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Pre market plan
Description: Market yday take stop orders and today i think it will be same sideway day
Sceanrio1: Price go higher after open and find same sellers around 6910. Look same strong sell delta
Sceanrio2: Price slowly slowly go lower and find buyers around 6830. Look same delta support area or strong buy delta
Sceanrio3: Price open sideway and if not will be same seller then possible go higher and hold above 6910.
Sceanrio4: Additionlal scenario for sell off with strong enough delta and hold price under 6830.
Market recap
Day comment
Trading: It was day with same mistake
- Trade your plan and idea!!
- If delta after lunch big negative - DON`T buy (ONLY STRONG BUY)
Market: Market move to next volume area down
Market view
Description: Buyers try but power not enough!
Market context
Part1:
Description: I same place iam dont understand market
Part2:
Description: Buyers try to control 6800 BUT after this "Trading zone" fail down
Trading stat PNL: +420$
Playbook ratio: 66%
Description: Day with few errors! Be careful!
Can you help answer these questions from other members on NexusFi?
Mjor info
1. Brexit crisis! Market can be very voltilyty today
2. 10-30 Powell speaking
Pre market plan
Description: Volatility is near with my edge!! Too careful and trade only PB pattern
Scenario1: Market try go higher and may be test 6830 area and after find same strong seller and go down!
Scenario2: Market opne with range and after switch on "Sell off" mode
Sceanrio3: Same good news came from UK and market go UP and hold pri ice above 6830! Buy only above 6800.
Market recap
Day comment
Trade: Day good, but at one moment iam try jump to deal!
Market: Market was perfect with perfect reverse pattern.
Market view
Description: Market came back to range 6800-6900, but i think it was not enough to push price higher then 6900 area
Market context
Description: Market show perfect reverse pattern with perfect enterence area! Good!
Trading stat PNL: +300$
Playbook ratio: 50%
Description: Perfect place was on re-test! And don`t jump to same deal!
Major info
1. Brexit brexit bla bla
2. (NEW!) Pre market view: Neutral
Pre market plan
Description: Next week will be holiday and i don`t think what today we wiil see price not in range 6800-6900
Sceanario1: Same slow slow move to 6800 and find same buyers. Look same support delta
Scenrio2: Buyers after yday day start buy with out any PB. In this case i will be wait same strong buy delta
Sceanrio3: If came same bad news price can go under 6800. I will be look same resistance delta area
Market recap
Day comment
Trading: Trade idea was good but realization bad.
Market: Nothing interest
Market view
Description: No comment
Market context
Description: Good day with strong and good signal
Trading statistic PNL: +65$
Playbook ratio: 100%
Description: Good day!
During not trading week I prepare same idea and plan for be better then before and here my idea during Pre Market Time.
Pre Market Status: Delta:
(+/- 1k): Neutral;
> 1k: Positive;
<(-1k): Negative;
Description: In future i will be test which delta more important during pre market US time (1 hour BMO or all ON session).
Price:
(+/- 0,3%-0,5%): Neutral;
> 0,5%: Positive;
< (-0,5%): Negative;
Description: 0,3% or 0,5% this must look together with volatility and experence.
Delta momentum:
Example I add during next pre market plan when picture will be clear for example.
Summery: Base on this three parametrs i will be have same short info about pre market.
In totaly i will be have 3 statuses (ex. Postive):
1. Strong positive (+,+,+);
2. Positive ( 2 plus and 1 neutral);
3. Neutral (Mixed);
RULES:
1. After PPR price must go around 10% without any strong pullback;
2. Price must go around 10% (can be less for example 8% BUT without pullback);
3. When draw this PPR Level always move to integer number (ex. 7223--->7220)
Major info
1. EU accept "Brexit rules" and now wait info from Parlament UK
2. Pre-market status: Positive
Pre-market plan
Description: Monday I start always with positive Long scenario and today i think can be good chance for price PB to 6700 area.
Sceanrio1: This is scenario typicaly base on PB to same support area to 6600 area. And find same strong buyers with strong positive delta
Sceanrio2: Price open with same sideway move during first 15-30 min and after find same support to continue go higher
Scenario3: Same negative short scenario will be active if came strong bad news and i will be see same strong sell delta
Market recap
Day comment
1. Normaly sideway day with strong gap (> +1%).
2. Trading was very bad BUT with good lesson and idea how it can be better.
Trading view
Description: Nothing interest, only may be 6600 can be potential S/R area;
Market context
Description: After strong gap i think same long period sideway move it normal;
Trading statistic PnL: (-860$)
Playbook ratio: 0%
Description: Focus on mistake!
Mistake 1: My stratagy mast be base on PULL BACK to Trading zone or Delta Area (exeption: ATR, strong support and it begin of move);
Mistake 2: Delta area can be wide then 2$. For better understand picture look volume profile
Mistake 3: Completly WRONG exit!! Add to Playbook stratagy exit point
Playbook exit stratagy
Description: Before enterence I must understand where I will be exit! Example №1
Description: If price stay long time in range this is way will be more careful and easy Example №2
Description: Best example!! I must focus on this scenario
P.S. Does not metter which scenario i will be use! First of one I must focus on enterence and exit opportunitys.
Iam not trade today, but i do pre market plan and look what will be from home.
Major info
1. AAPL down on pre market on news about tarriff on iPhone and Mac
2. Pre market status: Neutral
3. Careful about same news about "Trade war".
Pre market plan
Description: Before meeting Xi and Trump I not wait same strong push up or down it can be same sideway move
Sceanrio1: Sideway move 6600-6700 with same strong and poor area.
Sceanrio2: On news with AAPL price go slow slow and close yday gap
Sceanrio3: Market find buyers and they will be hold price above 6650.
Market recap
Day comment
Trading: No trading day
Market: Sideway day, NQ was slowly then ES and 6710 important area
Market view
Description: Too much sellers around 6710 and if buyers give chance sellers tommorow broke price under this price it can be fail for buyers.
Major info
1. GDP anonce 3,5% is good!
2. Market wait info about "Trade war" with China
3. Pre-market status: Neutral
Pre market plan
Description: On open we have GAP and like always i will be look how prce will be work with him.
Scenario1: Price slowly go to close gap and find strong buyers around 6710 and price go up with impulse. I will be look same strong buyers delta around 6710.
Scenario2: Buyers will be strong and hold price around 6750 same time and after go continue higher. Look same delta area and wait PB.
Sceanrio3: Gap will be close fast and price will be walk under 6710 after do same PB and go lower. I will be wait re-test 6710 area.
Market recap
Day comment
1. Market comment: Day of insiders!
2. Trading comment: Too volatility, too much stupid trades!!
Market view
Description: Nothing interest
Market context
Description: I see too strong buyers BUT it was unuasual buyers and after Powell speak I understand who it was!
Trading result PNL: -540$
Playbook ratio: 0%
Description: Stop trading on real account and work under discipline and new additional for stratagy on demo account
Additional comment
Time to time I wrong with delta area. Now it must be clear!