Hello everybody,
I would like to share brief summary about my previous trades and share my thinking and my oppinions for market future direction.
Last day of first week of May was really bad for me also because of my stupidity. My USD/MXN position was hit by SL and I opened USD/RUB expecting correction on bearish side. This trade would be profitable if there wasnt weekends cutting leverage. So finally it was closed because of margin cut.
Yesterday I opened short position on USD/SEK acording to this prediction: This position is with very wide TP and I expect strong correction.

I have also 2 pending orders for USD/NOK and USD/RUB expectin small bullish direction after EUR/USD top levels will come correction.

anton_dang
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