strong bullish signals on a strong support
this rise can be a pull back before falling down or continue to go up
after falling sharply , I think price need to change the trend momentarily
this rise can be a pull back before falling down or continue to go up
after falling sharply , I think price need to change the trend momentarily
コメント:
I'm going long now (only 6min before that 1h candle close)
コメント:
break even hit
コメント:
shorted from here, it's breaking the support
コメント:
retry with 2% this time
コメント:
and let it run don't take half at 1:2 but at 1:3 this time
don't hesitate to put SL when 1:1.5
don't hesitate to put SL when 1:1.5
コメント:
take half, and it compensate the last loss : +171, -57
AB : 5884 + 114 = 5998$
AB : 5884 + 114 = 5998$
コメント:
Took half of half on gold because price is stagnating and spx is dropping (1:1.8) : +39
AB : 5998 + 39 = 6037$
AB : 5998 + 39 = 6037$
コメント:
buy the EURUSD
コメント:
コメント:
Take half of half on SPX (1:7) : +200
AB : 6037 + 200 = 6237$
AB : 6037 + 200 = 6237$
コメント:
ADD to short inside bar break down on 30m time frame , risk only 1% this time, we protect the capital
コメント:
Short oil because it broke the support and pullback to it
コメント:
take half of EURUSD , it reached 1:1.7, almost 1:2 : + 49
AB : 6237 + 49 = 6286$
AB : 6237 + 49 = 6286$
コメント:
short gold
コメント:
take half on second SPX trade (1:2 reached) : +57
AB 6286 + 57 = 6343$
AB 6286 + 57 = 6343$
コメント:
take half of the resting profit on the SPX first trade (reached 1:12 !!!!) : +171
AB : 6343 + 171 = 6514$
AB : 6343 + 171 = 6514$
コメント:
Take half of usoil trade (1:1.5 reached) : +43
AB : 6514 + 43 = 6556$
AB : 6514 + 43 = 6556$
コメント:
Take the rest of first spx trade because price is on strong support and seems to hold
AB : 6556 + 140 = 6695$
AB : 6556 + 140 = 6695$
コメント:
RESHORT (bearish pinbar)
コメント:
short usdjpy
コメント:
short usdcad
コメント:
That's all for today, now we gonna take some profit at 1:2 or more for the holding trade but no more trade will be active today
コメント:
took half at 1:1.5 on last spx trade, don't have the time to took it at 1:2 because wasn't looking price : +43
AB : 6995 + 43 = 7038$
AB : 6995 + 43 = 7038$
コメント:
sorry it's 6878$, made a mistake
too much trading for me today
too much trading for me today
コメント:
Take the rest of profit of first gold trade and take half of the second : +110
AB : 6878 + 110 = 6988$
AB : 6878 + 110 = 6988$
コメント:
RESHORT SPX
コメント:
compensate the loss by taking all the profit on EURUSD, USOIL, and gold : + 78
loss on USDJPY and SPX: - 114
AB : 6988 - 36 = 6952$
loss on USDJPY and SPX: - 114
AB : 6988 - 36 = 6952$
コメント:
short GBP, short SPX
コメント:
EURUSD shorted
コメント:
Take the restof the first spx trade to compensate the loss on second SPX: + 43, -57
AB : 6952 - 14 = 6938$
AB : 6952 - 14 = 6938$
コメント:
Short spx (inside bar about to breakdown) and indecision doji leading to a possible bearish trend continuation
コメント:
コメント:
short spx
コメント:
loss on USDCAD and EURUSD compensated by taking half on first spx trade and GBPUSD trade
no take half of the second spx trade (1:2.5)
AB : 6938 + 57 = 6995$
no take half of the second spx trade (1:2.5)
AB : 6938 + 57 = 6995$
コメント:
spx take half resting of first spx trade + hit retrail stop on second spx trade : + 128
AB: 7009 + 128 = 7137$
AB: 7009 + 128 = 7137$
コメント:
RESHORT (inside bar)
コメント:
short eurusd
コメント:
Took 1:2 on SPX : +57
AB : 7137 + 57 = 7194$
AB : 7137 + 57 = 7194$
コメント:
take half on first trade resting profit and take half second resting profit : +107
AB : 7194 + 107 = 7301$
AB : 7194 + 107 = 7301$
コメント:
in theory we could end the day here because we already made 5%
will think about it
will think about it
コメント:
Hit retrail stop for first and break even for second
AB : 7301 + 40 = 7341$
AB : 7301 + 40 = 7341$
コメント:
short AUDUSD (structure pullback)
コメント:
Short spx (pullback to inside bar)
コメント:
long usdcad (pullback to support)
コメント:
short gold (stayed below resistance)
コメント:
short spx (inside bar)
コメント:
2 spx losses , I stop trading
コメント:
if everything goes good (we don't lose capital) , we reached the goal of taking out 2000$ of the market at this end of month !
4 months winning now !
4 months winning now !
コメント:
Shorted (bearish engulfing)
コメント:
short gbpusd
コメント:
Hold it till 1:3 or 1:4 to compensate the loss of the morning
コメント:
long usdjpy, that's all for today
コメント:
1:4 but keep holding
コメント:
take half and compensate the losses of the morning
コメント:
reshort audusd it hit break even
コメント:
took half on usdcad to compensate the loss on USDJPY
account still the same
account still the same
コメント:
take half on AUDUSD
AB : 7341 + 57 = 7398$
AB : 7341 + 57 = 7398$
コメント:
took the rest of profit on SPX
AB : 7398 + 120 = 7518$
AB : 7398 + 120 = 7518$
コメント:
Short SPX (inside bar)
コメント:
コメント:
take half on resting profit on AUDUSD (1:4 reached)
AB : 7575 + 57 = 7632$
AB : 7575 + 57 = 7632$
コメント:
Took half on spx trade (1:4 reached)
AB : 7632 + 114 = 7746$
AB : 7632 + 114 = 7746$
コメント:
take half of resting profit on USDCAD (1:3 reached) : +43
AB : 7746 + 43 = 7789$
AB : 7746 + 43 = 7789$
コメント:
added to short on SPX (inside bar)
コメント:
Took half on gbpusd and gold. took half of half on USDJPY, took half of resting profit on AUDUSD : +57, +57 , +140, +78
1 loss on EURUSD : - 57
AB : 7789 + 275 = 8064$
1 loss on EURUSD : - 57
AB : 7789 + 275 = 8064$
コメント:
reshort spx
コメント:
reshort audusd
コメント:
short gbpusd (inside bar)
コメント:
Take the rest of profit on USDJPY and compensate the SPX loss: +94 , -57
AB : 8064 + 37 = 8101$
AB : 8064 + 37 = 8101$
コメント:
Take the rest of profit on SPX (1:5 reached): +118
AB : 8101 + 118 = 8219$
AB : 8101 + 118 = 8219$
コメント:
loss on AUDUSD , compensate by taking rest of the profit of the first trade (1:5.5) : +39
and take half of half on gold (1:6) : +143
AB : 8219 + 125 = 8344$
and take half of half on gold (1:6) : +143
AB : 8219 + 125 = 8344$
コメント:
awesome performance for this month, even with the drawdown of 10 days.
learnt a lot of things and I'm really happy to say you that we overperformed. we got more than expected
learnt a lot of things and I'm really happy to say you that we overperformed. we got more than expected
コメント:
theorical paycheck tonight !!
more or less 2700$ !
more or less 2700$ !
コメント:
take the rest of USDCAD
AB : 8344 + 24 = 8368$
AB : 8344 + 24 = 8368$
コメント:
Let's take the theorical paycheck now. a little recap before:
First month we took out : 450$ ( from 1000 to 1900$)
the second month we took out : 1382$ (from 1450 to 4215)
and now the first month. we begun with 2800$ and actually have 8368$. An other 200% performance.
let's calculate now : 8368 - 2800 = 5568$ now we divide this results by 2 to get the pay check : 5568 / 2 = 2784$
we won enough money to live really comfortably, that's awesome. and the most beautiful about that is we can even save money from that paycheck after paying all the necessity to live (rent of department, food, internet, etc) and after paying some pleasure ( a beer in a bar, a fast food/restaurant, clothes).
that's impressive. I don't even think we will get to that this month but we did it :)
Now we will planned for the next months:
we stay with 25% average goal weekly performance. we still readjust the risk per trade every week and we still can take out half of profit at the end of the months
Will just make a small modification on risk per trade to have more realistic gains, less drawdown/stress. Instead of risking 2% we will risk 1% per trade
MONTHLY GOAL PERFORMANCE FOR MARCH -> we want to be able to take out of the market at least 3000$ !
have a nice week end ! see you later
First month we took out : 450$ ( from 1000 to 1900$)
the second month we took out : 1382$ (from 1450 to 4215)
and now the first month. we begun with 2800$ and actually have 8368$. An other 200% performance.
let's calculate now : 8368 - 2800 = 5568$ now we divide this results by 2 to get the pay check : 5568 / 2 = 2784$
we won enough money to live really comfortably, that's awesome. and the most beautiful about that is we can even save money from that paycheck after paying all the necessity to live (rent of department, food, internet, etc) and after paying some pleasure ( a beer in a bar, a fast food/restaurant, clothes).
that's impressive. I don't even think we will get to that this month but we did it :)
Now we will planned for the next months:
we stay with 25% average goal weekly performance. we still readjust the risk per trade every week and we still can take out half of profit at the end of the months
Will just make a small modification on risk per trade to have more realistic gains, less drawdown/stress. Instead of risking 2% we will risk 1% per trade
MONTHLY GOAL PERFORMANCE FOR MARCH -> we want to be able to take out of the market at least 3000$ !
have a nice week end ! see you later
i'll wait for this 1h to close before thinking to enter