Corn vs US Dollar
Long

CORN Setup: Is This The Bullish Breakout We've Been Waiting For?

33
🌽 CORN CFD | Money Heist Plan 🎭 (Swing / Day Trade)
🔑 Trading Plan (Thief Style Strategy)
Entry (Breakout Trigger): 📈 406.00 — when candle breaks ATR resistance, bullish plan activates.

Layering Entries (Thief Method):
Buy Limit Layers: 400.0 | 402.0 | 405.0 | 407.0 | 410.0 (flexible — adjust/add more based on breakout confirmation).
Layering helps manage entries & average position smartly.

Stop Loss (Thief’s Safety Lock): @ 395.00 🛑 after breakout trigger.
⚠️ Adjust SL based on your own risk tolerance.

Target (Escape Point): 🎯 421.00
Resistance zone + overbought condition = “police barricade” (take profits before getting trapped).

🌍 Why This Plan? | Thief Technical + Macro/Fundamental Mix
📊 Technical Edge
ATR breakout level at 406.00 ⚡
Momentum build-up near resistance, potential squeeze if volume spikes.
Layered entries provide risk-managed exposure.

🌽 CORN Market Data (10 Sep 2025)
Daily Change: -1.05% 🔴
Monthly Performance: +3.13% 🟢
Yearly Performance: -1.90% 🔴

👥 Investor Sentiment
Retail: 45% Long 😊 | 55% Short 😟 (slightly bearish bias).
Institutions: Net short 91,487 contracts 🏦 (hedging against oversupply).

😨 Fear & Greed Index
Score: 51/100 (Neutral 😐)
Balance between fear (supply risks) vs greed (demand resilience).

📉 Fundamentals & Macro Score
Supply Side
Record US production: 16.7B bushels 🟢
Brazil’s harvest adds oversupply pressure 🔴
Crop diseases (Tar Spot & Southern Rust) hurting yields 🔴

Demand Side
Exports YTD: +46.8% 🌍
Ethanol production: 1.105M barrels/day ⛽ (+30k WoW) 🟢
Tariff risks (China/Mexico) could slow trade 🔴
Macro Score: 6/10 → Moderately Bullish

🎯 Market Outlook Summary
Bull Case (Long) ✅
Strong exports (+28.6% YTD)
Biofuel/ethanol demand supporting floor
Technical rebound chances

Bear Case (Short) ❌
Record harvests (US/Brazil/Ukraine) = oversupply
Institutions scaling up shorts
Global glut risks

📌 Outlook Bias: Bearish-to-Neutral 🐻⚖️
Short-term pressure from supply glut, but demand stabilizes downside.

📌 Key Takeaways for Traders
Breakout Watch: 406.00 🚨
Layered Entry: Manage risk via staggered buys.
Target Zone: 421.00 (book profits before trap).
Macro Mix: Demand solid but supply risks dominate.
Watch List: CORN, ZS1! (Soybeans), ZW1! (Wheat), ZC1! (Corn Futures)

🔗 Pairs to Watch (in USD)
SOYB (Soybeans CFD): Moves in lockstep with CORN due to shared ag trends.
WEAT (Wheat CFD): Grains often trend together—keep an eye out!
USOIL: Influences ethanol demand, impacting CORN indirectly.
DXY (US Dollar Index): A rising USD could pressure commodity prices.

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#CORN #Commodities #SwingTrade #DayTrade #ThiefStrategy #MoneyHeistPlan #Futures #LayeringStrategy #BreakoutTrading #Agriculture #Ethanol #TradingCommunity

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