i think the charts pretty much explains what I`m looking for.
A risk-off-sentiment in stocks would support this idea! Classic breakout-re-test with fakeout scenario!
LEAVE A LIKE AND A COMMENT - I appreciate every support! =)
Peace and good trades Irasor
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ملاحظة
AUD/USD:Daytrade-Execution
Notice: Waiting for confirmation!
Only for those who accept additional risk. Will take that one because we have made good profits this week❗️
Market-Sell: 0.72360 Stop-Loss: 0.72510
Point of Risk-Reduction: 0.72270 Take-Profit: 0.71780
Stop-Loss: 15 pips Risk: 0,5% -1%
Risk-Reward: 4,0
تم فتح الصفقة
ملاحظة
Good evening guys!🙏
Bad luck with the news for our trades but overall just a little loss of 1,5% compared to the 17,3% we`ve made this week. 😊
Drawdowns as a normal part of this buisness do really show how great big risk-rewards are as one trade can easily compensate a seriies of losing trades.👌
When the news appeard and I saw the red figures of Jobless Claims I was really confident with our trades and I`m still sticking to the setups.
Let me explain you why:
I had two scenarios for these news in mind.
1️⃣ Stagnating jobmarket but high inflation would confirm the dilemma of the FED as they can not "countersteer" a slowdown in growth due to the number one priority "fight the inflation" as often explained. This would cause a little bit of panic and so risk-off in equities, thus rising yields and more demand in US-DOLLAR and other risk-off currencies such as JPY.
2️⃣ Stagnating jobmarket but high inflation would give the market hopes the FED would have to "countersteer" and won`t fight inflation as harsh as announced and planned. This would give the market the hope they gonna get more liquidity in the future than expected which would boost bulls confidence due to more consume and investment.
Well in this case we have seen a mixed reaction with a pump in equities (risk-on scenario 2) and now the realiziation, thus fakeouts everywhere (scenario 1). 🙈
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