Explanation

I want to explain why I removed the positional short status today.
Since the critical area 20-23 November created conflicting signals and there is no quick materialization of the negative, I considered it necessary to remove the risky positional short in order to, to remove risks and so that readers comply with money management and act strictly according to plan. Sit in position and hope is wrong. Better to sit out and wait for the technical picture to be clarified.. Therefore, the style should be while scalp or swing.
I closed my small positional short at a loss, but almost blocked it with fast swing and scalp trades. If there is a delay in the materialization of the negative, then it is better to wait and maybe the situation will be, when the scalp can turn into a positional trade.

  By the way...
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