The criteria to enter the trade when I did was based on the strong uptrend indicated by the long candle stick bar (indicated below). [ATTACH]...
2016-10-10 Summary Daily P&L: +0.25 (1 trades, 1 break-even) Trade Summary Trade 1: Entered long on the pullback and thought the market would...
Thanks for the reply! Going forward I will be posting the charts with my entries and exits as I do see the value as you mentioned. The reason why...
2016-10-07 Summary Daily P&L: -3.25 (2 trades, 1 loser, 1 winner) Trade Summary Trade 1: Right call.. bad execution! A familiar story with me.....
Exit 4857.50 [2:08PM] P&L:+2.50
Trade 2: Short 4860.00, Stop 4864.00, Profit-Take 4855.75 [1:53PM]
Lol of course my stop-loss gets triggered before it spikes up... FML
Exit 4837.00 [12:43PM] P&L:-5.75
Stop-Loss moved to 4837.00 (support developing around 4839.00)
Profit-Take moved to 4849.00 (top of the range)
Trade 1: Long 4842.75, Stop 4834.75, Profit-Take 4853.00 [12:02PM]
2016-10-06 Summary Daily P&L: -8.50 (2 trades, 2 losers) Trade Summary Trade 1: Market was shifting down after a large rally upwards. [-3.25]...
Always getting pump faked by these fake break outs!! :mad::mad:
No.. will play it depending on what comes in. If it's a strong deviation from the consensus it provides a good direction of where it will head...
Exit 4869.75 [2:46PM] P&L:-5.25
Trade 2: Long 4875.00, Stop 4869.75, Profit-Take 4885.25 [2:27PM] Flip Long
Exit 4875.00 [2:27PM] P&L:-3.25
Stop-Loss moved to 4876.75
Trade 1: Short 4871.75, Stop 4879.75, Profit-Take 4861.50 [1:06PM]
2016-10-05 Summary No trades today. Decided to stay long only today due to the strength in the market and new highs being hit, however I kept...
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