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ForexTrade1®
#SELL_USOIL_589|#MRS_USOIL Update: yesterday pending entry= 59.5 activated & traded 1.5pnts frm 59.5 precisley - Verify | Re-enter@ 58.9-59.5, 60.5, 62.0-62.5, 63.5-64.0 Entry: 58.9(with Revise SL) |TP: 57.5|Risk: 0.5Points 19/9 Signal Update: 59.5(1.5pnts…
#SELL_USOIL_592|#MRS_USOIL
Update: prvs sgnl pending entry= 59.0-59.5 activated 2times@ 1st time@ 59.2-57.9=1.3pnts gain & 2nd time@59.2 running. Re-Enter levels chk frm IMP msg
Entry:
59.2(5 times) |TP: 57.5|Risk: 0.5Points

20/9 Signal Update: 59.2(1.3pnts gain)
WeeklyChart: SepWK3
Strategies:Martingale|WeeklyProfit|Fundamental Factor
IMP—Iran/Saudi stress, US/China Stress, Japan/South Korea Stress, India/Pakistan stress, North Korea/South Korea stress, Russia/US stress on Iran concern will create havoc in Global Supply. as of Now SUPPLY no issue and deman is less SELL@ 59.5/61/62.5/64 with 15/15/25/25% Capacity
ForexTrade1®
#SELL_USOIL_590|#MRD_USOIL Update: Previous Signal 59.9 to 58.6 Open Entry: 59.0(If OIL hikes abv thn go wth lvls of IMP msg) |TP: 58.0 |Risk: 0.5 Points 06/12 Signal Update: 59.8 2.1 pnt gain WeeklyChart: DecWk1 Strategies: Martingale|WeeklyProfit|Fundamental…
#SELL_USOIL_592|#MRD_USOIL
Update: Prvs Sgnl 50% open entry=59.8 closed with 1.6pnts gain while Big Investor Still Holding. Next Entry=59.2 was as per pending entry
Entry: 59.2(If OIL hikes abv thn go wth lvls of IMP msg) |TP: 57.7 |Risk: 0.5 Points

09/12 Signal Update: 59.2(1.0pnt gain)
WeeklyChart: DecWk1
Strategies: Martingale|WeeklyProfit|Fundamental Factors
IMP—15th Dec19 $156billion China goods tariff can implement by USA if no update from China—Highly Negative for Crude
—China major importer of OIL has already reduced it's forecast—Critical demand issue
—OPEC Cut the supply till march-2020 upto 1.7million bpd, —Good for OIL
—non-OPEC has increased proportionally!!
Brazil, Norway, U.S., upto 2million bpd!!=Bad for OIL
—US Crudeoil output recently hig a record of 13 million bpd, and will rise more in 2020=Bad for OIL
—Very hard to cross 62 mark for OIL & Use all up side movement as a SELL Opportunity
SELL@ 59-59.5/61/62.5/64 with 15/15/20/20% Capacity—Risk=0.5point
Note: bpd = barrel per day
ForexTrade1®
#SELL_USOIL_595|#MRD_USOIL Update: Prvs Sgnl entry=59.2 made profit. Then as per pending entry, entered from 59.4 and made profit. Again from pending entry=59.5 it is performing now. Entry: 59.5(If OIL hikes abv thn go wth lvls of IMP msg) |TP: 57.7 |Risk:…
#SELL_USOIL_592|#MRD_USOIL
Update: Prvs Sgnl entry=59.5 made profit. Then entered from strong Resistance Level=59.2
Entry: 59.0-59.5(If OIL hikes abv thn go wth lvls of IMP msg) |TP: 57.8 |Risk: 0.5 Points

11/12 Signal Update: 59.5,59.2(1.8pnt gain)
WeeklyChart: DecWk1
Strategies: Martingale|WeeklyProfit|Fundamental Factors
IMP—As we predicted the Inventory must be Positive and USOIL fall from 59.5 to 58.0 = 1.5point gain booked yesterday
-Small trader@ 40lot= $6000 book
-Big trader@ 400lot = $60000 book
If you trade only USOIL in Inventory per week u can book minimum $5000 profit by susbcribing USOIL Signal or USOIL Copy trade service
—15th Dec19 will be highly volatile day for OIL as Mr Tump will finalize for tariff to China
SELL@ 59-59.5/61/62.5/64 with 15/15/20/20% Capacity—Risk=0.5point
ForexTrade1®
#SELL_USOIL_596|#MRD_USOIL Update: previous signal=60.3-58.7=1.6point gain also verify 1st tp achieved. New Entry:59.6 |TP:58.0 |Risk: 0.5 Points 9/1 Signal Update: 60.5(1.8 pnt gain) Weekly Chart: JanWk1 Strategies: Martingale|WeeklyProfit|Fundamental Factors…
#SELL_USOIL_592|#MRD_USOIL
Update: Investor holding from 65.5 and Investor TP is 50.0 =
New Entry:59.2 |TP:58.0 |Risk: 0.5 Points

10/1 Signal Update: 59.8(1.8 pnt gain)
Weekly Chart: JanWk2
Strategies: Martingale|WeeklyProfit|Fundamental Factors
IMP—Iran/US War cool down after Iran mistakenly Shot down Ukrainian Plane and US/China 2nd Phase deal will take more longer
—60 to 58.5=1.5point gain in last active 12hrs, 40lot=$6000 Profit= $2500 capital
SELL@ 60-60.5/62-62.5/64-64.5/66-67 with 15/15/20/20% Capacity__Risk=0.5point