We caught buy-sell opportunities in our chart, where buyer and seller areas are marked with red areas in the 4S time frame. We made good profits. Our chart, which appears to have dropped sharply with the release of the US Nonfarm Payrolls data, seems to be using the news to clear liquidity. With the sharp movements of the price, the liquidated amount information from the stock exchanges increased significantly. The platform, where trading is already risky, now seems to have doubled or tripled that risk. Bull or bear, which will win? What's your side?