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Exness in-depth good article: dynamic series - Case Analysis of gold liquidity (V)
2022-07-02 18:46:00 【York168】
Follow up , This issue mainly analyzes the application of relevant content of liquidity series .
Daily charts (Daily)
In the figure 2 A red circle , gold 6 month 13 Break upward to form a new absorption BSL, A large number of short selling continued to appear on that day , Form strong short momentum , It belongs to mechanism algorithm behavior .6 month 14 Japan , Gold continued to decline under the main driving force , And absorb below SSL.
thus , Gold price behavior conforms to 【 absorption BSL】+【 absorption SSL】+【 Strong kinetic energy 】 features . therefore :
- take 6 month 13 Daily maximum 1879 and 6 month 14 Daily lowest point 1805 The space between is regarded as the decision interval dealing range
- The trend is expected to be short
One hour chart (Hourly)
After the decision interval is defined , The upper part is the premium area , The lower part is the discount area , The median line 50% The price for 1842. As the price is expected to be short , Then the plan is to wait for the price to return to the premium area and look for short selling opportunities .
In the premium area , A large number of order blocks can be found according to the price pattern OB And liquidity imbalance (FVG), These are potential trading entrances . Which location to choose , After the critical point of price rebound , Observe whether there is a final trading opportunity .
When the price rebounds to 1858 after , Trading opportunities are officially established . As shown in the figure below ,1858 by dealing range Premium area OB.
In the red frame , The price behavior is completed again 【 absorption BSL】+【 absorption SSL】+【 Continuous downward momentum 】 Pattern , Complete market structure switching ( Switch from long rebound to short ), And cooperate to produce the decision-making interval on the small cycle 1842-1858.
admission (Entry)
stay 1842-1858 Between , Again, according to 50% Discount premium range and FVG, Make a trading plan and finally enter .
50% by 1850, The price just resonates OB and FVG Upper edge , It has very high entry transaction value .
The stop loss point can depend on the high point of the structure 1858 Set it up , The profit stop target is the daily level dealing range Low point of 1805
The potential profit loss ratio is 1:5.6.
summary :
- Top down analysis , Definition of large period dealing range, Determine trading direction preference
- The small cycle again waits for the market structure to switch according to the liquidity strategy , Look for trading opportunities to establish characteristics
- According to the small cycle dealing range Plan trading strategies
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