My entire portfolio is CLV and I think a breakout is imminent (T minus ~6-12 hours). Volume has increased from the precious swing high and shows momentum is increasing with a ton of consolidation at around 1.10. The risk reward here is just insane and I'm all for it. Major fibs are (still) at 1.37 (first real break from downtrend), 1.5, 1.66 (last swing high), 1.9, 2.3, and 3.88(!). Exit based on your own risk management guidelines.
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