This diary is about
***Analyzing interbank traders' ways of offsetting-balancing risks prior to and following high impact (particularly sudden) event***.
High impact (especially sudden) event is when they're most vulnerable. By assessing price patterns before and after those events, I hope to understand the way they manage risks and follow the flow.
Here a easy tool I created:
I consider sharing the tool but I am still thinking.
I am still battle with AUD, CAD and Gold.
From 10K to ~17K, back to ~4K with Gold and AUD trades, amazing rush to 100K, dropped to ~7K with CAD and Gold trades, reunite to ~35k then bust with Gold trades.