Sellers getting too short and squeezed. Buyers getting too long and liquidated. Can't complain about the volatility, only focus on trade location.
Is there any reason you didn't highlight the Monday's A-period excess that capped Tuesday High?
It is definitely a level that I could have marked as well. It is weak against Monday's B-period high, meaning should be stops/liquidity there.
Is there any reason you didn't highlight the Monday's A-period excess that capped Tuesday High?
It is definitely a level that I could have marked as well. It is weak against Monday's B-period high, meaning should be stops/liquidity there.