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Description: Prior for today it Long after strong buy support day
Sceanrio1: I hope on this scenario) After open we will see same PB to 7580-7600 area. In this case i will be look pattern "New Low and GO"
Scenario2: Low volatility scenario and we are will be slow-slow move like yday. Too difficult for me and i will be trade only PB pattern;
Sceanrio3: ONLY IF CAME STRONG BAD NEWS; Look strong seller;
Market recap
It was great day for understand in which condition market now, my pre market plan was completly wrong but iam trade very careful!
Description. Today was good day for confirmation what market is not ready buy stock & index higher then 2600. Wait correction like this week too))
Trading statistic PNL: 220$
Win ratio: 100%
Risk/reward: 0,96
Playbook ratio: 100%
Profit index: 0,3
Description: Iam wait continue up, BUT market show me what they want down. Iam do two trade and close this day.
Positive moment
1. Find solution how i can up my risk/reward and avarage profit trade(Trade from important level with target 60 ticks).
2. Find solution how don`t jump to overtrading style)). Max 2-3 trade for moment setup.
3. After strong lose day i trade careful and don`t jump to same strong stupid trades
Negative moment
1. Tuesday was strong lose day! WRONG! I have daily stop 500$ not 820$!!
2. Time to time iam concentrate on trade! WRONG! I must concentratate on opportunities!
3. During low volatitility period iam try trade same momentum pattern!
Summery
1. Focus on quality NOT on quantity!
2. Concentration around important level (BUT don`t jump to same stupid situation)
3. Work more from PB pattern during low volatility period;
Next week, next step to be better and work with my plan!
Major news, releases
NONE
Pre market plan
Friday was low volatility day, today i must be very careful!
Description: Today very important find who will be in prioritet today buyers or sellers and trade PB pattern;
Sceanrio1: Low volatility sceanrio with with PB and try to close gap and find seller in area 7540
Sceanrio2: More volatility scenario with fail after open under 7510 and hold there. Look same strong delta resistance;
Sceanrio3: For market area 7510 looks like chipper price and chance to buy. Buy only above 7510!!
Market recap
Low volatility scenario (
Description: Only one interest moment around 7570
Trading statistic PNL: 20$
Win ratio: 67%
Playbook ratio: 100%
Profit index: 0,18
Description: Try trade from PB! It right way in this market situation
Description: Volatility on my edge around 8. I must be very careful and trade only PB pattern or strong momentum!
Sceanrio1: Based on my week sceanrio i will be look to short until 7600. And yday was good and may be strong seller around 7570. I will be look same limit seller around this area;
Sceanrio2: Price touch 7570 area and immidiatly go UP with support. I will be look same PB pattern;
Market recap What doesn't kill us, makes us stronger
Description: Low volatility + strong negative delta with UP bar
Trading statistic PNL: (-872$)
Win ratio: 8%
Risk/reward: 0,16
Playbook ratio: 76%
Description: Fail day! No more no less! BUT this is good lesson for me about how low volatility on long time period can kill me)
Volatility chart & PNL
Description: CRAZY!!! More then 70% my bad day it day with volatility less then 8,00.
RULE: Don`t touch NQ if volatility less then 8,00
Привет
Я думаю я здесь не один из России
Взаимно, приятно! У меня тут своего рода челенндж для самого себя 1-год публичный торговый журнал вести) Вот так сказать в процессе)