Plan A : continue to rise
because there is an accumulation
of strong support composed of (1.618 fib and
a 2.618 fib) and economy is strong
with technological value
-> 70% probability because the trend is up
Plan B : things can go really bad,
it breaks the strong support and begin to fall
sharply (beginning of a recession)
-30% probability because it's hard to say if there
is a top here
because there is an accumulation
of strong support composed of (1.618 fib and
a 2.618 fib) and economy is strong
with technological value
-> 70% probability because the trend is up
Plan B : things can go really bad,
it breaks the strong support and begin to fall
sharply (beginning of a recession)
-30% probability because it's hard to say if there
is a top here
Nota
wait for the gap to be filled or a pullback to structurelook at attentivly the price before entering
Nota
Account passed from 4344 to 4945$ in one night and there is a lot of winning trade holdingNota
short goldNota
Sl hit on EURUSD and take half on second spx trade : -86 , + 150AB : 4945 + 64 = 5009$
Nota
take the rest of the first trade on SPX : +172$AB : 5009 + 172 = 5181$
Nota
take half of the resting profit on USDJPY : +43AB : 5181 + 43 = 5224$
Nota
take half of half on spx (reached 1:4) : +86AB : 5261 + 86= 5347$
Nota
Take the rest of profit on usdjpy beause it's near a strong support: +52AB : 5347 + 52 = 5399$
Nota
take half of the resting profit on SPXAB : 5399 + 129 = 5528$
Nota
take half of USOILAB : 5528 + 64 = 5592$
Nota
take the rest of profit on USOIL and SPX : + 108AB : 5592 + 108 = 5700$
Nota
I feel my emotions taking control over my trading , and we already won a lot of money todaygot to stay back and calm down
Nota
Sorry reduce the sl to 14 pointswas a mistake to put so much SL
Nota
HIT SL on spx, compensate by taking the rest of first GBPUSD trade: -86 , +46AB : 5700 - 40 = 5660$
Nota
Take half on gold to compensate oil lossAB still the same
Nota
now we have the reduce the risk per trade to 1% instead of 2% for the next days. because we made a monstruous performanceand tonight/tomorrow we will also readjust it comparing to the new account balance
so for now risk per trade is 43$ , tomorrow we stay with 1% but with the new readjusted risk : 57$
Nota
short usdjpy too because of correlationNota
hit break even on last spx trade, take the rest of the first tradeAB : 5746 + 43 = 5789$
Nota
manually closed USDJPY and USOIL last trade: -43Ab : 5789 -43 = 5746$
Nota
take all the profit on AUDUSD and EURUSD to compensate the loss on GBPUSD : +224, -86AB : 5746 + 138= 5884$
Penafian
Maklumat dan penerbitan adalah tidak dimaksudkan untuk menjadi, dan tidak membentuk, nasihat untuk kewangan, pelaburan, perdagangan dan jenis-jenis lain atau cadangan yang dibekalkan atau disahkan oleh TradingView. Baca dengan lebih lanjut di Terma Penggunaan.
Penafian
Maklumat dan penerbitan adalah tidak dimaksudkan untuk menjadi, dan tidak membentuk, nasihat untuk kewangan, pelaburan, perdagangan dan jenis-jenis lain atau cadangan yang dibekalkan atau disahkan oleh TradingView. Baca dengan lebih lanjut di Terma Penggunaan.