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Buying was initiated in c period with a rotation back down into the high of the inital balance in D period, thus giving a small area of value to trade off. The poc of the value being 1395, which was bought during E period. This was trade number two. |
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It is easy to see in hindsight. But how do you determine whether trade number two should be a buy or sell while you are looking at the small
value area around 1395 being formed ? Can you explain a little about your rules for order entry ?