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JT Day trading journal

  #111 (permalink)
 
jonnytrade's Avatar
 jonnytrade 
Moscow/Russia
 
Experience: Intermediate
Platform: Investor RT, Overcharts
Broker: NT Brokerege/Rithmic
Trading: NQ,YM,CL,GC
Posts: 434 since Apr 2016
Thanks Given: 53
Thanks Received: 255

Continue grow, continue try to be better!!

Friday market recap

PNL: 160$
Win ratio: 40%
Risk/reward: 2,32
Playbook ratio: 100%
Profit index: 0,88

Weekly report

Positive moment:
1. Week close 1,53X more then avarage profit week;
2. Risk/reward grow;
3. Avarage profit week grow;
4. Find and work about comception to trade from level;

Negative moment:
1. Overtrading around level!
2. Don`t wait perfect pattern for enterence;
3. Very low Win ratio;



Weekly trading stat
PNL: 872$
Win ratio: 47%
Risk/reward: 1,88
Playbook ratio: 70%
Profit index: 0,74

Summery:
1. Continue work with risk/reward and win ratio together;
2. Think and work about how i can trade better around level;

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  #112 (permalink)
 
jonnytrade's Avatar
 jonnytrade 
Moscow/Russia
 
Experience: Intermediate
Platform: Investor RT, Overcharts
Broker: NT Brokerege/Rithmic
Trading: NQ,YM,CL,GC
Posts: 434 since Apr 2016
Thanks Given: 53
Thanks Received: 255

Next week! Next step to grow!!

Major news

NONE

Pre market view


Description: Key point for today i will be look what will be with gap
Sceanrio1: Price open and buyers will be try hold price in sideway move first 30 minutes and in this case i will be look same delta support;
Scenario2: If price very easy go and close gap that will be means for me in NQ no buyers and i will be look same sell signal on PB.

Market repcap


Description: No buyers on the start of day and after was situation on 50/50.

Trading statistic
PNL: 360$
Win ratio: 75%
Risk reward: 3,57 (becouse 1 trade loss with 2 tick)
Playbook: 50%
Profit index: 0,48


Description:
1. Scalping day from level;
2. After last trade iam understand what I conduct a jerky trade and decided to end the trade for today;

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  #113 (permalink)
 
jonnytrade's Avatar
 jonnytrade 
Moscow/Russia
 
Experience: Intermediate
Platform: Investor RT, Overcharts
Broker: NT Brokerege/Rithmic
Trading: NQ,YM,CL,GC
Posts: 434 since Apr 2016
Thanks Given: 53
Thanks Received: 255


Work,work pattern+level! IMPORTANT!

Major news, releases

NONE

Pre market plan

Description: Like yday i will be look how price will be work with gap
Scenario1: Price go slow-slow and hard close gap and around 7450 i will be look same strong seller;
Sceanrio2: Price open in sideway move and don`t find buyers go down in this case i will be look same limit seler or delta resistance area; 7430 too important for continue lower!
Sceanrio3: On same good news price go up strong and fast close gap and in this case i will be wait reaction around 7450;

Market recap
Good PullBack day

Description: Market is not ready go higher at all!

Trading statistic
PNL: (-260%)
Win ratio: 36%
Risk/reward: 0,83
Play book ratio: 82%
Profit index: 0,2



Description: All trades was very very poor!! BUT iam understand one good thing: More concentrate on PB pattern after two hourse market open;

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  #114 (permalink)
 
jonnytrade's Avatar
 jonnytrade 
Moscow/Russia
 
Experience: Intermediate
Platform: Investor RT, Overcharts
Broker: NT Brokerege/Rithmic
Trading: NQ,YM,CL,GC
Posts: 434 since Apr 2016
Thanks Given: 53
Thanks Received: 255

Tommorow rollover day for index!!

Major news

NONE

Pre market plan

Description: Near rollover and it usualy diffucult days for trading!! And what i see yday i will be have only 1 scenario for next two days!
Sceanrio1: Cameback in range anprice hold under 7480. I will be look same strong seller in this area!

Market recap
It was normal day fro pre-roll day)

No comment with charts. Iam out of the office.

Trading statistic
PNL: 270$
Win ratio: 100%
Risk/reward: 2,39
Playbook ratio: 100%
Profit index: 0,33

Description:
1. It was one good trade after two hours market open and iam trade "Reverse PB to DA".
2. Close early becouse i want close yday loss and this is crazy day.

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  #115 (permalink)
 
jonnytrade's Avatar
 jonnytrade 
Moscow/Russia
 
Experience: Intermediate
Platform: Investor RT, Overcharts
Broker: NT Brokerege/Rithmic
Trading: NQ,YM,CL,GC
Posts: 434 since Apr 2016
Thanks Given: 53
Thanks Received: 255



P.S. Today roll day. During this day and next day on my practice Order Flow does not work completly! Iam wait next week!

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  #116 (permalink)
 
jonnytrade's Avatar
 jonnytrade 
Moscow/Russia
 
Experience: Intermediate
Platform: Investor RT, Overcharts
Broker: NT Brokerege/Rithmic
Trading: NQ,YM,CL,GC
Posts: 434 since Apr 2016
Thanks Given: 53
Thanks Received: 255

It was a green, short, roll week!

Main charts of week


Positive moment
1. It was green week no more, no less !
2. Find very good rule for trade after two hours market open:
- Concentrate on PB pattern;
- Momentum pattern with volatility 8-11 during this time don`t work how i like )
3. Trade at Wednesday was very good:
- Iam wait my level;
- Iam wait PB pattern;
- I now before where my profit (close yday loss)
VERY GOOD!!

Negative moment
1. My win ratio is very poor!!
2. Monday was scalping day! NOT GOOD!
3. Profit index too low! That means my trade can give me more then i take!

Weekly trading statistic
PNL: 385$
Win ratio: 47%
Risk/reward: 1,92
Playbook ratio: 77%
Profit index: 0,23

Summery:
1. Everything good! Continue work about quality of enterence and exit;
2. Try to work like i do at Wednesday;

Market view on next week
Iam wait continue down move

Description: What i see before roll it was strong enough sell presure and nnow during roll period market can walk with out any idea and good direction
Main area:
For continue down too important 7480 an 7430 and how price will be work 7500-7600 range;
Iam cancel my WEEK short idea if price go higher then 7600;

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  #117 (permalink)
 
jonnytrade's Avatar
 jonnytrade 
Moscow/Russia
 
Experience: Intermediate
Platform: Investor RT, Overcharts
Broker: NT Brokerege/Rithmic
Trading: NQ,YM,CL,GC
Posts: 434 since Apr 2016
Thanks Given: 53
Thanks Received: 255

Next week , next step forward!

Major news, releases

Today Trump or Administration can give comment about "Trade war with China"

Pre market plan


Description: For this plan and plan for next few days iam based on picture what i see before roll. Iam wait correction.

Scenario1: Classical trade down day with step by step move. Market open in range first 10-20 minutes and i will be look same good delta resistance signal;
Scenario2: More faster scenario with move down if came same bad news about "Trade war". In this case i will be look how price will be work around "gap close" area.
Sceanrio3: I can be wrong in my week picture it not problem. I wiil be look how price will be support 7550 and 7580.

Market recap
It was a good day like in my pre market BUT not too much moment for me


Description: Main thing what 7510 can be good resistance area for future

Trading statistic
PNL: 120$
Win ratio: 40%
Risk/reward: 2,54
Playbook ratio: 60%
Profit index: 0,38


Description: Win ratio and Profit index is poor BUT R/R is strong.

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  #118 (permalink)
 
jonnytrade's Avatar
 jonnytrade 
Moscow/Russia
 
Experience: Intermediate
Platform: Investor RT, Overcharts
Broker: NT Brokerege/Rithmic
Trading: NQ,YM,CL,GC
Posts: 434 since Apr 2016
Thanks Given: 53
Thanks Received: 255

Major news, releases

"Trade war" and Trump continue work.. Very careful with same news from him or China

Pre market plan

Description: Today iam wait more sideway day around 7530-7580
Sceanrio1: Iam wait same PB to 7580 area and after strong sell with strong volume. Look to "sell off" delta
Sceanrio2: After open market fall but around ON_Low same buyers can try buy and in this case wait PB 7550 and look what wiil be
Sceanrio3: Same strong good news from Trump (ex. Cancel "Trade WaR") i wiil be look how buyers support price 7580 and 7610.

Market recap
Uhhhh......


Description: No any idea what it was(

Trading statistic
PNL: (-820$)
Win ratio: 0%
Risk/reward: 1,48 (that only means my stop was normal))
Playbook ratio: 33%
Profit index: 0

Description: Red day with two important mistake:
1. "Trade your plan, plan your trade"!! My last three trades was very bad! Always think about plan!
2. Don`t trade one pattern more then 3 times; Other way it will be overtrading!

Additional idea
Idea: Iam understood what i have time to time big RED day (after three years ) and in this case i must have time to time big GREEN day!
Action: Trade from my important (red) level+ market situation with take porfit around 60 ticks!

When you fall you grow

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  #119 (permalink)
 
jonnytrade's Avatar
 jonnytrade 
Moscow/Russia
 
Experience: Intermediate
Platform: Investor RT, Overcharts
Broker: NT Brokerege/Rithmic
Trading: NQ,YM,CL,GC
Posts: 434 since Apr 2016
Thanks Given: 53
Thanks Received: 255

Yday was knowledge day, today i must be very careful

Major news, releases

NONE

Pre market plan


Description: Today i will be work only from my important level 7510.
Sceanrio1: Price open sideway and down above and hold 7510 in this case i will be wait strong sell limit pattern;
Sceanrio2: Price test my level and go UP immidiatly! Or show same strong limit buyers;

Market recap
Reverse day


Description: This is good and correct day when buyers show what they do!

Trading statistic
PNL: 200$
Win ratio: 100%
Risk/reward: 0,9
Playbook ratio: 100%
Profit index: 0,27



Description: It was very careful and good day!

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  #120 (permalink)
 
jonnytrade's Avatar
 jonnytrade 
Moscow/Russia
 
Experience: Intermediate
Platform: Investor RT, Overcharts
Broker: NT Brokerege/Rithmic
Trading: NQ,YM,CL,GC
Posts: 434 since Apr 2016
Thanks Given: 53
Thanks Received: 255


Yday was reverse day and today can be good UP day

Major news, releases

Yday came good news about NAFTA deal.

Pre market plan



Description: Market open with good UP gap. And in this case i will be work from "First hour patten"
Sceanrio1: I hope on this scenario and after open market try to go and close gap BUT around 7530 find same strong buyers;
Scenario2: This is low volatility scenario. Market will be slowly-slowly go up. In this case work from same PB pattern;
Sceanrio3: Same like scenario2, but slowly-slowly go down; Not trading scenario for if. ONLY if came strong bad news!

Market recap
Sideway day with strong buyers

Description: That day only means what friday can continue go UP

Trading statistic
PNL: 50$
Win ratio: 50%
Risk/reward: 1,14
Playbook ratio: 0%
Profit index: 0,46

Description: That is not right day for grow!! I must be more concentrate!

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Last Updated on December 24, 2018


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