Post #4415762
2026-08-06 11:28 UTC
Major Takeaways
Main scenario: Consider long positions from corrections above 77.05 with a target of 105.17–115.50. A buy signal: the price holds above 77.05. Stop Loss: below 75.50, Take Profit: 105.17–115.50.
Alternative scenario: Breakout and consolidation below 77.05 will allow the asset to continue declining to the levels of 67.00–58.50. A sell signal: the level of 77.05 is broken to the downside. Stop Loss: above 78.60, Take Profit: 67.00–58.50.
Main Scenario
Replies (1)
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@tmqa1@m.fedica.com 2026-08-06 11:28
Consider long positions from corrections above 77.05 with a target of 105.17–115.50. Alternative Scenario Breakout and consolidation below 77.05 will allow the asset to continue declining to the levels... Read full author’s opinion and review in blog of #LiteFinance