Berkshire Hathaway, an investment company is not investing. What is the signal? Why are they hoarding cash? • Not much good investment opportunity ahead • Preparing for tougher time E-mini S&P 500 Futures & Options Ticker: ES Minimum fluctuation: 0.25 index points = $12.50 Micro E-mini S&P 500 Futures & Options Ticker: MES Minimum fluctuation: 0.25 index...
The March CPI was reported at 3.5%, higher than expected on April 10. This development triggered a sharp decline in the stock market, with a total drop of 8.5% from the recent high. Could this downward movement signal the onset of a major bear market, or is this sell-off simply a retracement, setting the stage for the bull market to resume? We will explore this...
10 minute lesson idea about using sizing for risk management and identifying high probability turning points in the stock indices and treasuries.
Beautiful setup today and was able to catch a nice price swing. Here was once again my thinking for today and my reasoning for entry: Factors for trade: Big London/Asian Session or Afterhours-Premarket run up. Swept liquidity(high of day, premarket high) bearish news
Looking back now, it was really stupid for me to trade today it was practically gambling money I just happenned to be on the winning side. My afternoon trade was good but my morning trade not so much. Regardless we move forward and learn. This might be one of my last vids in a while because I may be
Pretty good day today some nice setups formed today and I made good use of them.
Sorry this one was a little rushed but I knew if I didn't do it today I wouldn't do it at all. Took some nice setups and some nice re-entries but nothing too crazy. Still dabbling in futures but made 800$ from 2000$
Took some nice liquidity sweeps long and then they paid out pretty nice. They seem to be working very well, just something to note.
Just a quick recap of what the market did and my thought process behind trades that I took.
Just a quick trade map of where I think the opportunities might be on the current 4-hour configuration. Looking to get short in the 4075 area with a main target front running the balance area
The stock indices all broke below the prior sessions lows to make new lows for the week. But I noticed a few signs that made me pick up some micros long (MES, MNQ, KYM, M2K) right before the 5pm EST close. Long MES 4385 Long M2K 2152 Long MYM 34822 Long MNQ 14827 $150 risk per position
A 1 min video just to show the difference (or similarity) between the MNQ and MES using the same exact day/time, timeframe, and indicators.