Guys, welcome back!
This thread will be dedicated to posting my live trades on EU/GU/EJ/GJ and US stocks.
Previously I ran a thread at FF called High Velocity Trading.
Now I'm back bigger better and hopefully can pass on some experience here.
Quick recap: got over 10 years exp in FX, 4 years trading US equities, OTM options and spreads.
On FX I prefer trade setups, which last 1-5 weeks, however I may take on intra-week positions.
Managing a 7 figure account currently, targeting 80% + returns pa with limited risk.
Not all my trades are suitable for everyone, as I tend to have high exposure on FX.
On equities I run balanced portfolios hedged with put options.
Feedback, comments, feel free to post.
Here's the first trade, which is pending/coming up this week.
I look to get in LONG EU @ 3680-3720 zone, just above powerful demand zone.
The trade setup: LONG EU @ 3680-3720 SL 60 TP1 3980 TP2 4060.
This trade will have a total duration on 3-5 weeks, so this is not a day trade!
Backing for the trade: Daily chart see below. Euro is entering a strong period for the year (March-April). US NFP report on Friday will produce
meagre numbers, due to seasonal effects (winter freeze, storms, etc).
I prefer to enter the below trade sometime this week (Wed-Thu), for the trade will keep an eye on dollar index, S&P and Nasdaq, as US stock indexes can tell the direction for EU.
This thread will be dedicated to posting my live trades on EU/GU/EJ/GJ and US stocks.
Previously I ran a thread at FF called High Velocity Trading.
Now I'm back bigger better and hopefully can pass on some experience here.
Quick recap: got over 10 years exp in FX, 4 years trading US equities, OTM options and spreads.
On FX I prefer trade setups, which last 1-5 weeks, however I may take on intra-week positions.
Managing a 7 figure account currently, targeting 80% + returns pa with limited risk.
Not all my trades are suitable for everyone, as I tend to have high exposure on FX.
On equities I run balanced portfolios hedged with put options.
Feedback, comments, feel free to post.
Here's the first trade, which is pending/coming up this week.
I look to get in LONG EU @ 3680-3720 zone, just above powerful demand zone.
The trade setup: LONG EU @ 3680-3720 SL 60 TP1 3980 TP2 4060.
This trade will have a total duration on 3-5 weeks, so this is not a day trade!
Backing for the trade: Daily chart see below. Euro is entering a strong period for the year (March-April). US NFP report on Friday will produce
meagre numbers, due to seasonal effects (winter freeze, storms, etc).
I prefer to enter the below trade sometime this week (Wed-Thu), for the trade will keep an eye on dollar index, S&P and Nasdaq, as US stock indexes can tell the direction for EU.