EURUSD1! trade ideas
EURO Future JUN18 (CME)Trading Signal
Long Position (EP) : 1.23855
Stop Loss (SL) : 1.23745
Take Profit (TP) : 1.24085
Description
E61! formed Double Repo Buy at 1h time frame. Trade setup with buy limit at 0.382 level (1.23855) and place stop loss at 0.618 level (1.23745). Once the position was hit, place take profit before an agreement (1.24085)
Money Management
Money in portfolio : $73,000
Risk Management (0.5%) : $365
Position Sizing
0.00005 = +-US$6.25
Commission fee = -$2.47/contract
EP to SL = 0.00110 = -$137.5/contract
Contract size to open = 3 contracts
EP to TP = 0.00230 = +$287.5
Expected Result
Commission fee = -$14.82
Loss = -$412.5
Gain = +$862.5
Risk/Reward Ratio = 2.02
E-Mini S&P500 Future JUN18 (CME)Trading Signal
Short Position (EP) : 1.23955
Stop Loss (SL) : 1.24195
Take Profit (TP) : 1.23425
Description
E61! formed Double Repo Sell at 4h time frame. Trade setup with sell limit at 0.382 level (1.23955) and place stop loss at 0.618 level (1.24195). Once the position was hit, place take profit before an agreement (1.23425)
Money Management
Money in portfolio : $73,000
Risk Management (0.5%) : $365
Position Sizing
0.00005 = +-US$6.25
Commission fee = -$2.47/contract
EP to SL = 0.00024 = -$300/contract
Contract size to open = 1 contracts
EP to TP = 0.00520 = +$650
Expected Result
Commission fee = -$4.94
Loss = -$300
Gain = +$650
Risk/Reward Ratio = 2.13
EURO Future JUN18 (CME)Trading Signal
Long Position (EP) : 1.23820
Stop Loss (SL) : 1.23725
Take Profit (TP) : 1.24205
Description
E61! formed Double Repo Buy at 1h time frame. Trade setup with buy limit at 0.382 level (1.23820) and place stop loss at 0.618 level (1.23725). Once the position was hit, place take profit before an agreement (1.24205)
Money Management
Money in portfolio : $73,000
Risk Management (0.5%) : $365
Position Sizing
0.00005 = +-US$6.25
Commission fee = -$2.47/contract
EP to SL = 0.00095 = -$118.75/contract
Contract size to open = 3 contracts
EP to TP = 0.00385 = +$481.25
Expected Result
Commission fee = -$14.82
Loss = -$356.25
Gain = +$1,443.75
Risk/Reward Ratio = 3.89
EURO Future JUN18 (CME)Trading Signal
Long Position (EP) : 1.23820
Stop Loss (SL) : 1.23725
Take Profit (TP) : 1.24205
Description
E61! formed Double Repo Buy at 30m time frame. Trade setup with buy limit at 0.382 level (1.23820) and place stop loss at 0.618 level (1.23725). Once the position was hit, place take profit before an agreement (1.24205)
Money Management
Money in portfolio : $73,000
Risk Management (0.5%) : $365
Position Sizing
0.00005 = +-US$6.25
Commission fee = -$2.47/contract
EP to SL = 0.00095 = -$118.75/contract
Contract size to open = 3 contracts
EP to TP = 0.00385 = +$481.25
Expected Result
Commission fee = -$14.82
Loss = -$356.25
Gain = +$1,443.75
Risk/Reward Ratio = 3.89
Euro (EURUSD) Index Futures Trade on Daily Using VL and RLI am new to TradingView and I don't have my indicators here yet. The chart is fairly easy to read using non-traditional SR levels based on price rejections and volume.
Euro (EURUSD) Index Futures Trade on Daily Using VL and RL Target is somewhat far a way. I will update as needed. Enjoy.
EURO Future JUN18 (CME)Trading Signal
Short Position (EP) : 1.24395
Stop Loss (SL) : 1.24465
Take Profit (TP) : 1.24140, 1.23985
Description
E61! formed Double Repo Sell at 30m time frame. Trade setup with sell limit at 0.382 level (1.24395) and place stop loss at 0.618 level (1.24465). Once the position was hit, place take profit before an agreement (1.24140) and 1.23985
Money Management
Money in portfolio : $73,000
Risk Management (0.5%) : $365
Position Sizing
0.00005 = +-US$6.25
Commission fee = -$2.47/contract
EP to SL = 0.00070 = -$87.50/contract
Contract size to open = 4 contracts
EP to TP#1 = 0.00255 = +$318.75
EP to TP#2 = 0.00410 = +$512.50
Expected Result
Commission fee = -$19.76
Loss = -$350
Gain#1 = +$637.50
Gain#2 = +$1,025.00
Total Gain = +$1,662.50
Risk/Reward Ratio = 4.50
EURO Future JUN18 (CME)Trading Signal
Short Position (EP) : 1.24395
Stop Loss (SL) : 1.24465
Take Profit (TP) : 1.24140, 1.23985
Description
E61! formed Double Repo Sell at 30m time frame. Trade setup with sell limit at 0.382 level (1.24395) and place stop loss at 0.618 level (1.24465). Once the position was hit, place take profit before an agreement (1.24140) and 1.23985
Money Management
Money in portfolio : $73,000
Risk Management (0.5%) : $365
Position Sizing
0.00005 = +-US$6.25
Commission fee = -$2.47/contract
EP to SL = 0.00070 = -$87.50/contract
Contract size to open = 4 contracts
EP to TP#1 = 0.00255 = +$318.75
EP to TP#2 = 0.00410 = +$512.50
Expected Result
Commission fee = -$19.76
Loss = -$350
Gain#1 = +$637.50
Gain#2 = +$1,025.00
Total Gain = +$1,662.50
Risk/Reward Ratio = 4.50
EURO Future JUN18 (CME)Trading Signal
Short Position (EP) : 1.23780
Stop Loss (SL) : 1.23835
Take Profit (TP) : 1.23650, 1.23490
Description
E61! formed Double Repo Sell at 30m time frame. Trade setup with sell limit at 0.382 level (1.23780) and place stop loss at 0.618 level (1.23835). Once the position was hit, place take profit before an agreement (1.23650) and 1.23490
Money Management
Money in portfolio : $73,000
Risk Management (0.5%) : $365
Position Sizing
0.00005 = +-US$6.25
Commission fee = -$2.47/contract
EP to SL = 0.00055 = -$68.75/contract
Contract size to open = 5 contracts
EP to TP#1 = 0.00130 = +$162.5
EP to TP#2 = 0.00290 = +$362.5
Expected Result
Commission fee = -$4.94
Loss = -$343.75
Gain#1 = +$487.5
Gain#2 = +$725
Total Gain = +$1,212.5
Risk/Reward Ratio = 3.29
EURO Future JUN18 (CME)Trading Signal
Short Position (EP) : 1.23775
Stop Loss (SL) : 1.23835
Take Profit (TP) : 1.23645, 1.23485
Description
E61! formed Double Repo Sell at 1h time frame. Trade setup with sell limit at 0.382 level (1.23775) and place stop loss at 0.618 level (1.23835). Once the position was hit, place take profit before an agreement (1.23645) and 1.23485
Money Management
Money in portfolio : $73,000
Risk Management (0.5%) : $365
Position Sizing
0.00005 = +-US$6.25
Commission fee = -$2.47/contract
EP to SL = 0.00130 = -$162.5/contract
Contract size to open = 5 contracts
EP to TP#1 = 0.00130 = +$162.5
EP to TP#2 = 0.00290 = +$362.5
Expected Result
Commission fee = -$24.7
Loss = -$375
Gain#1 = +$487.5
Gain#2 = +$725
Total Gain = +$1,212.5
Risk/Reward Ratio = 3.03
EURO Future JUN18 (CME)Trading Signal
Short Position (EP) : 1.23340
Stop Loss (SL) : 1.23415
Take Profit (TP) : 1.23055
Description
E61! formed Double Repo Sell at 30m time frame. Trade setup with sell limit at 0.382 level of FR (1.23340) and place stop loss at 0.618 level of FR (1.23415). Once the position was hit, place take profit before an agreement (1.23055 )
Money Management
Money in portfolio : $73,000
Risk Management (0.5%) : $365
Position Sizing
0.00005 = +-US$6.25
Commission fee = -$2.47/contract
EP to SL = 0.00075 = -$93.75/contract
Contract size to open = 4 contracts
EP to TP = 0.00285 = +$356.25
Expected Result
Commission fee = -$19.76
Loss = -$375
Gain = +$1,425
Risk/Reward Ratio = 3.61
EURO Future JUN18 (CME)Trading Signal
Short Position (EP) : 1.23375
Stop Loss (SL) : 1.23440
Take Profit (TP) : 1.23230, 1.23060
Description
E61! formed Double Repo Sell at 30m time frame. Trade setup with sell limit at 0.382 level of FR (1.23375) and place stop loss at 0.618 level of FR (1.23440). Once the position was hit, place take profit before an agreement (1.23230) and 1.23060
Money Management
Money in portfolio : $73,000
Risk Management (0.5%) : $365
Position Sizing
0.00005 = +-US$6.25
Commission fee = -$2.47/contract
EP to SL = 0.00065 = -$81.25/contract
Contract size to open = 4 contracts
EP to TP#1 = 0.00145 = +$181.25
EP to TP#2 = 0.00315 = +$393.75
Expected Result
Commission fee = -$19.76
Loss = -$325
Gain#1 = +$362.5
Gain#2 = +$787.5
Total Gain = +$1,150
Risk/Reward Ratio = 3.34
Will fiber change the trend ?After pull back happen to daily trendline on Friday the EURO seem hoping for more raise can EURO raise to 0.50 fibo level or will back crashed harder on pickup time, cause on that new high it will need a new little bit deep low to be balance
EURO Future JUN18 (CME)Trading Signal
Long Position (EP) : 1.22980
Stop Loss (SL) : 1.22920
Take Profit (TP) : 1.23125, 1.23290
Description
E61! formed Double Repo Buy at 30h time frame. Trade setup with buy limit at 0.618 level of FR (1.22980) and place stop loss at 0.382 level of FR (1.22920). Once the position was hit, place take profit before an agreement (1.23125) and 1.23290
Money Management
Money in portfolio : $73,000
Risk Management (0.5%) : $365
Position Sizing
0.00005 = +-US$6.25
Commission fee = -$2.47/contract
EP to SL = 0.00060 = -$75/contract
Contract size to open = 5 contracts
EP to TP#1 = 0.00145 = +$181.25
EP to TP#2 = 0.00310 = +$387.50
Expected Result
Commission fee = -$24.7
Loss = -$375
Gain#1 = +$543.75
Gain#2 = +$775
Total Gain = +$1,318.75
Risk/Reward Ratio = 3.30