AUDUSD — Timeframe Daily refine

Wait 5 sec.

AUDUSD — Timeframe Daily refineAustralian vs US DollarBLACKBULL:AUDUSDTitikSonaAUDUSD — H4 Timeframe Titik Sona Community — 30 Sep 2025 Summary: There are 3 setups on AUDUSD H4: 1 BUY in the demand area, and 2 SELL in different supply areas. Risk management is a maximum of 1–2% of capital per position. Reference chart: view charts on TradingView Setup 1 — Buy Entry 0.65161 Stop Loss 0.64961 Take Profit 0.66989 Estimated R/R ~1 : 8.7 Technical Reasons Buy in the demand area of H4 which was previously valid as a strong support. The price structure shows a potential retrace to rise before the supply is above. RRR is attractive with limited risk (20 pips) compared to the potential reward. Setup 2 — Sell (Entry 1) Entry 0.66991 Stop Loss 0.67291 Take Profit 0.65255 Estimated R/R ~1 : 6.1 Technical Reasons The supply reaction is minor around 0.67000. The confirmation of the bearish rejection H4/M30 strengthens the selling potential. The TP target in the next demand is according to the support structure. Setup 3 — Sell (Entry 2) Entry 0.66896 Stop Loss 0.67096 Take Profit 0.60227 Estimated R/R ~1 : 9.3 Technical Reasons Sell in large supply (upper zone) which is a key area of AUDUSD. The potential for a long decline according to the main trend is bearish. The target is far below (around 0.60200) as per the weekly demand structure. Pre-Entry Checklist Wait for the confirmation of the rejection candle in the supply/demand area before execution. Check the momentum indicator (RSI, Stochastic) so that it does not contradict. Risk management: maximum 1–2% capital per setup.