NexusFi: Find Your Edge


Home Menu

 





Starting Fresh


Discussion in Trading Journals

Updated
    1. trending_up 13,854 views
    2. thumb_up 40 thanks given
    3. group 1 followers
    1. forum 155 posts
    2. attach_file 219 attachments




 
Search this Thread
  #131 (permalink)
VillainAntagonist
Bydgoszcz, Poland
 
Posts: 160 since Jul 2025
Thanks Given: 6
Thanks Received: 41

Don't trade today, because I'm not trading on FOMC days.


Reply With Quote
  #132 (permalink)
VillainAntagonist
Bydgoszcz, Poland
 
Posts: 160 since Jul 2025
Thanks Given: 6
Thanks Received: 41

Couldn't connect to Rithmic via Motivewave, I don't know if it's Rithmic API or Motivewave problem, but I couldn't connect to rTrader. Another day without trading due to Motivewave, support there not helpful.


Reply With Quote
  #133 (permalink)
VillainAntagonist
Bydgoszcz, Poland
 
Posts: 160 since Jul 2025
Thanks Given: 6
Thanks Received: 41

# 18.09.2025 - MGC

## 📊 Context

- **Opening Type**: Open Drive
- **Opening Location**: Below VAL
- **Day Type (Projection)**: Trend
- **Shape Type (TPO)**: Trend
- **Overnight Range**: Wide
- **Bias**: 🔴 Bearish
- **Narrative**: Form a pullback and after go more down.

@MGC - Context - Sep-18 0908 AM (Tick(1.2K))


# 18.09.2025 - MES

## 📊 Context

- **Opening Type**: Open Drive
- **Opening Location**: Outside Value
- **Day Type (Projection)**: Trend
- **Shape Type (TPO)**: Trend
- **Overnight Range**: Wide
- **Bias**: 🟢 Bullish
- **Narrative**: Trend continuation
@MES - Context - Sep-18 0909 AM (Tick(2K))


# 18.09.2025 - MCL

## 📊 Context

- **Opening Type**: Open Test Drive
- **Opening Location**: Outside Value
- **Day Type (Projection)**: Normal
- **Shape Type (TPO)**: D
- **Overnight Range**: Wide
- **Balance Zone (if any)**:
- **Bias**: 🔴 Bearish / ⚪ Neutral
- **Narrative**: Don't have any particular expectation
@MCL - Context - Sep-18 0910 AM (Tick(400))


Reply With Quote
  #134 (permalink)
VillainAntagonist
Bydgoszcz, Poland
 
Posts: 160 since Jul 2025
Thanks Given: 6
Thanks Received: 41

For this week, I was trading only 1 day, due to Morivewave/Rithmic connection issues, I'm frustrated, because don't understand why I should spend more time to make paid software work rather than actual trading. I have Mac, so I'm limited on options, but need to think about alternatives.


Reply With Quote
  #135 (permalink)
VillainAntagonist
Bydgoszcz, Poland
 
Posts: 160 since Jul 2025
Thanks Given: 6
Thanks Received: 41

# 18.09.2025 - MGC Trade 1

## 📌 Setup & Context

- **Location in Profile**: Inside Balance

- **Screenshot at 30m**:
@MGC - Context - Sep-18 1042 AM (Tick(1.2K))


- **Screenshot at 3m**:

## ⚙️ Execution

- **Trigger Type**: Absorption
- **Entry Reason**: My suggestion was that it's a pullback in down trend due to more hawkish FOMC meeting.
- **Exit Reason**: SL

## 📈 Outcome
- **loss**
- **Would I take this trade again?** Yes
- **Emotion check**: Confident

## 🔁 Review Flags
- [ ] Hesitation
- [ ] Poor read
- [ ] Good execution
- [x] Misjudged context
- [ ] Impulse


Reply With Quote
  #136 (permalink)
VillainAntagonist
Bydgoszcz, Poland
 
Posts: 160 since Jul 2025
Thanks Given: 6
Thanks Received: 41

Scalping Drill Reflection

Observations
• Scalping drills on MES done again.
• Not very useful for main trading style (profile/context).
• Absorption:
• Easier to spot on footprint than DOM.
• Hard to track on DOM — remembering filled vs pulled orders is inconsistent.
• HVNs (High Volume Nodes):
• Useful discovery → good spots for stop placement.
• Reason: velocity decreases there → gives more time to manage trade.
• Sometimes can even hold until price rotates back to break-even.

DOM vs Footprint
• DOM feels less practical for longer-view/context trades.
• Possible incorporation:
• Use DOM for entry timing (wait for momentum in direction).
• BUT momentum may be short-lived.
• Footprint already shows most of this information in a clearer, more reviewable format.

Takeaway
• DOM = training tool → not essential for longer-term execution.
• Footprint = main tool → better for absorption, imbalance, and reviewing context.
• HVNs as stop zones = practical edge worth incorporating.


Reply With Quote
  #137 (permalink)
VillainAntagonist
Bydgoszcz, Poland
 
Posts: 160 since Jul 2025
Thanks Given: 6
Thanks Received: 41

# 18.09.2025 - MGC Trade 2

## 📌 Setup & Context

- **Location in Profile**: LVN

- **Screenshot at 30m**:

@MGC - Context - Sep-18 1335 PM (Tick(1.2K))


- **Screenshot at 3m**:

@MGC - Footprint - Sep-18 1105 AM (P&F(4,3))


@MGC - Footprint - Sep-18 1335 PM (P&F(4,3))


## ⚙️ Execution

- **Trigger Type**: Delta Shift Footprint Imbalance
- **Entry Reason**: Flip my bias to uptrend after saw strong momentum.
- **Exit Reason**: Half exit on 1R another half on 0.25R on trailed stop.

The question is, should I exit on 1R. Prices rarely revers immediately, usually create a pullback and after pullback or failed and retrace or price continue trending. Another question, how long I should sit in pullback if I'm already in trade? Should I immediately exit when swing formed or sit on pullback knowing that it could be reversal.

## 📈 Outcome
- **Win**
- **Would I take this trade again?**
- **Emotion check**: Doubtful

## 🔁 Review Flags
- [x] Hesitation
- [ ] Poor read
- [ ] Good execution
- [ ] Misjudged context
- [ ] Impulse


Reply With Quote
  #138 (permalink)
VillainAntagonist
Bydgoszcz, Poland
 
Posts: 160 since Jul 2025
Thanks Given: 6
Thanks Received: 41

# 18.08.2025 - MES Trade 3

## 📌 Setup & Context

- **Location in Profile**: HVN

- **Screenshot at 30m**:

@MES - Context - Sep-18 1512 PM (Tick(2K))


- **Screenshot at 3m**:

@MES - Footprint - Sep-18 1514 PM (P&F(5,3))


## ⚙️ Execution

- **Trigger Type**: Tape
- **Entry Reason**: Higher than expected unemployment claims + yesterday FOMC hawkish statement.
- **Exit Reason**: Half exit on 2 contract exit on 1R, one contract exit on 1.2R due to the liquidity wall. 1 contract exit on 4R on POC level.

## 📈 Outcome
- **loss**
- **Would I take this trade again?** Yes
- **Emotion check**: Doubtful

## 🔁 Review Flags
- [ ] Hesitation
- [ ] Poor read
- [x] Good execution
- [ ] Misjudged context
- [ ] Impulse

I think I need reevaluate my scaling out, I always have problem with risk tolerance, due to which I trade small and scale out half on 1R, but with this I left big amount of profit on the table. Does it due to my lack of confidence or fear of loss?


Reply With Quote
Thanked by:
  #139 (permalink)
VillainAntagonist
Bydgoszcz, Poland
 
Posts: 160 since Jul 2025
Thanks Given: 6
Thanks Received: 41

Next trades I'll increase my size to 6 contract to start move out from comfort zone.


Reply With Quote
  #140 (permalink)
VillainAntagonist
Bydgoszcz, Poland
 
Posts: 160 since Jul 2025
Thanks Given: 6
Thanks Received: 41

Today I'm busy with personal things, so will not trade today. I'll comeback on Monday.


Reply With Quote




Last Updated on September 24, 2025


© 2026 NexusFi®, s.a., All Rights Reserved.
Av Ricardo J. Alfaro, Century Tower, Panama City, Panama, Ph: +507 833-9432 (Panama and Intl), +1 888-312-3001 (USA and Canada)
All information is for educational use only and is not investment advice. There is a substantial risk of loss in trading commodity futures, stocks, options and foreign exchange products. Past performance is not indicative of future results.
About Us - Contact Us - Site Rules, Acceptable Use, and Terms and Conditions - Downloads - Top
no new posts