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- 5,270 Results (11 Threads, 5,259 Replies)
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SkyzerFX replied Apr 3, 2010Yeah, for how long 2-3 month and then back to 75 again.. Been there many time, no different this time. Ones Market improves further nobody would need either JPY nor USD (only for SALE to fuel carry trade) JPY already get dumped, USD next to come.
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SkyzerFX replied Apr 2, 2010Thanks, I have no position for now, other than GBPJPY short, with SL above resent high.
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SkyzerFX replied Apr 2, 2010Check USDCHF, start dropping again and EUR hold as well.. I'm not bearish nor bullish.. I say 1.34-1.36 RANGE.. or 1.33-1.37 extended for now (Fair value 1.36).. Buy low sell high.. I'm not buying DOLLAR high crap.. Cause it's already too high.. ...
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SkyzerFX replied Apr 2, 2010F* that cloud, who cares, - fake smoking alarm! We might see 1.36 back even faster.. Good US data = good for commodities, good for carry trade, good for risky assets, bad for USD, - period.
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SkyzerFX replied Apr 2, 2010I have problems with that Harmonic Patterns Indicators, Color of the Butterfly shows up and then shuts down in few min, have to reload indy and then all happens again.. Not sure what causing this

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SkyzerFX replied Apr 2, 2010Close that already, nothing to do here, no VOL, nothing is going on.. And about Taking profits too early that was technical knock out, Trailing stop triggers.. Shouldn't place it, as swing was too big.
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SkyzerFX replied Apr 2, 2010Longs have to wait till Monday Feds BS cleared out.. And Speaking about shorts, perhaps I'm the only one who short EU from 1.3682 yesterday, but it doesn't mean I was targeting some 1.31 nonsense.
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SkyzerFX replied Apr 2, 2010That's an absurd and jobs report was SUCK.. Why you didn't speak up your Reserve currency theory yesterday, while collecting stop losses?
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SkyzerFX replied Apr 2, 2010And since when you so sure about that current? since 1 hour ago? Yesterday most of the shorts were crying laud for help.. I hope No change in rates on Monday, then we'll talk.. Anyways on EU my Buy area will starts form low 1.34 and we go from ...
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SkyzerFX replied Apr 2, 2010I don't know.. I have not much interest in EU at these levels Either way.. Waiting When this Artificial Poppy USDCHF stop running to Short the heck our of it to the Parity.
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SkyzerFX replied Apr 2, 2010Forgot, if Feds move rate again on Monday, then break down possible as Jerk Knee reaction, which would be great deal to load longs.
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SkyzerFX replied Apr 2, 2010I like your SL (1.37), you got extra money I guess to throw 200+ pips in the dumpster

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SkyzerFX replied Apr 2, 2010You can forget about 1.31. Besides what would be the reason for that? Portugal default? Or Spain? It's still an uptrend, unless trend line around 1.3450 broken. Target 1.3620+
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SkyzerFX replied Apr 2, 2010I'm long, If SL hit, then will reenter lower. Monday Dollar will tank again.
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SkyzerFX replied Apr 2, 2010Got into Cable Short now riding it for Free with stop loss below Entry

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SkyzerFX replied Apr 2, 2010That's what I'm talking about... USDCHF was a good Long Entry and I miss it, watching EU instead
Never going to set Trailing stop ever again. Knock me out, I'd get close to 100 pips if not that 
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