Hello,
I am wondering if currencies has a daily routine? I mean market opening hours routine should be market opening uptrend downtrend, making the low, making the high…after market hours going to sleep…downtrend, waking up at noon?
I mean this sort of things, that would be useful to know. I am particulary interested in GBP EUR USD on uptrending day, and downtrending day…
I make mistakes for example today CHF/JPY sell, as the weakest curency currently CHF, strongest JPY, I placed the trade, but at the wrong time of the day, when chf/jpy made the lowest of the day…so I need to wait till it clears out…
What time of the day is best for placing trades?
Bambura