NASDAQ100 BUY IDEAHey tradomaniacs,
welcome to a new free trading-setup.
Notice: This is meant to be a preparation for you! As always we will have to wait for a confirmation.
NASDAQ100: Daytrade-Preparation
Waiting for a continuation of the breakout.
Market-Buy: 11615,00
Stop-Loss: 11415,00
Target 1: 11800,00
Target 2: 11917,00
Target 3: 12100,00
Target for One-Target-Trader: 11917,00
Stop-Loss: 200 pips
Risk: 0,5% - 1%
Risk-Reward: 2,44
LEAVE A LIKE AND A COMMENT - I appreciate every support! =)
Peace and good trades
Irasor
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Any questions? PM me. :-)
Swingsetup
EUR/NZD BUY SIGNALHey tradomaniacs,
welcome to a new free trading-setup.
Notice: This is meant to be a preparation for you! As always we will have to wait for a confirmation.
EUR/NZD: Day-Swingtrade-Execution
Market-Buy-Order: 1,77240
Stop-Loss: 1,76470
Target 1: 1,77950
Target 2: 1,78360
Target 3: 1,78915
Target for One-Target-Trader: 1,78360
Stop-Loss: 74 pips
Risk: 0,5% - 1%
Risk-Reward: 2,30
LEAVE A LIKE AND A COMMENT - I appreciate every support! =)
Peace and good trades
Irasor
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Any questions? PM me. :-)
EUR/USD BUYY SIGNAL #RISKYHey tzradomaniacs
I will personally take this EUR/USD trade now as I have a higher risk-aversion. Looking at SPX500 I see lots of buyers stacking here and so a chance of a breakout soon.
DXY is a t a key-resistance while EUR/USD is at a key-support-level. To me nice confluence and potential ROSK-ON in the market.
As this trade is risky because I hold it overnight I keep the risk low.
Please don`t execute it if you can`t sleep well with more open positions in this news-driven market. and stay out.🙏
EUR/USD: Swingtrade-Execution
Market-Buy-Order: 1,18190
Stop-Loss: 1,17980
Target 1: 1,18385
Target 2: 1,18530
Target 3: 1,18690
Target for One-Target-Trader: 1,18530
Stop-Loss: 21 pips
Risk: 0,5% - 1%
Risk-Reward: 2,41
LEAVE A LIKE AND A COMMENT - I appreciate every support! =)
Peace and good trades
Irasor
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Any questions? PM me. :-)
USD/CAD SELL IDEA Hey tradomaniacs,
welcome to a new free trading-setup.
Notice: This is meant to be a preparation for you. As always we will have to wait for a confirmation!
USD/CAD: Day-Swingtrade-Preparation
Market-Sell: 1,31500
Stop-Loss: 1,32135
Target 1: 1,30800
Target 2: 1,30350
Target 3: 1,29880
Target for One-Target-Trader: 1,30350
Stop-Loss:63,5 pips
Risk: 0,5% - 1%
Risk-Reward: 2,30
LEAVE A LIKE AND A COMMENT - I appreciate every support! =)
Peace and good trades
Irasor
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Any questions? PM me. :-)
EUR/GBP BUY SIGNAL ey tradomaniacs,
welcome to a new free trading-setup.
Notice: This is meant to be a preparation for you! As always we will have to wait for a confirmation!
EUR/GBP: Day-Swingtrade-Execution
Markt-Buy-Order: 0,91030
Stop-Loss: 0,90395
Target 1: 0,91575
Target 2: 0,91925
Target 3: 0,92460
Target for One-Target-Trader: 0,91925
Stop-Loss: 63,5 pips
Risk: 0,5% - 1%
Risk-Reward: 2,32
LEAVE A LIKE AND A COMMENT - I appreciate every support! =)
Peace and good trades
Irasor
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Any questions? PM me. :-)
YUM - 4.02% Potential Profit - Ascending TriangleAscending triangle formed after a 5-month correction. Multiple new support confirmation over the past few days.
There is a potential to aim March's high and target a $105 price mark. However, not before we break past our original target exit below.
Despite profit potential might not seem appealing, I still feel that the risk/reward ratio is acceptable. Needless to say that the price will highly be influenced by vaccine-related news, given YUM's industry.
- Target Entry $98.79
- Target Stop Loss $97.67
- Target Exit $102.90
About me
- P/L September +49.18% | August: +232.32% | No Trades without Analysis
- Note that I tend to adjust stop losses in order to secure profits early and preserve capital. This means that the target price is going to be achieved as long as there are no strong pullbacks that trigger my new adjusted stop loss
EUR/JPY BUY SIGNALHey tradomaniacs,
welcome to a new free trading-setup.
EUR/JPY: Day-Swingtrade-Execution
Market-Buy-Order: 123,610
Stop-Loss: 122,850
Target 1: 124,270
Target 2: 124,735
Target 3: 125,300
Target for One-Target-Trader: 124,735
Stop-Loss: 76 pips
Risk: 0,5% - 1%
Risk-Reward: 2,25
LEAVE A LIKE AND A COMMENT - I appreciate every support! =)
Peace and good trades
Irasor
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Any questions? PM me. :-)
USD/CHF SELL SIGNALHey tradomaniacs,
welcome to a new free trading-setup.
USD/CHF: Day-Swingtrade-Execution
Sell-Limit: 0,91385
Stop-Loss: 0,91685
Target 1: 0,91095
Target 2: 0,90915
Target 3: 0,90685
Target for One-Target-Trader: 0,90915
Stop-Loss: 30 pips
Risk: 0,5% - 1%
Risk-Reward: 2,35
LEAVE A LIKE AND A COMMENT - I appreciate every support! =)
Peace and good trades
Irasor
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Any questions? PM me. :-)
BG - 11.42% Potential Profit - Bullish PennantBullish Pennant breaking out after a 7-month uptrend.
Trying to capture the breakout right out of the gate and eventually lock profits well before the target, which I believe to be the best strategy given the period.
I am being very selective lately and I only trade when I see very limited risk, with potentially great rewards. This is why I like this setup. There is no clear technical target, this is why I will adjust stop-losses daily (and intraday) based on how the market behaves.
- Target Entry $50.59
- Target Stop Loss $50.04
- Target Exit $56.63
About me
- P/L September +49.18% | August: +232.32% | No Trades without Analysis
- Note that I tend to adjust stop losses in order to secure profits early and preserve capital. This means that the target price is going to be achieved as long as there are no strong pullbacks that trigger my new adjusted stop loss
TSLA - 12.06% Potential Profit - Bullish PennantShort-term Bullish Pennant following a 1-month correction interrupting a massive bull run.
Multiple new support confirmation in the past few days.
I am being very selective lately and I only trade when I see very limited risk, with potentially great rewards. This is why I like this setup. There is no clear technical target, this is why I will adjust stop-losses daily (and intraday) based on how the market behaves.
- Target Entry $442.04
- Target Stop Loss $436.02
- Target Exit $495.31
About me
- P/L September +49.18% | August: +232.32% | No Trades without Analysis
- Note that I tend to adjust stop losses in order to secure profits early and preserve capital. This means that the target price is going to be achieved as long as there are no strong pullbacks that trigger my new adjusted stop loss
EUR/GBP BUY SIGNAL Hey tradomaniacs,
welcome to a new free trading-setup.
Notice: This is meant to be a preparation for you! As always we need to wait for a confirmation.
EUR/GBP: Day-Swingtrade-Preparation
Market-Buy: 0,90715
Stop-Loss: 0,90080
Target 1: 0,91400
Target 2: 0,91670
Target 3: 0,92175
Stop-Loss: 63,5 pips
Risk: 0,5-1%
Risk-Reward: 2,30
LEAVE A LIKE AND A COMMENT - I appreciate every support! =)
Peace and good trades
Irasor
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Any questions? PM me. :-)
BILL - 28.92% Potential Profit - Bullish PennantBullish Pennant breaking out after a 7-month characterized by a long correction. Quite a speculative trade, however, I believe that the upsides might be great if momentum doesn't cease.
Trying to capture the breakout right out of the gate and eventually lock profits well before the target, which I believe to be the best strategy given the period.
I am being very selective lately and I only trade when I see very limited risk, with potentially great rewards. This is why I like this setup. There is no clear technical target, this is why I will adjust stop-losses daily (and intraday) based on how the market behaves.
- Target Entry $114.25
- Target Stop Loss $110.84
- Target Exit $147.97
About me
- P/L September +49.18% | August: +232.32% | No Trades without Analysis
- Note that I tend to adjust stop losses in order to secure profits early and preserve capital. This means that the target price is going to be achieved as long as there are no strong pullbacks that trigger my new adjusted stop loss
EUR/JPY SELL SIGNALHey tradomaniacs,
welcome to a new free trading-setup.
EUR/JPY: Day-Swingtrade-Execution🔁
Market-Sell-Order: 124,690
Stop-Loss: 125,180
Target 1: 124,205
Target 2: 123,900
Target 3: 123,315
Target for One-Target-Trader: 123,900
Stop-Loss: 49 pips
Risk: 0,5-1%%
Risk-Reward: 2,80
LEAVE A LIKE AND A COMMENT - I appreciate every support! =)
Peace and good trades
Irasor
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Any questions? PM me. :-)
USOIL SWING TRADE 07-Oct-2020
(WTI) USOIL is trading within a range between 39.100 and 40.750 At 40.750 it got rejected twice and started the bearish run It has formed a inverted head and shoulder during the initial days of this month on right side of the inverted right shoulder morning star was formed which caused further buying pressure and reached 40.750 resistance level. The USOIL price is well below the .236 Fibonacci level
Currently the price is trading below the 40.00 key psychological level. The next downside target would be around 38.00 where we can find previous shoulders level which may act as support for the bullish reversal
SWING TRADE - (WTI) USOIL
Sell @ 39.410
Take profit @ 37.820
Stop lose @ 40.360
Don't risk more than 1% of your capital
AUD/USD SELL SIGNALHey tradomaniacs,
welcome to a new free trading-setup.
Notice: Keep in mind that we will get to see the FOMC-Statement today. Market can be shaky and volatile!
AUD/USD: Day-Swingtrade-Execution🔁
Sell-Limit: 0,71445
Stop-Loss: 0,71755
Target 1: 0,71135
Target 2: 0,70960
Target 3: 0,70780
Target for One-Target-Trader: 0,70960
Stop-Loss: 31 pips
Risk: 0,5% - 1%
Risk-Reward: 2,04
LEAVE A LIKE AND A COMMENT - I appreciate every support! =)
Peace and good trades
Irasor
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Any questions? PM me. :-)
USD/JPY BUY SIGNALHey tradomaniacs,
welcome to a new free trading-setup.
USD/JPY: Daytrade-Execution🔁
Notice:
Still important news (Bill-Voting and NFP`s ahead).
Market can get volatile with any headline. Manage your risk accordingly!
Market-Buy-Order: 105,530
Stop-Loss: 105,200
Target 1: 105,850
Target 2: 106,075
Target 3: 106,300
Target for One-Target-Trader: 106,075
Stop-Loss: 33 pips
Risk: 0,5% - 1%
Risk-Reward: 2,30
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. :-)
How to navigate any turn 2 steps ahead! Real Time examples!Live - Real Time - Trading examples of navigating the turn(s) - swings - in any market. (In this case: EURUSD & EURGBP)
=======================================================================================================
The following *** Live Trading snapshot *** can be found in this Real Time Trading Post:
XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX
EURUSD - 5 min.; 09-24-2020, 02:05 EST.
Buy - LONG @Market; w.33 pip Trailing Stop.
======================================
EURUSD - LONG;
Buy - LONG @Market; w.33 pip Trailing Stop.
EURUSD - 5 min.; 09-24-2020, 02:05 EST.
Most likely Price Action - for reference only.
35 mins. later
45 mins. later
60 mins. later
70 mins. later
95 mins. later
100 mins. later
120 mins. later
... and...
145 mins. later
... and here it is, the same market (EURUSD)...
... "many" minutes later.
XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX
This Live (Real Time) Trading example (EURGBP) can also be found in the same post as the one above:
The commens for this live (real time) example are included in the charts.
============ EURGBP ==================
Entering LONG here:
Then...
... and ...
Then...
... and...
... and ...
Then... BOOM!!
... and ...
... and finally:
CRUDE OIL SELL SIGNAL Heytradomaniacs,
welcome to another free trade-setup.
CRUDE OIL: Day-Swingtrade-Exexution
Sell-Stop: 39,71
Stop-Loss: 40,74
Target 1: 38,90
Target 2: 39,23
Target 3: 37,28
Target for One-Target-Trader: 39,23
Stop-Loss: 100 pips
Risk: 0,5% - 1%
Risk-Reward: 2,45
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. :-)
DBX - 8.60% Potential Profit - Support BreakoutCorridor breakout past a 5-month correction.
Price has been down-trending since May, including during the August's Nasdaq rally. Disappointing earnings created a short momentum.
Lack of resistance confirmation means that we are chasing the price. However, my Stop/Loss is very tight and we are protected in case of an unexpected bounce. This is also due to the unpredictability of the market these days.
I would wait a few minutes into the trading session before entering an order and potentially slightly change my entry/stop based on it.
- Target Entry $19.25
- Target Stop Loss $19.50
- Target Exit $17.34
About me
- P/L September +33.74% | August: +232.32% | Historical Win Ratio 70.59% | No Trades without Analysis
- Note that I tend to adjust stop losses in order to secure profits early and preserve capital. This means that the target price is going to be achieved as long as there are no strong pullbacks that trigger my new adjusted stop loss
WEN - 5.20% Potential Profit - Corridor BreakoutCorridor breakout past a 4-month correction.
Price has been down-trending since the beginning of August and I am expecting the momentum to continue in the short-term. Wendy's is a great stock, however, we might be reaching new support before resuming the rally. This is why it is important to get out fast if we turn a profit.
Lack of resistance confirmation means that we are chasing the price. However, my Stop/Loss is tight to reflect that.
- Target Entry $20.65
- Target Stop Loss $21.04
- Target Exit $19.56
About me
- P/L September +33.74% | August: +232.32% | Historical Win Ratio 70.59% | No Trades without Analysis
- Note that I tend to adjust stop losses in order to secure profits early and preserve capital. This means that the target price is going to be achieved as long as there are no strong pullbacks that trigger my new adjusted stop loss
MDT - 7.71% Potential Profit - Corridor BreakoutMDT has desperately trying to rally to reach its pre-pandemic ATH for 6 months now.
The company has also published encouraging research study results - this might act as a catalyst and create momentum. The company also beat earnings estimates recently, creating an overall positive outlook on its future.
This Corridor Breakout with strong support confirmation hints that this might be the right time.
I'm planning to enter either at a Limit, in order to contain risk or to chase a run with a Stop order. The target exit is conservative, however, if it breaks through it, there is the potential to reach its ATH. If this happens, it means that I wouldn't take profit right away, but rather lead with a Trailing Stop Loss.
- Target Entry $103.50 (Buy Limit) or $105.00 (Buy Stop)
- Target Stop Loss $101.87
- Target Exit $112.81 (or $122.00)
About me
- P/L September +33.74% | August: +232.32% | Historical Win Ratio 70.59% | No Trades without Analysis
- Note that I tend to adjust stop losses in order to secure profits early and preserve capital. This means that the target price is going to be achieved as long as there are no strong pullbacks that trigger my new adjusted stop loss
SHAK - 10.08% Potential Profit - Ascending TriangleAscending Triangle breaking out after a 6-month uptrend.
Aggressive buyer presence in the past month. I will try to make the most of the recent drop and play the bounce. However, this is a highly-sensitive pandemic stock, therefore I will allocate 35% less capital than usual.
- Target Entry $65.20 (Buy Limit) or $66.50 (Buy Stop)
- Target Stop Loss $64.57
- Target Exit $72.50
About me
- P/L September +33.74% | August: +232.32% | Historical Win Ratio 70.59% | No Trades without Analysis
- Note that I tend to adjust stop losses in order to secure profits early and preserve capital. This means that the target price is going to be achieved as long as there are no strong pullbacks that trigger my new adjusted stop loss