above fair value : close to +1 Propable move: buy. But can only predict after confirmation. Take your own risk. Analysis may be different in pov for market makers. I have plotted 2 scenarios (arrows)...
Analysis for GBPUSD: 26th june Liquidity: internal liquidity : N/A external liquidty Yet to be taken Volume profile: out of bulge. VWAP : monthly Above fair value : +1 Propable move: buy. Can predict after confirmation. Take your own risk. Analysis may be different in pov for market makers. I have plotted 2 scenarios (arrows) based on my own analysis.
Analysis for XAUUSD : 26th june Liquidity:(sell-side waiting to be taken) internal liquidity : yet to be taken waiting external liquidty no Volume profile: out of bulge VWAP : monthly below fair value : -2 Propable move: buy or sell. Can predict after confirmation. Take your own risk. Analysis may be different in pov for market makers. I have plotted 3 scenarios...
Analysis for eurusd: 26th june Liquidity:(buy-side) internal liquidity :yes external liquidty no Volume profile: VWAP : monthly above fair value : +1 Propable move: buy on the high volume nodes. Take your own risk. Analysis may be different in pov for market makers. I have plotted 2 scenarios based on my own analysis.
Gold xauusd my opinion different scenarios plotted on the chart
Analysis: 27th march Liquidity:-(buyside) Internal: taken External: not yet Volume profile:- (buyside) in/out bulge: in Bulge rejection: yes VWAP:- Quaterly St. deviation: 1(buy) monthly St. deviation: 1-1.5 (buy) Scenarios:- i)buy most probability after taking liquidity. ii)price may move sell side after taking buy side liquidity. Important note: Trade with...
Analysis for eurusd (march 27): Liquidity:(buy-side) internal liquidity taken. external liquidty "A" may be taken in the higher picture. Volume profile:(neutral) Moved out of 70% bulge. VWAP : (Sell side) ST. deviation 2. scenarios: You can watch lines on the chart. important Note: Trade with only confirmations & news.
Analysis :(27/03/23) Liquidity :(Buyside) Higher liquidity "P" has been taken. Now only Liquidity level "Q" & "R" is left to grab toward the buy-side. Volume profile : (Neutral) Price is inside the 70% of top volume profile bulge. VWAP :(Sell-side) At 2 ST. Deviation. Scenarios for this week : i)May take liquidity either at any levels "a","b","c" levels or...
Analysis: Areas of focus: a, b Weekly and daily Liquidity to be taken. but after new euro fx contract switch there is a lot of sell took place. So, scenarios: i)bias depends on how you view it either rallies above "a" liquidity zone. or ii) rallies above "b" till "a" liquidity is taken. or iii)Takes down after "b" 15 min fvg mitigation. NOTE: The information...
This is my analysis. Please don't take it as trading or financial advice. I'm not a certified financial/ investment advisor. Please comment on your insights so that we can discuss better opportunities. Analysis: daily, and weekly liquidity taken Scenarios: a) If a sell order block is formed with a high volume in kill zones at 2000 0r 1940 levels then look for...
Analysis: weekly, daily fvg liquidity has taken Senerios: A)if 4hr low at 1810.3 taken then look: 15min sell entries. B) if price rallies above 1889.45 in NY session look for buy entries at fvg of OB(till next high liquidity taken)
Just my opinion I am not a financial analyst. So if your following my analysis you are only responsible for losses i will not be liable for any of your losses. Please provide me with you reviews so that I can improve. Analysis: Weekly,Daily liquidty has to taken at 1.07045 senerios A) i will sell : waiting for OB and enter at fvg. B) if price rallies above...