The following factors are -ve.
Logically, best short price 466 nearby for maintaining good risk and reward as a protective stop above 474 above. Thinking about everything is exactly what target is targeted 438 and 400 below.
- Price is too far from 20 M.A.
- Tail found at the area of over-reaction.
- Wave(5) is so close.
- The price is out of trade channel area.
Logically, best short price 466 nearby for maintaining good risk and reward as a protective stop above 474 above. Thinking about everything is exactly what target is targeted 438 and 400 below.
Trade aktif:
Selling BPCL future oct. 482-486 and stoploss 490 above and targets 462-432
Komentar:
What is your problem if I work for someone...?