ZaireMiller

Oct 16th, 2023- Oct 20th, 2023: EUR

ZaireMiller 업데이트됨   
FX:EURUSD   유로 / 미국 달러

I am looking to get short after the highest SIBI(D) is engaged this week.

Targeting the BISI(M). Next two targets are PWL and P2WL(delineated as (D) and (D))

코멘트:
Referencing my analysis on USD for confluence.^
코멘트:
Going to be looking for 1-2 opportunities/day Mon-Fri. If my model is clear, i will execute.

I want to see where SQ2/SQ3 engage with a 15m imbalance and reacts with a 2m block(RB/OB/BB).
액티브 트레이드:
코멘트:

Stops in profit after making it out alive by 1 pipette. Not a fan of the chop so im not willing to leave risk on through the crossover/news release
거래청산: 스탑 닿음:
Stop profit hit

+1pip
액티브 트레이드:
코멘트:

Stopped in profit
+1pip
코멘트:

Gone without me.
Ill start looking for short opportunities going into tmrw.
액티브 트레이드:
코멘트:

Stops in profit after 20+ pip run.

There is a SIBI(1h) that I want to see engaged around the SIBI C.E(D)
거래청산: 타겟 닿음:
매매 수동청산:


Was 0.13% away from phase 1, Popped this and passed
코멘트:
액티브 트레이드:
거래청산: 스탑 닿음:
코멘트:

Eyeing a reentry of this move between 07:50-08:30 EST
액티브 트레이드:

Fill time: 0815 EST
코멘트:
Rejection Block formed: 0830EST
코멘트:

+20pip Stop Profit Hit(1:2): 0845EST
코멘트:

Re-Entry Pending
코멘트:

Fill time: 0850-0910EST Macro
코멘트:
Reentry Rejection block formed: 0925EST
코멘트:
Expecting a sell off between 0930-1020EST
코멘트:

Shout out ChatGPT for helping me with my history homework

#WorkSmarter
코멘트:

Sell off: 0920-1030EST
코멘트:
Reentry +20pip Stop Profit: 1030EST
코멘트:

+3R on both entries by 1200EST

Done or the day

Stops in profit on both entries, hoping to see some decent distribution below my TP between 1:30-15:00
코멘트:
TP 4 Hit: 1215EST
코멘트:
12:50-13:10EST Macro + MSS to the upset triggered my manual close. +3R on both positions from the top.

London loss was mitigated + 3R secured.

Saw a high of 5.9% at tp4 and should've closed there, but the greed got to me.
Nonetheless, I was willing to risk 2% of the 5% going into lunch hour.

Going forward tp4 at the very least closes 90% of all positions.
액티브 트레이드:
코멘트:

Fill Time: 0250-0310EST

RB Confirmation: 0309EST
거래청산: 스탑 닿음:

15pip run, 5 pips shy of moving my stop in profit.

I might be calling the month there to be honest.

Will be back risking from Nov 13th- Nov 24th. Until then, ill be backtesting, and getting myself ready.
코멘트:

Last little chip at the market

TP at 12:00EST on the dot
코멘트:

Of course HankoTrade doesnt fill me. Im leaving them.
코멘트:

Caught the RB retest
코멘트:

Stops in profit at +40pips
코멘트:

+150pip TP

Monthly Q3 Swing
거래청산: 스탑 닿음:
액티브 트레이드:

Entered this while grocery shopping yesterday and forgot to journal when I got home, but the position is up 26 pip and im looking for 50 pips to complete my phase 2 profit target.

Since it is Friday, I am only managing this position. No more entries will be taken this month
코멘트:
Live Account TP, might carry over into next week. Ill go stops in profit at +33pips
코멘트:

Dollar is looking alright, lets see how i looks around 07:50EST
코멘트:

Any aggressive run against this will trigger a manual stop profit at +1pips
코멘트:

If the SIBI(15m) inverts I will move stops in profit
코멘트:
There is buyside liquidity above it but it's already been partially mitigated and any runs that high put the highs from yesterday at risk.
코멘트:

Expecting this between 0150-0230EST
코멘트:
Moving stops in profit +1 pip on the entry under management from yesterdays high
코멘트:

Sellside purge @ 0150EST.

Not ideal.
코멘트:
Shorts arent favorable anymore and im not willing to risk the buy.
코멘트:
Just going to let the entry from yesterday run without adding to it. If it gives me 50 pips, then I pass phase 2.

If it doesnt, then I get to shoot again next month.

Additional risk is just not worth it. Similar price action took place yesterday, but kept buying for majority of the day and thats not something im willing to risk happening again with risk on
코멘트:

Promising...
코멘트:
Asia Low purged at 0217EST
코멘트:

+3R
코멘트:

Lets see if they will make me regret not taking the 3R lol
코멘트:
No buyside delivery by 0230.

Opens up room for a retracement internal range if the 0130EST high isnt enough.

Ive seen 0130 make session/daily highs in the past and Im not looking for a complete daily range to form.
It's friday so im only looking for 30 pip deviation from true session open, which is in line with my target
코멘트:

Looking for this to fail.

Stops are 15 pips in profit
I will just have to accept that this month isnt the month to push for phase 2 if it is ran.
코멘트:
0250-0310 Macro will likely set the tone for the trade
코멘트:

0248 gave the buy entry

0250-0310 began the run on buyside. Disrespecting the liquidity void and breaker block. Q2 high is def on the hit list, but Q3 must given a fair chance at getting us back into seller's territory
코멘트:

It tried to get back short, but bullishness was held.

At this point its either my stop profit at 15 pips or it turns around before then(very wishful thinking, but possible)
코멘트:
0320-0400 should pick a side
코멘트:
I swear the markets wait until you are close to targets to fall into the nastiest chops lol I cant imagine dealing with this without a deep relationship with my model established beforehand
코멘트:

This 5m BISI is the last PDA that stands n my way
코멘트:
If the swing is confirmed ill close manually. Trading should not be like this.
코멘트:
Swing low invalidated, new swing high created
코멘트:
0350-0410 should pick a side
코멘트:

Another positive reaction to the 5m BISI+1H RB

My guess is it goes bullish from here. Havent decided where I will close yet
코멘트:
The equal lows give hope for a return to sellside
코멘트:
I am closing the charts now.

+15pips
or
+50pips

By EOD.
거래청산: 스탑 닿음
액티브 트레이드:
코멘트:
Last trade of the month

Holding over the weekend
코멘트:
Will start my weekly breakdown after it closes.
거래청산: 스탑 닿음
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