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PixeLM replied Apr 3, 2015I got 3.5percent risk on the short side... for 6.5plus reward. Sweating :/
EURUSD
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PixeLM replied Apr 3, 2015Can anyone suggest a good Gartley indi?? Looks like ZUP v8++ is ok.. any suggestions??

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PixeLM replied Apr 3, 2015Hi Pedro, Ive never been confident drawing gartley triangles. Is there a good indi available that you know of and would trust?
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PixeLM replied Apr 2, 2015Short scalp hasn't materialized, SL at 1.0843, lookin for 30p. With news... ugh!
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PixeLM replied Apr 2, 2015I commend anyone who has (Intelligent) input into this forum, I couldn't concentrate if I was explaining my POV constantly.

EURUSD
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PixeLM replied Apr 2, 2015I expect some bouncing around until the federal budget is released in May.. though I am short AU on the daily. with pending long term buys set all the way down to 58 from 68

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PixeLM replied Mar 25, 2015Ha.. sorry, Im bearish on fiber... but not yet, just a few scalps here and there, Im looking for some decent candle formations and double tops for sell opportunity.. unfortunately I think sleep will win this battle.
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PixeLM replied Mar 25, 2015I believe so Pharmor, Im talking about the UsdJpy.. also D1 and higher.. its a deep retrace on the 4hr, for me anyhow...
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PixeLM replied Mar 25, 2015We're sitting at FOMC low, this is prices second attempt since FOMC, trend is up on higher time frames, depends how you manage the position, each to their own mate

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PixeLM replied Mar 25, 2015Maybe a triple bottom on UJ ... Got burnt on UJ longs last few weeks... I may not be able to resist..
119.40 pending buy.. SL 118.10 TP1 120.92 TP2 121.56EURUSD
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PixeLM replied Mar 19, 2015Nice pinn, but failed to break the low of previous bear candle... Hmm..
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PixeLM replied Mar 19, 2015Amazing profit to be had today, hope you all got some.. countering the large moves against the daily trend is paying off, 1.5% FOMC loss covered and a few pips more... Im leaning towards a break of 1.06 likely before it sees 1.07.
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PixeLM replied Mar 19, 2015I was carrying EUR, AUD shorts and JPY longs, lost gains which were not locked in, plus 1.5 percent. Risk management is key.. you got insane risk, a 20percent loss is over leveraging and dangerous, you can learn from this because these things do and ...
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PixeLM replied Mar 11, 2015Because news wasn't good enough to sustain a breakout.. USD strength plus AUD weakness continues.
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PixeLM replied Mar 10, 2015Such a level could break by 100pips and still be a false break, I believe..
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PixeLM replied Mar 10, 2015This is the territory my account hates most, once all my orders have closed, no real levels to watch. Fundis say its bearish, but the trigger finger is weary of any trade entering until I see a decent retrace and some kind of formation.. Ive learnt ...
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PixeLM replied Mar 8, 2015That's the truth, my main downfall is early week retraces after a big move, so Im out and flat until I see some volatility. No more giving back those gains!
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