CMCSA 1D BIG 3 INDICATORBig Three Sub-Chart Indicator turned Green after the Day Candle Closed for an Entry Signal.
Big Three Sub-Chart Indicator shows a Long Entry Signal when the Sub-Chart Bar turned Green after the Day Candle Closed.
Big Three Indicator shows a Long Entry Signal when the Big 3 Indicator background turned Green after the Day Candle Closed
Entered Long Trade at Daily Candle Close.
Close Trade when Sub-ChartBar & Big 3 Indicator Line changes to Yellow or Red.
Longsignal
EURUSD SHORTSHELLO TRADERS!
Here is my analiysis for EU. It's a combination of everything so here is what I see...
I'm counting a nice 0XYZ correction in which is about be finished in order to continue with a major impulse.
From point X to Y there has been a retracement of 61.8%. Such retracement has tested a histirical key level of support inside the cannal you see in yellow. As I mentioned a very nice, almost perfect correction. I do see a possible continuation with ABCD Pattern, then it will go up as there is a Shark Pattern in color blue.
In summary:
EURUSD Sell
PE: 1.1750
SL: 1.1812
TP: 1.1520
EURUSD Buy Limit
PE: 1.1480
SL: 1.1380
TP: Open
Any comments, feedback is more than appreciated. Happy week!
BUY LOW
SELL HIGH
... and GET HIGH!
Best,
juanra
Bitcoin: Potential Triangle Break Out To Mid 11K Resistance.Bitcoin is developing a new swing trade long signal in a location that is less than ideal. Since the broader trend is BULLISH, we are open to the trade idea because overall probability still favors a bullish breakout.
Recent price action has established a consolidation which is a series of lower highs and higher lows (also known as a triangle). These chart structures often serve as trend continuation patterns, so in this context, a bullish break out is favored.
Will the breakout occur on the next leg? And how far can it reasonably run?
The recent sell off attempt has gone nowhere which means there are most likely a new population of shorts that can drive this market to the 11,600 resistance on the next squeeze. There needs to be a solid catalyst, and it can come from a variety of sources: strong stock market, news specific to the space, or even a run for safety (like Gold).
The catalyst serves as a motivation for NEW buyers to jump in. It doesn't matter why they jump in, what matters is that they do it. In other words, chasing news will not help you, that is what the herd is for. Our job as pragmatic traders is to evaluate the evidence that buyers are buying and confirm there is enough to justify taking a risk relative to the potential reward. That's IT.
There's enough information on a candlestick chart to make such a determination (no oscillators required). Here is part of the trade idea that we may share:
Buy STOP: 10,675
Target 1: 11,375
The stop loss order and other two targets will be shared privately. This info may also change somewhat depending on how price unfolds over the next couple of hours.
A break out of the current consolidation can take price back to the 11,600 to 12,300 resistance zone or higher. We will use this zone as one area to measure potential profit targets.
What makes this location less than ideal? Price is in the middle of the consolidation which can be interpreted as only a 50% probability of the trade going our way (compared to a broad failed low or double bottom).
I hope you find my analysis helpful, please let me know if you have any questions in the comment section and I will do my best to answer them.
$TTD´s relaunchSeptember has been cruel to the markets. Nevertheless, the impulse is starting once again. TTD has stepped over an old support, later used as a resistance and can now provide a stable support once more.
Its RSI is increasing rapidly and the MACD line has crossed the Signal line below the 0, indicating the momentum is starting and with pure strength.
AXP - buy support zones analysisHello traders,
Description of the analysis:
American Express co. (AXP) support zones ideal for timing long positions (gray). Trade what you understand, trade carefully and sparingly according to the business plan.
About me:
Hi, my name is Jacob Kovarik and I´m trading on stock exchange since 2008. I started with a capital of 3000 USD. My first strategy was based on OTM options. (American stock index and their ETF ). I´ve learnt on my path that professional trading is based on two main fundaments which have to complement each other, to make a bussiness attitude profitable. I´ve tried a lot of techniques and many manners how to analyze the market. From basic technical analysis to fundamental analysis of single title. My analytics gradually changed into professional attitude. I work with logical advantages of stock exchange (return of value back to average, volume , expected volatility , advantage of high stop-loss, the breakdown of time in options, statistics and cosistent thorough control of risk). At the moment, my main target is ITM on SPM index. Biggest part of my current bussiness activity comes from e mini futures (NQ, ES). I´m trader of positions. I´m from Czech republic and I take care of a private fund (over $4.000.000 USD). During my career I´ve earned a lot of valuable experience, such as functionality of strategies and what is more important, control of emotions. Professional trading is, in my opinion, certain kind of mental training and if we are able to control our emotions, accomplishment will show up. I will share with you my analysis and trades on my profile. I wish to all of you successul trades.
Jacob
GS - buy support zones analysisHello traders,
Description of the analysis:
Goldman Sachs group (GS) support zones ideal for timing long positions (gray). Trade what you understand, trade carefully and sparingly according to the business plan.
About me:
Hi, my name is Jacob Kovarik and I´m trading on stock exchange since 2008. I started with a capital of 3000 USD. My first strategy was based on OTM options. (American stock index and their ETF ). I´ve learnt on my path that professional trading is based on two main fundaments which have to complement each other, to make a bussiness attitude profitable. I´ve tried a lot of techniques and many manners how to analyze the market. From basic technical analysis to fundamental analysis of single title. My analytics gradually changed into professional attitude. I work with logical advantages of stock exchange (return of value back to average, volume , expected volatility , advantage of high stop-loss, the breakdown of time in options, statistics and cosistent thorough control of risk). At the moment, my main target is ITM on SPM index. Biggest part of my current bussiness activity comes from e mini futures (NQ, ES). I´m trader of positions. I´m from Czech republic and I take care of a private fund (over $4.000.000 USD). During my career I´ve earned a lot of valuable experience, such as functionality of strategies and what is more important, control of emotions. Professional trading is, in my opinion, certain kind of mental training and if we are able to control our emotions, accomplishment will show up. I will share with you my analysis and trades on my profile. I wish to all of you successul trades.
Jacob
EURUSD: 1.2000 On The Horizon? Structure Says Yes.While the recent price consolidation may appear bearish (H&S formation etc.) it is important not to lose sight of the broader trend which is BULLISH. Similar to Gold (or anything against the U.S. Dollar), price is likely to at least test the range high if not break out to a new high.
With a SWING TRADE in mind, long from the current price offers attractive reward/risk:
Risk can be defined from the 1.1785 area.
Target 1 can be reasonably placed near the 1.2000 area.
Our trade ideas utilize 3 targets in order to capitalize on a broader move IF the market want to provide one. In this case, the other two targets must be determined by you.
Many place too much weight on the recent bearish price structures, but do not realize in this content, they carry much less weight in terms of reliability.
*This is for educational purposes only, and should not be taken as investment advice.
BTC/USD BUY SIGNAL #DaytradeHey tradomaniacs,
welcome to new free trade-setup.
Notice: Risky trade with nice Risk-Reward! Keep your risk low!
BTC/USD: Daytrade-Execution
Market-Buy-Order: 10.848
Stop-Loss: 10.640
Target 1: 11.075
Target 2: 11.242
Target 3: 11.500
Stop-Loss: 192 pips
Risk: 0,5% - 1%
Risk-Reward: 3,15
LEAVE A LIKE AND A COMMENT - I appreciate every support! =)
Peace and good trades
Irasor
Wanna see more? Don`t forget to follow me.
Any questions? PM me. :-)
AMZN - buy support zones analysisHello traders,
Description of the analysis:
AMAZON ( AMZN ) support zones ideal for timing long positions (gray). Trade what you understand, trade carefully and sparingly according to the business plan.
About me:
Hi, my name is Jacob Kovarik and I´m trading on stock exchange since 2008. I started with a capital of 3000 USD. My first strategy was based on OTM options. (American stock index and their ETF ). I´ve learnt on my path that professional trading is based on two main fundaments which have to complement each other, to make a bussiness attitude profitable. I´ve tried a lot of techniques and many manners how to analyze the market. From basic technical analysis to fundamental analysis of single title. My analytics gradually changed into professional attitude. I work with logical advantages of stock exchange (return of value back to average, volume , expected volatility , advantage of high stop-loss, the breakdown of time in options, statistics and cosistent thorough control of risk). At the moment, my main target is ITM on SPM index. Biggest part of my current bussiness activity comes from e mini futures (NQ, ES). I´m trader of positions. I´m from Czech republic and I take care of a private fund (over $4.000.000 USD). During my career I´ve earned a lot of valuable experience, such as functionality of strategies and what is more important, control of emotions. Professional trading is, in my opinion, certain kind of mental training and if we are able to control our emotions, accomplishment will show up. I will share with you my analysis and trades on my profile. I wish to all of you successul trades.
Jacob
XOM - buy support zone with profit targets analysisHello traders,
Description of the analysis:
Exxon mobile (XOM) support zone ideal for timing long positions (gray). Possibly profit targets (red).Trade what you understand, trade carefully and sparingly according to the business plan.
About me:
Hi, my name is Jacob Kovarik and I´m trading on stock exchange since 2008. I started with a capital of 3000 USD. My first strategy was based on OTM options. (American stock index and their ETF ). I´ve learnt on my path that professional trading is based on two main fundaments which have to complement each other, to make a bussiness attitude profitable. I´ve tried a lot of techniques and many manners how to analyze the market. From basic technical analysis to fundamental analysis of single title. My analytics gradually changed into professional attitude. I work with logical advantages of stock exchange (return of value back to average, volume , expected volatility , advantage of high stop-loss, the breakdown of time in options, statistics and cosistent thorough control of risk). At the moment, my main target is ITM on SPM index. Biggest part of my current bussiness activity comes from e mini futures (NQ, ES). I´m trader of positions. I´m from Czech republic and I take care of a private fund (over $4.000.000 USD). During my career I´ve earned a lot of valuable experience, such as functionality of strategies and what is more important, control of emotions. Professional trading is, in my opinion, certain kind of mental training and if we are able to control our emotions, accomplishment will show up. I will share with you my analysis and trades on my profile. I wish to all of you successul trades.
Jacob
WBA - buy zone (gray)Hello traders,
Description of the analysis:
WBA support zone ideal for timing long positions (gray). Trade what you understand, trade carefully and sparingly according to the business plan.
About me:
Hi, my name is Jacob Kovarik and I´m trading on stock exchange since 2008. I started with a capital of 3000 USD. My first strategy was based on OTM options. (American stock index and their ETF ). I´ve learnt on my path that professional trading is based on two main fundaments which have to complement each other, to make a bussiness attitude profitable. I´ve tried a lot of techniques and many manners how to analyze the market. From basic technical analysis to fundamental analysis of single title. My analytics gradually changed into professional attitude. I work with logical advantages of stock exchange (return of value back to average, volume , expected volatility , advantage of high stop-loss, the breakdown of time in options, statistics and cosistent thorough control of risk). At the moment, my main target is ITM on SPM index. Biggest part of my current bussiness activity comes from e mini futures (NQ, ES). I´m trader of positions. I´m from Czech republic and I take care of a private fund ($4.000.000 USD). During my career I´ve earned a lot of valuable experience, such as functionality of strategies and what is more important, control of emotions. Professional trading is, in my opinion, certain kind of mental training and if we are able to control our emotions, accomplishment will show up. I will share with you my analysis and trades on my profile. I wish to all of you successul trades.
Jacob
CISCO - buy zone (gray) Hello traders,
Description of the analysis:
CISCO support zones ideal for timing long positions (gray). Trade what you understand, trade carefully and sparingly according to the business plan.
About me:
Hi, my name is Jacob Kovarik and I´m trading on stock exchange since 2008. I started with a capital of 3000 USD. My first strategy was based on OTM options. (American stock index and their ETF ). I´ve learnt on my path that professional trading is based on two main fundaments which have to complement each other, to make a bussiness attitude profitable. I´ve tried a lot of techniques and many manners how to analyze the market. From basic technical analysis to fundamental analysis of single title. My analytics gradually changed into professional attitude. I work with logical advantages of stock exchange (return of value back to average, volume , expected volatility , advantage of high stop-loss, the breakdown of time in options, statistics and cosistent thorough control of risk). At the moment, my main target is ITM on SPM index. Biggest part of my current bussiness activity comes from e mini futures (NQ, ES). I´m trader of positions. I´m from Czech republic and I take care of a private fund ($4.000.000 USD). During my career I´ve earned a lot of valuable experience, such as functionality of strategies and what is more important, control of emotions. Professional trading is, in my opinion, certain kind of mental training and if we are able to control our emotions, accomplishment will show up. I will share with you my analysis and trades on my profile. I wish to all of you successul trades.
Jacob