I've just come across the FXStreet.com Weekly Strategy Briefing, which currently advises selling the euro/dollar. Has anybody here followed their advice in the past? Are they usually correct? Also would I be correct in presuming that even when the advice is correct, considerable drawdowns may occur before the hoped-for movement actually happens, and that these moves may not happen quickly?
Any info would be appreciated,
I.M.
Any info would be appreciated,
I.M.