Today is December 14, and it's the day we said the picture would become clear.
Scenario B is the one that is happening:
If the price fails to break through within the timeframe, a return to 3000$ is considered a natural correction, then testing 2800$ is very likely.
Yes, Scenario A did not materialize,
but the most important point I want to convey is the following:
As long as your study is logical and your plan is clear, your position in the market is always calculated:
• Either profit
• Or break-even
• And even in the worst cases, a limited and controlled loss.
This is the difference between expectation… and risk management.
Thanks to God, for me, I ended up with a profit,
and everyone who was with me during this period did as well.
