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Good afternoon, let’s get to work, so I had some positions on: 17.12 18.12 23.12 2 unprofitable and 1 profitable, but in my opinion there is only 1 position with mistake Which means that the second unprofitable position is just statistics I'm closing my trading year, I'll already be looking at something from 6.01 and then, I'll only trade with risk 0.5% for 1-2 weeks, then everything is standard Each position will be described in a separate post below 👇
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GBP/USD 17.12 As I wrote in the previous post, there is an unprofitable position, but I don’t see a technical error in it We were supposed to reach the take, but we didn’t Maybe the issue here is related to working with the position relative to DXY, but I don’t think so It closed at the stop, maybe it should have been closed after the formation of the 5m imbalance, but I was assuming the probability of an aggressive correction and then a continuation of the downward movement The cast is a little bit long, so I will write the second one
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