SethuratnaAnbuvinoth
NG is in a downtrend in 4hr chart. Placing a short position in 1hr HV SZ above MA. Risk= $250. Target= 1.1:1.
MCL is in an uptrend. Placed a long position in confluence HV DZ (the upper zone). Waited for price to break previous high. Risk=$220. Target= 1:1 and 3:1.
MGC is in a downtrend in 4hr chart with a cross below, retest and follow through (FT). Placed a short position in 1hr HV confluence SZ. Taking half risk because daily and 4hr trends don't match. Also, price is rallying from daily DZ (Blue box). Risk= $125. Target= 1:1 and 3:1.
MGC is in an strong uptrend. Made ATH. Placing a long position in 1hr HV DZ far away from MA. Hence, taking half risk. Risk= $124. Target= 1:1 and 3:1.
MES is in a downtrend in 4hr chart. Placed a short position in confluence HV SZ (the lowest SZ). Risk= $200. Target= 1:1 and 3:1.
MYM is in a downtrend. It is the weakest market. Placed a short position in HV SZ above MA (the lowest SZ) that broke the previous low. Taking half risk because it is not an original zone. It is a retest of zone on the left (not marked). Risk= $125. Target= 1:1 and 3:1.
MCL is in an uptrend in 4hr chart. Placed a long position in 1hr HV DZ below MA. Taking half risk because daily and 4hr trends don't match. Also, the zone has been tested. Risk= $120. Target= 1:1 and 3:1.
MYM is a weak equity market. The daily and 4hr are in a downtrend. Macro match. Price is testing 4hr 200EMA and Daily DZ (blue box). Placed a short position in 1hr HV SZ far above MA. Risk= $250. Target= 1:1 and 3:1.
NG is in a downtrend in daily and 4hr chart. Macro match. Made a new low. Placed a short position in 1hr HV SZ below MA because it is a weak market. Risk= $210. Target= 2:1.
NG is in a downtrend. Placed a short in confluence HV SZ. Risk= $250. Target= 1:1.1.
HAPPY HALLOWEEN!!!!! CL is in an uptrend. Placed a long position in confluence HV DZ. Risk= $240. Target= 1:1 and 3:1.
ZN is in a downtrend. Placed a short position in HV SZ above MA. Risk= $250. Target= 1:1 and 3:1.
YM is in a downtrend. Placed a short position in SZ below MA (lowest zone). It is a weak equity market. Risk= $250. Target= 1:1 and 3:1.
MGC is in an uptrend. Placed a short position in confluence DZ. Taking half risk because price came close to the zone twice and rallied. The upper zone didn't make a new high. Hence, no trade on the upper zone. Risk= $124. Target= 1:1 and 3:1.
ZN is in a downtrend. Taking a short position in confluence SZ. Risk= $234. Target= 1:1 and 3:1.
MYM is in a downtrend. Placed a short position in SZ above MA. It is the weakest equity. Risk= $250. Target= 1:1 and 3:1.
M2K is in an uptrend. But price closed below 4hr MA. It is the strongest equity. Placed a long position in 1hr HV DZ which coincides with 4hr 200EMA. Taking half risk because the zone has been tested. Risk= $120. Target= 1:1 and 3:1. Waited for the Globex open.
MCL is in a SW + uptrend because price closed above 4hr MA. Taking a long position in DZ below MA. Taking half risk because zone has been tested. Chances of less unfilled orders. We have 2 zones overlapping. I chose the lower one because of SW trend. Risk= $90. Target= 1:1 and 3:1.