I indicated buying pressure in the chart in red. For that reason I am going to be very conservative in the trade. Minimum risk on feature is 1%. I am risking .3% on the trade instead.
Dagangan aktif:
Short filled @ 48.90
Dagangan ditutup: sasaran tercapai:
Position size per $100,000 of capital: ~$25,000 (mini contract QM)
Profit on position: 3.98%
Profit on total managed capital: +$995
Holding period: 17 hours
Total capital on account (6/2/17): $100,995
Profit on position: 3.98%
Profit on total managed capital: +$995
Holding period: 17 hours
Total capital on account (6/2/17): $100,995