In traders (and near-trading) blogs are talking about BP again, new wave of crisis, broken bullish trend. In my opinion, gentlemen are trying to get ahead of the events. I saw something similar in November-December last year. How did it end – everybody knows. My position remains the same – "на север". So far, Mamba is trading in a descending channel, the slide along the lower border was caused by the exit of someone large from Lukoil and Gazprom. Sber, keeps quite confidently against the general background, which is encouraging, sales in Rosneft too, seem to be, прекратились. Optimal strategy, in my opinion, now consists in buying at the lower border of the channel, and partial commit (about 50% position volume) у верхней, with the expectation of going up.
The total drawdown of the deposit is about 2%.
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