EURUSD & US30 Trade Recaps 18.07.25

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A long position taken on EURUSD for a breakeven, slightly higher in risk due to the reasons explained in the breakdown. Followed by a long on US30USD that resulted in a loss due to the volatility spike that came in from Trump.

Full explanation as to why I executed on these positions and the management plan with both.

Any questions you have just drop them below 👇

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