Thanks for the post.
If MM have plan to add more and more short in KC just one reason : they hope big production from Brazi. But Real seems adjust to 4 -> 4.5 in some next months => they may meet many risk if push KC down lower and lower. Commercial, roaters may the people to be get benefit ?!!!.
In RC, no any reason for MM put more short, they need to cover short by slowly and slowly.
and they have no reason to go long RC. ?!!!.
If have any big down in KC for next 4 days, that is opportunities for anyone go long.!!!
Personal ideas just for ref, not for trading😏
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