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EURNZD lower

148
I like trying EURNZD lower here with about 2x normal risk.

We had a very strong US CPI last week and the day ended in a shooting star for the pair - i think this price action is telling us that the market is very long USD and very short stocks, i think this could lead to some unwind of USD longs which could mean the US500 could rise.

I am expecting the VIX to fall and the US500 to rise this week as there is not much data for the USD which could mean lower volatility - EURNZD is very correlated to the VIX. rate differentials are also suggesting lower as shown by the chart.

We're also entering a period of seasonal risk on mood towards the end of the year and sentiment for the pair is extremely high

Not trading/investment advise, feedback welcome!
ملاحظة
moving take profit to 1.699
ملاحظة
take profit moved to 1.70699

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