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[TRIAL] 🇬🇧 SmartTrader™ - Fundamental Trading Signals; Consistently Profitable & 100% Transparent

⚡️ LIGHTNING-RAPID UPDATE 🕯
Dow Jones
(US30)  🇺🇸
TP ✅
@: 44974.80

CAC 40 (FRA_40) 🇫🇷
SL 🔑
@: 7453.80
TP ✅
@: 7332.60
OR
CLOSE @: near 7330.00 (off-profit)

Silver (XAG/USD)🥈
TP ✅
@: 31.397 (or wider)

GBP/USD
SL 🔑 @: 1.27856
TP ✅
@: 1.27086


We are updating our positions before the end of the week.

For a change, we have open index positions out of profit at the end of the week (I think this is a first this year).

I don't like our positioning in the CAC. We can either close here/soon and bite the bullet or set our SL tighter. But there is a good chance that our CAC position will close above the SL on Monday. Although the CAC appears to be outperforming, it still has plenty of room to recover, even given the chaos in France and the continued weakness in the Eurozone in terms of economic activity, demand and sentiment. Monday could see a mixed opening in Asia, which could weigh on the CAC in the short term.

We remain LONG in the Dow Jones, which will recover and was heavily weighed down today by the sharp losses in UnitedHealth, which is heavily (over-)weighted in the Dow Jones. The strong performance of the technology sector also weighed on more defensive sectors (such as health care and consumer staples). The energy sector also performed very poorly today – Chevron (a Dow Jones component) was down 2.5% today. The Dow Jones even offers even a good entry (re-entry) price 🔼 here.

We maintain our TP for Wells Fargo and can set a not-too-wide TP for silver (we found a great entry).

We remain SHORT in GBP/USD, but set an SL and a fairly narrow TP (30 pips away, which we would like to trigger on Monday).

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[TRIAL] 🇬🇧 SmartTrader™ - Fundamental Trading Signals; Consistently Profitable & 100% Transparent

Bitcoin (BTC/USD) 💰
TP triggered @: 99918.70 (me) | 99898.90 or 100478.70

Our Bitcoin position hit (all) TPs / I widened mine a tiny biz. If you are still long - you can close even better for a mega profit near ✅ 101390 (TP) or just now range 101100 - 101600.

We also closed our LLY and gold positions in our very well set TP (perfect for gold - again!).

Congratulations – our position management is extremely good today

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Unbelievable profits with gold and bitcoin today – wow!

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[TRIAL] 🇬🇧 SmartTrader™ - Fundamental Trading Signals; Consistently Profitable & 100% Transparent

🔰 NYSE OPENING UPDATE 🕯

🔰 VIP SIGNAL 🕯
BUY NOW / SOON 🔼(VIP ONLY) 🇺🇸
TP ✅ @: (VIP ONLY)

Recommended Entry Range (VIP ONLY)

⏱️ Signal DELAYED by: 5️⃣0️⃣+ (!) minutes! ⚠️⚠️

🔹 Eli Lilly (+0.15%) will open little changed after a very strong performance this week. We continue to see significant upside potential for the pharmaceutical giant.

🔹 Wells Fargo (+0.7%) is again starting well with less panic buying in the tech sector - as we expected. We are maintaining our TP ✅ @: 76.47 for the time being.

► We see the (VIP ONLY) more than (VIP ONLY) points below yesterday's highs and expect Wall Street to rise a little higher today after this week's mixed labor market data. While the labor market data is not clear, it shows that the US economy remains very resilient.

► We saw a slight increase in the unemployment rate, but overall very robust job growth. I expect the Fed to cut rates again in December, but a rather “hawkish cut” with the prospect of a slowing in the rate cuts in the future. Wage growth seems to have bottomed out at 4% year-on-year, but has risen slightly to 4.4% on a three-month basis. Although this is probably not a massive warning to the Fed, wage growth of 4.4% does not really fit with 2% price inflation and a 2% inflation target + continued interest rate cuts.

Optimism will continue/return. We see strong gains in the risk- and economy-sensitive small-cap index Russell 2000 (up +0.8%) – this is a signal that investors are increasingly returning to risk markets (= including equities). We buy (VIP ONLY) ...

🗣️ Tip: (VIP ONLY) ...

position code / 100% transparency - 24120503A

⏱️ Signal DELAYED by: 5️⃣0️⃣+ (!) minutes! ⚠️⚠️
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[TRIAL] 🇬🇧 SmartTrader™ - Fundamental Trading Signals; Consistently Profitable & 100% Transparent

⚡️ LIVE TRADING SIGNAL 🕯
(VIP ONLY) Gold (XAU/USD)🥇
TP ✅ @: (VIP ONLY)

Recommended Entry Range (VIP ONLY)

⏱️ Signal is DELAYED ⚠️ by: 3️⃣0️⃣+ minutes! ⚠️

We practically closed our gold position perfectly today at almost $2,645 (VIP ONLY) ...

► We see slightly lower (VIP ONLY) as the initial reaction (to the NFP data) and also expect investors to view the NFP data as (VIP ONLY) risk that the Fed would take the risk of disappointing the markets by not cutting rates on December 18 is (VIP ONLY). The Fed will (VIP ONLY) hawkish (VIP ONLY)

► We expect gold to (VIP ONLY) find an entry point of (VIP ONLY)

Gold faces slight headwinds as labor market data this week was almost ideal, allowing investors to return to Wall Street and expect (VIP ONLY) ...

(VIP ONLY) ~$2,625, but expect (VIP ONLY) ...

► We are setting the TP (VIP ONLY) ...

🗣️ Tip: Multiply your usual trade size by ~ 0.40 - 0.50 (40% - 50%) when trading gold (XAU/USD) - Please always be careful trading gold and limit losses to a max of 2-4% of your account balance per trade.

position code / 100% transparency - 24120602A

⏱️ Signal is DELAYED ⚠️ by: 3️⃣0️⃣+ minutes! ⚠️
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[TRIAL] 🇬🇧 SmartTrader™ - Fundamental Trading Signals; Consistently Profitable & 100% Transparent

🚨 NFP data in 2 minutes

LIVE TRADING SESSION

⚠️ (ONLY IN VIP CHANNEL)

We are likely to see data that looks quite positive thanks to the return of workers/jobs after the hurricanes and the massive strike by Boeing workers in October.

However, the overall picture will be more mixed, with signs of a moderate cooling in the labor market – which would be seen as ideal as it would allow the Fed to cut interest rates further.

The unemployment rate and wage growth will also be in focus. There could be signs of a slight weakening of the labor market in the unemployment rate as well.

In general, we could see a slight additional headwind for the USD at first – but it could then recover towards the end of the NYSE. NFP data will keep US investors in a positive mood.

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[TRIAL] 🇬🇧 SmartTrader™ - Fundamental Trading Signals; Consistently Profitable & 100% Transparent

📊 SmartTrader Insights: Friday Markets Wrap 🗒

📆 Friday, December 6

❗️ Global markets mixed ahead of NFP report; Bitcoin retreats after historic high

European markets saw a mixed performance as traders exercised caution ahead of the critical US jobs report. The European Stoxx 600 rose by 0.2%, as GDP and employment change data rose but remained within expectations. France’s CAC 40, however, climbed more than 1.1%, extending it's rebound after a period of strong underperformance, despite the recent government collapse. This comes after Marine Le Pen’s announcement that a budget could be finalized within weeks. French bonds outperformed. Germany’s DAX rose slightly by 0.3%, despite weaker-than-expected German industrial production, which fell 1% in October against hopes for a rebound. Economic data from Germany and France remain very poor. UK’s FTSE 100 is trading 0.1% lower despite upbeat housing data (which is not very important data for the FTSE) showed a 1.3% monthly gain in the Halifax House Price Index.

US markets remained subdued as investors focused on November’s nonfarm payrolls report, anticipated to show a rebound of 220,000 jobs following disruptions from recent hurricanes and strikes. Futures on major indices such as the S&P 500 and Nasdaq were little changed, reflecting the market's "wait-and-see" approach. The US 10-year Treasury yield is near flat (up 1 bp) to 4.19%, while swap trading indicated a 68 - 70% likelihood of a December Fed rate cut (down from about 75% earlier this week). I expect data to remain in very good territory, showing ongoing growth of the US economy without overheating.

Asian markets presented a mixed picture, mirroring global caution. Japan’s Nikkei 225 fell 0.8%, dragged down by a decline in household spending and weaker wage growth, which dampened consumer sentiment. However, China’s SHCOMP rallied 1.05%, with investor sentiment lifted by hopes of economic support measures expected to emerge from next week’s Central Economic Work Conference. Hong Kong’s Hang Seng Index rebounded sharply, gaining 1.56% as traders positioned themselves ahead of anticipated favorable policy announcements. Meanwhile, South Korea faced pressure amid rising political tensions; the KRW traded near a two-year low as investors reacted to impeachment proceedings against President Yoon Suk Yeol.

Commodities were mixed as markets awaited cues from the US labor report. Oil prices declined, with WTI Crude trading at around $67.5/barrel after OPEC+ announced a three-month extension of production cuts. Most analysts/traders expected a sharp short-term increase in oil prices and could not have been more wrong – As predicted by SmartTrader Chief Analyst Robert Lindner: The extended production cuts were more of a headwind for oil as markets are concerned about a weak demand outlook given OPEC's apparent assessment that extended production curbs are needed. Gold prices rose slightly (+ 0.3%), trading near $2,640/oz, as high U.S. yields continue to weigh on the precious metal which however generally remains bullish with a strong medium-/long-term outlook. Bitcoin, after surging past $100K for the first time earlier this week, pulled back slightly as traders hedged against potential volatility. The cryptocurrency market also digested the news that President-elect Trump appointed David Sacks as the White House crypto and AI advisor, hinting at possible regulatory relaxation in the future.

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[TRIAL] 🇬🇧 SmartTrader™ - Fundamental Trading Signals; Consistently Profitable & 100% Transparent

4.12 - LLY - LONG ↗️ (TP - 838.9)
✴️ 4.12 - GBP/USD - SHORT ↘️ (open - off-profit)
👉 TP ✅ @: 1.27022 🔄
✴️ 4.12 - LLY - LONG ↗️ (open - off-profit)
👉 TP ✅ @: 838.89
✴️ 4.12 - XAU/USD - LONG ↗️ (open - off-profit | re-entry in profit)
👉 TP ✅ @: 2643.47 🔄

1/4 - (3 open positions)

TODAY :

5.12 - USOIL - SHORT ↘️ (SL - 68.41) 📸
5.12 - NAS100 - SHORT ↘️ (SL - 21515.3 | or TP-21476.10 or 21418.60) 📸
* 5.12 - NAS100 - SHORT ↘️ (TP - 21418.60) - Re-Entry* 📸
✴️ 5.12 -BTC/USD -LONG ↗️ (open - off-profit)
👉 TP ✅ @: 100879.90 🔄

2/3 - (1 open position | or 3/4 incl. re-entry position)


With the exception of Bitcoin, it was a very unspectacular day, which also (unfortunately) kept our open positions open. We are adjusting the TP for our GBP/USD position here a little. The USD was somewhat weak – which makes the sharp drop in Bitcoin in overnight trading even more surprising.

We saw a very sharp, very brief dip in Bitcoin – which once again shows us how volatile, sudden and to some extent completely “random” cryptocurrencies can be. We expect this to be a short-term dip and Bitcoin to recover (almost as if it hadn't happened).

If you have improved your entry – great. I'm pulling the TP for our BTC position a bit tighter (you could also hold it a bit longer if your position is small enough). You can also work with a pending order (max. 1/2 of the usual trade size near
🔼 92510, in case Bitcoin makes another short-term dip – I added to my small position at 94557).

The Nasdaq did exactly what we expected today – we may even see some additional profit-taking ahead of tomorrow's important NFP data but the general sentiment in New York remains positive (although less euphoric than Mon-Wed this week).

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[TRIAL] 🇬🇧 SmartTrader™ - Fundamental Trading Signals; Consistently Profitable & 100% Transparent

⚡️ RAPID UPDATE 🕯
Nasdaq
(NAS100 / US100) 🇺🇸
SL 🔑 @: 21492.60
TP ✅ @: 21418.60

We see exactly the profit taking that we expected the Nasdaq to see (ahead of NFP data) after one of the strongest phase this year. The crazy part - we made this prediction yesterday (!) already. You can slightly widen your TP.


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[TRIAL] 🇬🇧 SmartTrader™ - Fundamental Trading Signals; Consistently Profitable & 100% Transparent

⚡️ RAPID UPDATE 🕯
Nasdaq
(NAS100 / US100) 🇺🇸
SL 🔑 @: 21506.70
TP ✅ @: 21437.60

If you got back in at ATH (as planned) or are still SHORT in the Nasdaq, I would now update SL & TP. We can see that the Nasdaq is indeed encountering sustained resistance in the 21510-21550 range. If the Nasdaq now continues to break through 21500, we will probably see an overall flat close – although I still generally expect some profit taking ahead of tomorrow's NFP data.

If your position has been closed at the TP, you can stay out for now – we may find a better re-entry.

If the SL is triggered, we may find a re-entry in the 21525 - 21550 area.

We are seeing a narrow range overall today.

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[TRIAL] 🇬🇧 SmartTrader™ - Fundamental Trading Signals; Consistently Profitable & 100% Transparent

⚡️ RAPID UPDATE 🕯
WTI
(USOIL) 🛢 (spot)
SL 🔑
@: 68.41
TP ✅ @: 67.63

Nasdaq
(NAS100 / US100) 🇺🇸
SL 🔑 @: 21515.30 (or wider)
TP ✅ @: 21476.10


We found excellent entries with both WTI and the Nasdaq moving as we predicted. However, we see overall much lower volatility today with investors waiting for more guidance - in particular tomorrow's US NFP data.

We will likely see a bit more profit taking in New York - but losses will be modest with overall sentiment remaining positive.

If you want - you can also set the SL of your Nasdaq 100 position in profit. I set it - as we can then find (potentially) a better re-entry again near ATH.

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[TRIAL] 🇬🇧 SmartTrader™ - Fundamental Trading Signals; Consistently Profitable & 100% Transparent

🔰 FREE VIP SIGNAL 🕯
SELL NOW / SOON 🔽 WTI (USOIL) 🛢 (spot)
TP ✅ @: (VIP ONLY)

Recommended Entry Range 68.50 - 68.84

(current spot price: ~ 68.54- 12:27 UTC+0)


⏱️ Signal DELAYED by: 6️⃣0️⃣+ (!) minutes! ⚠️⚠️

Oil prices initially rose slightly during European trading before falling by more than $1 per barrel. We are now seeing a recovery to 68.50, which we are using as a renewed entry point for shorts.

► OPEC+ is currently discussing an extension of the production cuts in Vienna – I have no doubt that OPEC+ will decide to extend the voluntary curbs on oil production. No matter how it does it, OPEC can only send a "bad" signal here.

► Most traders expect this to lead to an increase in oil prices, however, the extended curbs are largely priced in and it is in fact another sign that OPEC+ also expects the market to remain well supplied (even oversupplied) well into 2025. We will see a short-term reaction to the actual extension - but then profit taking (you could theoretically work with a pending order at, say, 68.97).

► We see ongoing weakness in Europe and China and tentative signs of a healthy cooling in the US. We also expect the USD to remain on a path of strengthening – especially now that more key figures in Trump's cabinet/team are known to be trade hardliners and tariff supporters.

► Meanwhile, Donald Trump's Middle East envoy has traveled to Qatar and Israel to launch the US president-elect's diplomatic push and help secure a ceasefire for Gaza and a hostage release deal before he takes office on January 20. Trump's inauguration in January 2025 is likely to help stabilize the region.

🗣️ Tip: Multiply your usual lot size by ~ 0.55 - 0.70 (55% - 70%)* trading WTI (USOIL) / CRUDOIL - [VT Markets / PU Prime / Markets / Libertex] *multiply by 10 when trading at Admiral Market / Markets WebTrader⚠️ The Jan-Futures Contract is currently $0.20 above the spot price

position code / 100% transparency - 24120501A

⏱️ Signal DELAYED by: 6️⃣0️⃣+ (!) minutes! ⚠️⚠️
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📊 SmartTrader Insights: Thursday Markets Wrap 🗒

📆 Thursday, December 5

❗️ Mixed global stock prices after collapse of FR government & while US traders focus on NFP (Friday); Bitcoin reaches $100K

European markets faced a mixed start as traders digested the collapse of France’s government. Euro Stoxx 600 futures rose by 0.3%, reflecting broader caution, led by travel and banking stocks. Industrial production data painted a varied picture: Germany reported a 1.5% drop in factory orders for October, while French industrial output eased its decline to just 0.1%. Political uncertainty loomed large as Marine Le Pen's far-right coalition and left-wing groups voted to remove Prime Minister Michel Barnier’s administration, raising questions about France’s economic trajectory. Corporate developments provided some optimism; Shell and Equinor announced a joint venture to form the UK’s largest independent oil and gas producer, bolstering energy sector stocks.

US markets showed resilience following a stellar rally driven by the ongoing positive momentum and optimism about more rate cuts following Federal Reserve Chair Jerome Powell’s remarks. Powell highlighted the economy’s “remarkably good shape” and hinted at cautious rate adjustments, reinforcing market confidence. US stock futures are slightly lower after Wednesday’s record highs; the S&P 500 is little changed at -0.05% while the Nasdaq eased 0.15%, respectively. Treasury yields edged higher, with the 10-year yield reaching 4.21% (+3 bps). Investors are now eyeing Friday’s non-farm payrolls for signs of labor market strength, a key determinant of the Fed’s December policy decision.

Asian markets reflected heightened caution amidst regional and global uncertainties. Japan’s Nikkei rose 0.38%, bolstered by optimism around U.S. economic strength, supported also by dovish remarks from the Bank of Japan following weak wage growth. South Korea’s KOSPI fell sharply (- 0.9%), reflecting investor unease over political instability following President Yoon’s martial law decree and impeachment threats as well as political instabiliy in South Korea. In China, the SHCOMP rose 0.12%, weighed down by concerns over uneven economic recovery and ongoing U.S.-China trade tensions. Conversely, Australia’s ASX 200 rose 0.15%, buoyed by an eight-month high trade surplus driven by a rebound in exports, stabilizing the AUD.

► In commodities, oil prices steadied ahead of the OPEC+ meeting, with WTI Crude hovering around $68.6/barrel as traders awaited signals on production adjustments. Gold prices dropped slightly (- 0.15%) to $2,645/oz, with slight pressures from higher US yields and USD strength. Bitcoin’s meteoric rise to $100,000 (ATH) drew significant attention, fueled by Donald Trump’s pro-crypto SEC pick, signaling a potential regulatory pivot favorable to digital currencies.

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[TRIAL] 🇬🇧 SmartTrader™ - Fundamental Trading Signals; Consistently Profitable & 100% Transparent

Overview last 30 trading days:

✅ Performance: 25.10 - 27.11 (26 trading days)

118 / 128 = 92.2%
❗️ Success Rate 📈

(October 24 = 6/7 = 85.7%
SR dropped out;
November 27 - 4/4 = 100%
🏆 SR added)


THANKSGIVING TRADES:

28.11 - EUR/CAD - SHORT ↘️ (TP - 1.47608 & TP - 1.47437 for me | or 1.47456)
❌ 29.11 - GER_40 - SHORT ↘️ (SL-19954.60 or 19921.60|+re-entry)

1/2 = 50% Success Rate

2.12 - FRA_40 - SHORT ↘️ (TP - 7202.70)
2.12 - USOIL - SHORT ↘️ (TP - 68.06)
✴️ 2.12 - WFC - LONG ↗️ (open - off-profit)
👉 TP ✅ @: 76.47
2.12 - NAS100 - SHORT ↘️ (TP - 21125.60)
2.12 - XAU/USD - LONG ↗️ (TP - 2649.07)
✴️ 2.12 - FRA_40 - SHORT ↘️ (open - slightly in-profit)
👉 TP ✅ @: 7245.60 🔄

4/6 - (2 open positions)


We see another boost of 0.6 percentage points and are now back above 92% success rate in our 5-weeks-period. We lost 10 trades out of 128 trades in the period 25.10 - 27.11. We remain the world's most consistent money printing machine - please continue to share some of your profits with people in need ❤️ (thanks a lot)

Our WFC is still open - but remains off-profit. We expect the current extreme tech outperformance to find an end either tomorrow or on Friday which will then help financials to rebound.

We are raising our TP for our CAC position (which almost triggered our TP earlier today), but we see headwinds for the CAC. The French government was toppled today by a vote of no confidence, plunging the Eurozone's second-largest economy into a period of deep political uncertainty.

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[TRIAL] 🇬🇧 SmartTrader™ - Fundamental Trading Signals; Consistently Profitable & 100% Transparent

🔰 VIP SIGNAL 🔰
BUY NOW / OR SOON🔼 Gold (XAU/USD)🥇

Recommended Entry Range 2,644 - 2,648.50
OR Pending Order🔼 (VIP ONLY)

⏱️ Signal DELAYED by: 7️⃣5️⃣+ (!) minutes! ⚠️⚠️

► We are seeing a very impressive rally in New York with the S&P 500 and the Nasdaq at ATHs (also the DAX) – and only a few points away from the ATH for the Dow Jones. The technology sector has outperformed again today, driving Wall Street to new highs – deep into very hot, overbought areas. This has also led to 21 of the components in the S&P 500 reaching new ATHs – including big names such as Apple, Amazon, Meta Platforms, Netflix, Salesforce and Walmart. The momentum is currently too strong to go SHORT here – instead, we are trading the side effect ... on gold.

► The very strong outperformance of equities has led to limited demand for gold today – although silver rose by more than 1%, following a very impressive recovery (from deep red territory) after the ADP and especially the PMI data, which show that the US economy and labor market are not heating up too quickly, which would not justify further interest rate cuts.

► The market is expecting rate cuts and Powell has not hinted that the Fed will take a break on December 18.

► We are now also seeing gains in bonds, causing yields to fall from positive to negative territory – a significant move. We go LONG here (~$2 below our TP triggered today 📸) or work with a pending order (VIP ONLY) ...

🗣️ Tip: Multiply your usual trade size by ~ 0.40 - 0.50 (40% - 50%) when trading gold (XAU/USD) - Please always be careful trading gold and limit losses to a max of 2-4% of your account balance per trade.

position code / 100% transparency - 24120404A

⏱️ Signal DELAYED by: 7️⃣5️⃣+ (!) minutes! ⚠️⚠️
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———-

We closed yesterday's gold trade extremely well (in TP) today (in early trading) 📸 and want to stay LONG.

✅ 11.11 - XAU/USD - LONG ↗️
✅ 19.11 - XAU/USD - LONG ↗️
✅ 20.11 - XAU/USD - LONG ↗️
✅ 21.11 - XAU/USD - LONG ↗️
✅ 25.11 - XAU/USD - LONG ↗️
✅ 02.12 - XAU/USD - LONG ↗️
✅ 03.12 - XAU/USD - LONG ↗️
✅ 03.12 - XAU/USD - LONG ↗️

8/8 = 100% Success Rate

✴️ 04.12 - XAU/USD - LONG ↗️

We have won 44 of our last 48 gold trades.

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WTI (USOIL) 🛢 (spot)
TP triggered ✅ @: 68.63

WTI reached our WTI reached our TP after a sharp decline after the reduction in the elevated risk premium – but also due to US economic data pointing to signs of a cooling US economy.

Today's EIA inventory reports were mixed, with lower inventories for crude oil but an increase for fuels and distillates – possibly pointing to falling demand in the US.

OPEC+ is expected to extend production cuts – but this is already fully priced in, and the extension of OPEC+ production cuts signals that oil demand will remain subdued for longer (more of a headwind than a tailwind over the medium term).

If you are still SHORT - best to close soon / here (✅ 68.25 - 68.45), as we see a rapid price drop that will likely first leads to a temporary/technical rebound.

We now won all our trades from yesterday!
6/6 = 100%
🏆 Success Rate - Congratulations!

⏱️ Update DELAYED by: 15+ (!) minutes! ⚠️⚠️
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———-

🛢📈📉💰

We haven't lost a single oil trade over the past months (November - Today) = 💯% Success Rate

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🔰 FREE VIP SIGNAL 🕯
BUY NOW 🔼 Silver (XAG/USD)🥈
⚠️ Volatile

⏱️ Signal DELAYED by: 7️⃣5️⃣+ (!) minutes! smar
Recommended Entry Range 30.885 - 30.945
(+ spread)

► We closed out both of our previous gold trades at short-term peaks – practically perfect. While we see a solid entry point for gold again here, $7 – $10 below our triggered TP (2641.23), we see a more attractive entry point for silver at under $31/oz. Silver has significantly underperformed gold, as it is also facing headwinds from a weakening (among other things) auto industry and is more affected by both the stronger USD and concerns about lower industrial demand (manufacturing activity in China remains weak, though improving, and in the Eurozone it is disastrous and deteriorating further).

Silver is also currently very cheap compared to gold – the gold-silver ratio has now risen above 85 again.

► We generally see silver in recovery mode and in an upward trend. Silver has more short-term upside potential than gold and we now find a better entry price. Unlike gold, silver will also benefit from the current positive momentum in Asia. However, silver is more volatile.

🗣️ Tip: Multiply your usual lot size by ~ 17.5 - 20 (1,750% - 2,000%) trading Silver (XAG/USD) - if contract size 100.

🗣️ Tip: Multiply your usual lot size by ~ 1.75 - 2 (175% - 200%) trading Silver (XAG/USD) - if contract size 1000.

🗣️ Tip: Multiply your usual lot size by ~ 0.35 - 0.40 (35% - 40%) trading Silver (XAG/USD) - if contract size 5000.

You can see the contract size of your broker when you right click on the asset and click on "specification" (MetaTrader).

position code / 100% transparency - 24120604A

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——-

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⚡️ LIGHTNING-RAPID UPDATE 🕯
Bitcoin
(BTC/USD) 💰
SL 🔑
@: 98737.40
TP ✅
@: 99898.90 (or a bit wider 100478.70)
OR
CLOSE NOW
✅ @: near 99550

Gold
(XAU/USD)🥇
TP ✅
@: 2641.23

Our Bitcoin position is well in profit. We are now moving our SL into profit. You could work with a wider TP, but we can certainly find a better re-entry point since we will probably see resistance at over $100K again. Alternatively, you can close now, as we are already seeing slight technical resistance between 99,500 - 100,000.

In addition, Eli Lilly is almost at our TP – we are maintaining our TP (838.89).

Our gold position is also in good profit – we are raising our TP here a little – as we see a temporary resistance at around $2,640. We can find a better re-entry point.

Congrats! Good timing.

⏱️ Update / Signal is DELAYED ⚠️ by: 7️⃣+ minutes! ⚠️
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⚡️ LIGHTNING-RAPID UPDATE 🕯
EUR/USD
TP ✅
@: 1.05773
OR
CLOSE @: 1.05740 - 1.05810

We found the perfect entry into the EUR/USD.

We set a tight TP here or close. Nearly 50 pips in a few minutes

We don't want to be too LONG in the USD.

⏱️ Update / Signal is DELAYED ⚠️ by: 5️⃣+ minutes! ⚠️
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——

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and get access to all ‼️ (non-delayed) ‼️ signals, markets analysis, insider knowledge, market data and our VIP trading community where you can connect with traders from all around the world 👨‍💻👩‍💻🤝

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We see EXACTLY what we expected. At first glance, the NFP data looks good. Overall, however, the picture is rather mixed.

We see a temporary weakening of the USD. The data is overall good for Wall Street – although the slightly stronger than expected wage growth could be seen as a slight risk to inflation – but we see a mild reaction in the bond market and little change in rate cut expectations (still close to 70%).

We are slightly widening the SL of our CAC position –


CAC 40 (FRA_40) 🇫🇷
SL 🔑
@: 7465.60
TP ✅
@: 7316.60

and ...

⚡️ LIVE TRADING SIGNAL 🕯
SELL NOW 🔽 EUR/USD

Recommended Entry Range 1.06200 - 1.06300

►... sell the EUR/USD advance as the EUR/USD is now trading above 1.06250 – more than a three-week high.

► We see some headwinds for the USD, but they will be rather weak as the overall NFP picture shows a resilient US labor market with no sign of a rapid slowdown.

► The data is definitely not too strong to take the rate cut on December 18 off the table – but it shows no signs of a recession – which Europe has been in (again) for a while - currently still technical recession.

position code / 100% transparency - 24120601A


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——

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Key events in today's economic calendar:
(times in UTC+0)

🔸 🇬🇧 Halifax House Price Index - 07:00 (released: 🟢)
🔸 🇩🇪 Industrial Production - 07:00 (released: 🔴)
🔸 🇫🇷 Balance of Trade - 07:45 (released: 🟢)
🔸 🇮🇹 Retail Sales - 09:00 (released: 🟢)
🔸 🇪🇺 GDP Growth Rate - 10:00 (released: 🟡)
🔸 🇪🇺 Employment Change - 10:00 (released: 🟡)
♦️ 🇺🇸 Nonfarm Payrolls - 13:30 ‼️
🔸 🇺🇸 Unemployment Rate - 13:30
🔸 🇺🇸 Michigan Consumer Sentiment - 15:00

🔸 = Event of medium/high importance
♦️ = Event of very high importance
🔴 = Data worse than analysts' expectations
🟡 = Data in-line with analysts' expectations
🟢 = Data better than analysts' expectations


Key Earnings Reports:
(ordered by market capitalization)

No significant earnings reports today

SmartTrader™ Analyst team & Robert Lindner

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Gold (XAU/USD)🥇
TP triggered ✅ @: 2643.47


⚡️ LIGHTNING-RAPID UPDATE
🕯
GBP/USD
TP ✅
@: 1.27067

Bitcoin (BTC/USD) 💰
TP ✅
@: 99898.90 (or wider)

CAC 40 (FRA_40) 🇫🇷
SL 🔑
@: 7458.70
TP ✅
@: 7316.60


Gold triggered our well-placed TP and resulted in a very nice profit overall – in overnight trading there was another low-volume dip. If you are still in, please work with a tight TP of 2642.50 – 2646.00 (or close soon), as we can find a better re-entry point anyway.

GBP/USD is little changed – USD will be heavily influenced by today's NFP data. NFP data is very difficult to predict as the last publication was also influenced by Hurricane Helene at the end of September and Hurricane Milton, as well as the massive strikes by Boeing workers.

Overall, we expect the NFP data to paint a picture of a robust US economy and not rapidly weakening labor market, which will support the USD in the short and medium term. We will see a volatile USD later today, but the general outlook for the USD remains bullish (vs. EUR, GBP).

Our Bitcoin position is back in profit – we can close near 100K mark with a profit or work with a wider TP. I am tightening the TP here as we are likely to see some profit taking at / before $100K anyway.

Emmanuel Macron was able to calm the market further and will try to rebuild the French government in the midst of political chaos. The CAC was able to recover from the recent very strong losses – not good for our position. We expect little further upside from here for today – but it is best to get out as the CAC may see further dip buying. If you are still in – we limit the losses and work with a narrower TP.

Please excuse me for being a little late today – unfortunately I had some important appointments in Cyprus that took much longer than expected.

⏱️ Update is DELAYED ⚠️ by: 5️⃣+ minutes! ⚠️
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Overview last 30 trading days:

✅ Performance: 28.10 - 28.11 & 29.11 (26 trading days)

115 / 126 = 91.3%
❗️ Success Rate

(October 25 = 4/4 = 100%
🏆 SR dropped out;
November 28 & 29
= 1/2 = 50% SR added)


2.12 - FRA_40 - SHORT ↘️ (TP - 7202.70)
2.12 - USOIL - SHORT ↘️ (TP - 68.06)
✴️ 2.12 - WFC - LONG ↗️ (open - off-profit)
👉 TP ✅ @: 76.47
2.12 - NAS100 - SHORT ↘️ (TP - 21125.60)
2.12 - XAU/USD - LONG ↗️ (TP - 2649.07)
✴️ 2.12 - FRA_40 - SHORT ↘️ (open - off-profit)
👉 TP ✅ @: 7245.60

4/6 - (2 open positions)

3.12 - USOIL - SHORT ↘️ (TP - 68.63)
3.12 - EUR/USD - SHORT ↘️ (SL - 1.05053 | or TP - 1.04716)
✅ 3.12 - COIN - SHORT ↘️ (SL - 309.11)
✅ 3.12 - XAU/USD - LONG ↗️ (SL - 2644.87)
✅ 3.12 - COIN - SHORT ↘️ (clsd 307.91 me| or TP - 307.67)
3.12 - XAU/USD - LONG ↗️ (TP - 2649.79)

6/6 = 100% 🏆 Success Rate



We have included our Thanksgiving trades in our statistics and count them as one trading day – even though the two days together are not really comparable to a full trading day.

Otherwise, there is not much new: Our success rate in our five-week period remains at over (incredible) 91% and our WFC and CAC_40 positions remain open. WFC rose significantly today, as we expected yesterday. The pause in the outperformance of the technology sector led to a rotation back into non-technology. Wells Fargo closed 0.82% higher today (after some profit-taking at the close of the NYSE), but still has plenty of upside.

The CAC is currently pretty impressive because the worst has already been priced in – as is so often the case (buy the rumor, sell the news). However, we remain SHORT as it is likely that we will see slight profit-taking tomorrow (including in Europe).

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🔰 FREE RAPID TRADING SIGNAL 🕯
BUY NOW 🔼 Bitcoin (BTC/USD) 💰
⚠️ HIGH volatility; Increased risk / do not trade large

TP ✅ @: (VIP ONLY)

Recommended Entry Range
97500 - 98100

⏱️
Signal DELAYED by: 3️⃣0️⃣+ (!) minutes! ⚠️⚠️

► We have seen Bitcoin reaching the "historical" mark of $100,000, and apart from that, Bitcoin has also gained an additional 4% from the additional tailwind and attention it has received reaching that milestone. But now we are nevertheless seeing the “typical” price development – namely profit-taking after a new ATH. Bitcoin usually experiences profit-taking even after breaking through a significant level. However, we expect Bitcoin to find buyers rather quickly at the current $98.000 – especially since traders clearly expect BTC to reach new ATHs this year.

► We are now buying a small position here. Bitcoin is now even trading in negative territory – currently at 98100 (- 0.7%). There is no doubt that Bitcoin will quickly crack $100,000 again and will also re-test today's highs. The sentiment around Bitcoin is too positive.

► We see that the overall positive risk sentiment has slightly decreased. We also saw higher yields today, but a weaker USD and the expectation that the Fed will remain supportive (i.e., further rate cuts – next on December 18).

► We go LONG here. Due to Bitcoin's current volatility, we do not trade Bitcoin "too large".

🗣️ Tip: You can multiply your trade size by ~ 0.2 - 0.3 (20% - 30%) trading Bitcoin (BTC/USD) - 2/3 trade size.

⏱️ Signal DELAYED by: 3️⃣0️⃣+ (!) minutes! ⚠️⚠️


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🔰 VIP UPDATE / SIGNAL 🔰
STAY LONG / BUY NOW🔼 Gold (XAU/USD)🥇
TP ✅ @: (VIP ONLY)

Recommended Entry Range 2621.50 - 2624.50

⏱️ Signal DELAYED by: 7️⃣5️⃣+ (!) minutes! ⚠️⚠️

Gold slipped a little today as US Treasury yields extended their gains. The number of unemployed people in the US rose moderately last week, indicating that the labor market continues to cool slowly – which keeps expectations of an interest rate cut alive – rather positive for gold – however, we see a slow easing of a previously already very tight labor market.

► The focus will be on NFP data, which plays the most important role here, and we see the market in a state of stagnation today – similar to gold, which was in a slightly bullish momentum but continues to meet resistance at over $2,650 and buying interest at below $2635 - $2640.

► We are now improving our entry and setting the TP near our entry price (our starting position).

► Gold was also a little less in focus as Bitcoin reached the $100,000 mark for the first time. We are now seeing some typical slight profit-taking after a new high.

► Gold remains attractive on all time frames. Gold made a weekly high yesterday and we expect gold to rise again by the weekend. We expect gold to find significant support in the $2620 - $2625 range.

🗣️ Tip: Multiply your usual trade size by ~ 0.40 - 0.50 (40% - 50%) when trading gold (XAU/USD) - Please always be careful trading gold and limit losses to a max of 2-4% of your account balance per trade.

position code / 100% transparency - 24120404B

⏱️ Signal DELAYED by: 7️⃣5️⃣+ (!) minutes! ⚠️⚠️


——-

Great Entry 2️⃣6️⃣2️⃣4️⃣

Please make sure that you receive ALL signals and updates WITHOUT DELAY

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🔰 NYSE OPENING UPDATE 🕯

🔰 FREE VIP SIGNAL 🕯
SELL DURING NYSE OPENING 🔽 Nasdaq (NAS100/US100) 🇺🇸
TP ✅ @: (VIP ONLY)

⏱️ Signal DELAYED by: 3️⃣5️⃣+ (!) minutes! ⚠️⚠️

Recommended Entry Range 21515 - 21540 (ATH)

We expected it yesterday and are seeing the movements today. The rally, which went very far, is taking a breather today and will probably see some slight profit-taking (due to short-term overbought conditions ahead of tomorrow's NFP data). The unemployment claims rose a little more than expected and once again paint the picture of a slightly easing labor market – actually very good – as Fed-friendly. The US economy remains in very good shape – or as Powell calls it: in "remarkably good shape”.



🔹 Eli Lilly (+0.2%) will open slightly higher after yesterday's strong performance (which we took advantage of), but it ended with some profit-taking at the close of trading on the NYSE. We are now setting a not-too-far TP - ✅ @: 838.89. Morgan Stanley remains optimistic about Eli Lilly and reaffirms LLY as “overweight”.

🔹 Wells Fargo (+0.5%) is trading higher, benefiting from a pause in the rotation into tech – we expected this yesterday. We expect further gains as the strong gains in tech will (partly) spill over into other segments – such as financials.


► We continue to see the Nasdaq 100 near all-time highs (above 21510). While we see (yet) another flat/slightly positive open for Big Tech, some profit taking is likely. We can find a good entry around the NYSE open and want to take advantage of slight profit taking. Wall Street will remain in good shape, but good data, more business-friendly reforms under Trump and a (still) supportive Fed are priced in. Wall Street also posted gains simply because investors wanted to take advantage of the ongoing short-term year-end rally (which, in my opinion, may even go a little further).

► We find a good entry near/at ATH and aim for a profit of about 100 points. We also see that many of the prominent large tech stocks are trading at or near ATH, which limits further gains. We see a slightly negative performance of mid-cap stocks in the Nasdaq 100.

► We see the more risk-sensitive Russell 2000 trading slightly lower in premarket at -0.25%.

► We will see some slight profit taking – but the overall sentiment remains very positive (which can also be seen from the fact that BTC has (finally) broken through the 100K mark. We see slightly higher yields, which means some headwind for growth stocks. We see a weaker USD – but from here it has limited short-term downside potential and will rather limit losses.

🗣️ Tip: Multiply your usual trade size by ~ 4 - 5 (400% - 500%) when trading the Nasdaq (NAS100)

⏱️ Signal DELAYED by: 3️⃣5️⃣+ (!) minutes! ⚠️⚠️
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———

🔤🔤🔤🔤🔤🔤
2️⃣1️⃣5️⃣2️⃣5️⃣📉

What a GREAT entry

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[TRIAL] 🇬🇧 SmartTrader™ - Fundamental Trading Signals; Consistently Profitable & 100% Transparent

Key events in today's economic calendar:
(times in UTC+0)

🔸 🇦🇺 Balance of Trade - 00:30 (released: 🟢)
🔸 🇩🇪 Factory Orders MoM - 07:00 (released: 🟢)
🔸 🇫🇷 Industrial Production - 07:45 (released: 🔴)
🔸 🇪🇸 Industrial Production - 08:00 (released: 🟢)
🔸 🇪🇺 HCOB Construction PMI - 08:30 (released: 🔴)
🔸 🇫🇷 HCOB Construction PMI - 08:30 (released: 🟢)
🔸 🇩🇪 HCOB Construction PMI - 08:30 (released: 🔴)
🔸 🇮🇹 HCOB Construction PMI - 08:30 (released: 🟡)
🔸 🇬🇧 S&P Global Construction PMI - 09:30 (released: 🔴)
🔸 🇪🇺 Retail Sales - 10:00
🔸 🇨🇦 Balance of Trade - 13:30
🔸 🇺🇸 Balance of Trade - 13:30
🔸 🇺🇸 Initial Jobless Claims - 13:30

🔸 = Event of medium/high importance
♦️ = Event of very high importance
🔴 = Data worse than analysts' expectations
🟡 = Data in-line with analysts' expectations
🟢 = Data better than analysts' expectations


Key Earnings Reports:
(ordered by market capitalization)

☀️ Toronto Dominion Bank (TD) 🇨🇦
☀️ Bank of Montreal (BMO) 🇨🇦
☀️ Canadian Imperial Bank (CM) 🇨🇦
☀️ Kroger (KR) 🇺🇸
🌙 Lululemon Athletica (LULU) 🇺🇸
🌙 Veeva Systems (VEEV) 🇺🇸
🌙 Samsara (IOT) 🇺🇸
🌙 Hewlett Packard (HPE) 🇺🇸
🌙 Cooper (COO) 🇺🇸
☀️ Brown Forman (BFb) 🇺🇸
🌙 Ulta Beauty (ULTA) 🇺🇸
🌙 DocuSign (DOCU) 🇺🇸
🌙 Gitlab (GTLB) 🇺🇸
...

SmartTrader™ Analyst team & Robert Lindner

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3.12 - USOIL - SHORT ↘️ (TP - 68.63) 🔄📸
3.12 - EUR/USD - SHORT ↘️ (SL - 1.05053 | TP - 1.04716) 🔄📸
✅ 3.12 - COIN - SHORT ↘️ (SL - 309.11)
✅ 3.12 - XAU/USD - LONG ↗️ (SL - 2644.87)
✅ 3.12 - COIN - SHORT ↘️ (clsd 307.91 me| or TP - 307.67)
3.12 - XAU/USD - LONG ↗️ (TP - 2649.79) 🔄📸

6/6 = 100% 🏆 Success Rate


TODAY :

4.12 - LLY - LONG ↗️ (TP - 838.9) 📸
✴️ 4.12 - GBP/USD - SHORT ↘️ (open - in-profit)
👉 TP ✅ @: 1.26723 🔄
✴️ 4.12 - LLY - LONG ↗️ (open - slightly-off-profit)
👉 TP ✅ @: 848.85
✴️ 4.12 - XAU/USD - LONG ↗️ (open - slightly-in-profit / or open pending order)
👉 TP ✅ @: 2659.43 (optional) 🔄

1/4 - (1 open position)


Congratulations on another great day 🎆

We didn't trade that much, but still made good profits overall and managed our positions very well (including very good positioning yesterday) – our Eli Lilly 📸 trade (we remain LONG) was outstanding – including our perfect entry price.

We started the day with a perfect Gold 📸 close (TP).

We are also happy to report that yesterday's WTI position 📸 closed in profit (good). We were a bit too greedy with our EUR/USD 📸, which was less than a pip (!) away from our TP (or maybe hit your TP). We closed all our positions from yesterday in profit today, which led to another 100% 🏆 day (yesterday) – congratulations again!
👏


You can set a TP for our new gold position (optional) / pending order and a not too wide TP for our GBP/USD.

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[TRIAL] 🇬🇧 SmartTrader™ - Fundamental Trading Signals; Consistently Profitable & 100% Transparent

⚡️ RAPID TRADING SIGNAL 🕯
BUY NOW 🔼 (VIP ONLY) 🇺🇸
TP ✅ @: (VIP ONLY)

Recommended Entry Range (VIP ONLY)

⏱️ Signal DELAYED by: 120+ (!) minutes! ⚠️⚠️

► Eli Lilly met with resistance in the (VIP ONLY) range, (VIP ONLY). We can now find an entry at (VIP ONLY)...

► We can and want to (VIP ONLY) and expect (VIP ONLY) to remain in the current very bullish momentum.

(VIP ONLY) upside potential, especially with (VIP ONLY) can get more market share of (VIP ONLY) ...

► According to data(VIP ONLY) one more reason (VIP ONLY) ...

🗣️ Tip: (VIP ONLY)

⏱️ Signal DELAYED by: 120+ (!) minutes! ⚠️⚠️
⚡️ Receive non-delayed signals in the VIP Channel


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🔰 VIP SIGNAL 🕯
SELL NOW 🔽 (VIP ONLY)/USD

Recommended Entry Range (VIP ONLY)

⏱️ Signal DELAYED by: 75+ (!) minutes! ⚠️⚠️

► We saw a temporary weakness in the USD after a much weaker than expected ISM Services PMI report, which came in at 52.1, compared to 56 in October and well below the 55.5 expected by analysts. The overall effect was somewhat limited as S&P's PMI data (15 minutes before the ISM data) showed a much slower deterioration in business activity.

► However, the US economy remains robust and economic data are also well ahead of those in Europe (and the UK).

(VIP ONLY) signaled today that the (VIP ONLY) could be on track for (VIP ONLY) rate cuts next year if inflation continues to fall – this is more dovish than market expectations, but in my opinion realistic given the (VIP ONLY) decline in consumer spending. Inflation will l(VIP ONLY) the need to support the economy and ease the pressure on (VIP ONLY) ...

► It has also just been announced that Peter Navarro will serve in his next term in the White House as “Senior Counselor for Trade and Manufacturing”. I see Navarro as a hardliner on China. In his 2011 book “Death by China”, for example, he wrote that the rise of China must be stopped at all costs; he blames China for the “decline” of America. He is an advocate of isolationist (economic) policies and protectionism and considers the US trade deficit of several hundred billion US dollars to be harmful to the US economy. Navarro has said that in the future “no more US interests should be sacrificed on the altar of world trade”. Navarro definitely has extreme views on US-China trade relations. More protectionism in the US is “good” for the USD.

position code / 100% transparency - 24120402A

⏱️ Signal DELAYED by: 75+ (!) minutes! ⚠️⚠️
⚡️ Receive non-delayed signals in the VIP Channel


——

We won 35 from our last 37 Forex Trades ...🕯💵

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