Bearish on indices in the short term. looking for an NFP melt.
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Short on NAS, missed my ideal entry at the breaker
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manually closed first pos for a loss, re-entering here at breaker. shouldve been more patient to see price return.
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going break even
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taken out break even
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short on NAS
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not out of the weeds
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price is hesitant to trade below the open, but looking for the floodgates to burst once it does.
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going break even, which is aggressive risk mitigation, but after a win on EU, I am reluctant to give anything back.
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adding to position at the breaker, all SLs at break even of first position.
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moving all SLs to the daily open. dont want to see any more green on the daily.
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theres a 2nd Daily FVG i didnt notice. with price trading from what I consider to be a premium my expectation is that this FVG will be filled in completely, but it is a risk to the short position.
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continuing to develop nicely during afternoon session. SL is in profit overall, will be holding interday for completion.
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OB proved powerful late in the day, giving it room holding interday.
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SL at BE
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taken out BE.
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re-entered short.
Trade closed: target reached
Nice.
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will consider if it develops.
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im long early off the violation of the 1HR OB.
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reducing risk. While I expect this to play, price eventually gave the 15min entry you were originally anticipating. an early entry of the violation of the 1HR OB was riskier and not necessary. Exercise more patience in the future and be comfortable with price leaving without you.
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