


GTradingMethod
EssentialRisk/reward = 4.1 Entry price = 6343.3 Stop loss price = 6365.3 Take profit level 1 (50%) = 6268.1 Take profit level 2 (50%) = 6232.1 Still waiting on some variables on checklist to be confirmed before I enter the trade.
Risk/reward = 3.8 Entry price = 23 167.9 Stop loss price = 23 232.8 Take profit level 1 (50%) = 22 943 Take profit level 2 (50%) = 22 878 Still waiting on confirmation on some variables in checklist
Risk/reward = 5.8 Entry price = 6321.1 Stop loss price = 6333.5 Take profit level 1 (50%) = 6257.3 Take profit level 2 (50%) = 6234.9 Still waiting for confirmation on a few variables before I enter the trade.
Risk/reward = 11.3 Entry price = 23 190 Stop loss price = 23 270.4 Take profit level 1 (50%) = 22 674 Take profit level 2 (50%) = 22 053 All variables met, and entered the trade. What is everyone's thoughts on shorting or longing cash100?
Risk/reward = 3.9 Entry price = 23 137.9 Stop loss price = 23 153.9 Take profit level 1 (50%) = 23 071 Take profit level 2 (50%) = 23 060 Still need to validate a few variables. Lets goooooo
Risk/reward = 3.3 Entry price = 6314.8 Stop loss price = 6318.4 Take profit level 1 (50%) = 6301.3 Take profit level 2 (50%) = 6297.5 Waiting on validation from a few other variables. For example, waiting for the current 30min candle to close in range. Letssss goooooo
Risk/ reward = 4.6 Entry = 8 998.5 Stop loss = 9 034.2 Take profit level 1 = 8 859.8 Take profit level 2 = 8 794 Still need confirmation, Waiting for H4 candle to close at 23.00 and will need to validate volume.
Risk/reward = 4.6 Entry price = 23 063 Stop loss price = 23 190 Take profit level 1 (50%) = 22 635 Take profit level 2 (50%) = 22 303 Still waiting for confirmation on some variables. For example, need H8 candle to close in range and volume to validate, amongst other variables.
Entry = 6303.4 SL = 6312.8 Take profit level 1 = 6280.7 Take profit level 2 = 6271.6
Potential short on S&P 500. Risk/reward = 3.4 Entry = 6264.9 Stop loss = 6280.3 TP level 1 = 6221.7 (50%) TP level 2 = 6200.5 (50%) Need current candle to close back in range at 10.00 for all variables to be met. Volume exception applied since current candle is the open of European markets.
Potential short on NAS100. Risk/reward = 5.4. Entry = 22 956 Stop loss = 23 059 TP level 1 = 22 473 (50% of position) T level 2 = 22 303 (50% of position) RSI divergence. Waiting for closure of current H8 candle to close in range. Looking for lower volume on H8 closure, however, will make exception id higher since top 1 was on Thursday the 3rd and markets...