Why Two Brokers Can Show Different Forex Highs and Lows
Why do two forex brokers show different highs and lows? Learn how liquidity providers, bid-ask spreads, price feeds, server time, market data…
How Liquidity Providers Affect Forex Prices
Learn how forex liquidity providers affect bid-ask spreads, market depth, execution, slippage and short-term price movements.
Why Forex Price Gaps Are More Common Around Market Reopening
Why are forex price gaps more common around market reopening? Learn how weekend news, liquidity, repositioning and price discovery can create…
Why Forex Prices Can Jump Between Two Consecutive Quotes
Why can forex prices jump between two consecutive quotes? Learn how liquidity, volatility, bid-ask pricing, news and execution conditions can…
Why Does Watching Every Tick Make Short-Term Trading More Difficult?
Learn why watching every tick can make short-term trading harder by increasing market noise, overtrading, FOMO, premature exits and emotional…
How Does Decision Fatigue Affect Trading Performance?
Learn how decision fatigue can affect trading performance through overtrading, impulsive entries, rule-breaking, position sizing and…
Why Does Forex Price Consolidation Often Happen Before a Major Breakout?
Why does forex price consolidation happen before breakouts? Learn how volatility compression, support and resistance, liquidity, order flow,…
Why Can a Currency Pair Break Support and Immediately Reverse?
Why can a currency pair break support and immediately reverse? Learn how false breakdowns, liquidity, order flow, news, spreads and…
Why Does a Trendline Break Not Always Mean a Trend Reversal?
Why does a trendline break not always mean a trend reversal? Learn how false breaks, retests, liquidity, market structure, news and…
Why Does Gold Sometimes Ignore a Strong US Dollar?
Gold and the US dollar often move inversely, but the relationship is not absolute. Learn why real yields, safe-haven demand, central-bank…











