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Traditional|MGNT|LongLong MGNT Activation of the transaction only when the blue zone is fixed/broken. The idea is to work out the resistance level . * Possible closing of a trade before reaching the take/stop zone. The author can close the deal for subjective reasons, this does not completely cancel the idea and is not a call to the same action, you can continue working out the idea according to your data, but without the support of the author. + Maybe right now we will go even lower, then it's okay, the idea is not activated and simply canceled. The "forecast" tool is used for more noticeable display of % (for the place of the usual % scale) of the price change, I do not put the date and time of the transaction, only %. Blue zones - activation zones. Green zones - take zones. The red zone - stop zone. Working out the stop when the price returns to the level after activation + fixing in the red zone. Orange arrow - the direction of take. Blue arrow - neutral scenario without activating the trade. The red arrow - the direction of the stop. SUM PNL: This parameter displays the total % of all closed ideas of the "new" format (according to the author) for this sector at the time of publication of the idea. The calculation is very "clumsy" just the sum of the profits of all the ideas, based on this indicator, you can more accurately assess the risks when working with my ideas of this sector. I present you the construction of the idea, you can use it yourself as you like based on your subjective view and risks, the calculation of the PNL indicator is carried out only on transactions that the author closed on TV in manual mode or by take. P.S Please use RM (risk management) and MM (money management) if you decide to use my ideas, there will always be unprofitable ideas, this will definitely happen, the goal of the system is that there will be more profitable ideas at a distance.
RUS:MGNTLong
by Henry_Ross
Updated
44
bullish buygoing up
RUS:HYDRLong
by Soufian_toutouh
bullish buy force
RUS:VTBRLong
by Soufian_toutouh
Traditional|MTSS|Long and shortLong and short MTSS Activation of the transaction only when the blue zone is fixed/broken. The author recommends the use of anchoring fixed the blue zone, this variation is less risky. If there is increased volatility in the market and the price is held for more than 2-3 minutes behind the activation zone after the breakdown, then the activation of the idea occurs at the prices behind the activation zone. Working out the support and resistance levels of the consolidation zone. * Possible closing of a trade before reaching the take/stop zone. The author can close the deal for subjective reasons, this does not completely cancel the idea and is not a call to the same action, you can continue working out the idea according to your data, but without the support of the author. The "forecast" tool is used for more noticeable display of % (for the place of the usual % scale) of the price change, I do not put the date and time of the transaction, only %. The breakdown of the upper blue zone - long. Breakdown of the lower blue zone - short. Working out the stop when the price returns to the level after activation + fixing in the red zone. Blue zones - activation zones. Green zone - take zone. Red zone - stop zone. Orange arrows indicate the direction of the take. Red arrows indicate the direction of the stop. Priority - The value of the priority parameter implies the author's subjective opinion about the more likely activation zone on this idea, this does not mean that this idea will be 80% activated by this parameter, the purpose of the parameter is to provide for the risk of the inverse of the zone parameter. Example: "Priority Long: So the author inclines more in the direction of the activation zone open long trades, in this case, when reaching the activation zone in short you should be very careful, because this area may be highly likely to be punched about the breakdown/do not get to take/activate transaction from go to stop." Please consider this parameter if you use my ideas. SUM PNL: This parameter displays the total % of all closed ideas of the "new" format (according to the author) for this sector at the time of publication of the idea. The calculation is very "clumsy" just the sum of the profits of all the ideas, based on this indicator, you can more accurately assess the risks when working with my ideas of this sector. I present you the construction of the idea, you can use it yourself as you like based on your subjective view and risks, the calculation of the PNL indicator is carried out only on transactions that the author closed on TV in manual mode or by take. P.S Please use RM (risk management) and MM (money management) if you decide to use my ideas, there will always be unprofitable ideas, this will definitely happen, the goal of the system is that there will be more profitable ideas at a distance.
RUS:MTSS
by Henry_Ross
Updated
22
Public Joint Stock Company "Tatneft" named after V. D. Shashin.Tatneft Disclaimer/ On average, 90% of all stocks move down with the market, and 75% move up. The wave principle applies to some extent to individual stocks, but counting waves for them is often confusing and does not have much practical significance. But since 34% of the shares are owned by the state and the company has a large capitalization, we assume that the state of shares depends on mass psychology./ Assets(not all) Proven oil reserves for June 2020 amounted to 998.3 million tons. Tatneft owns a network of x>800 gas stations operating in various regions of Russia and neighboring countries. Among other things, Tatneft is the founder and, through its affiliated structures, the largest shareholder of Zenit Bank. Shareholders 1) 34% - Republic of Tatarstan 2) 23% - ADR program 3) 3% - Treasury group 4) 40% - other shareholders
RUS:TATNLong
by loco_mango
Updated
OZON HLDGS PLCOZON HLDGS PLC Disclaimer/ On average, 90% of all stocks move down with the market, and 75% - up. The wave principle applies to some extent to individual stocks, but counting waves for them is often confusing and has little practical significance. But since the company has a large capitalization, we assume that the state of the shares depends on the psychology of the masses. With time in the distant future, not everything is clear. Due to the fact that the shares were placed recently, we are afraid of falling below the placement price (This trend can be seen in some companies)./ In November 2020, Ozon went public on the Nasdaq exchange in an IPO, which resulted in the company being valued at $ 6.2 billion. >9,000,000-SKUs for 24 product categories >30 000 000 orders per year >18,000-active sellers on the Ozon Marketplace
RUS:OZON
by loco_mango
Updated
11
PJSC "Norilsk Nickel"PJSC "Norilsk Nickel" Disclaimer/ On average, 90% of all stocks move down with the market, and 75% move up. The wave principle applies to some extent to individual stocks, but counting waves for them is often confusing and does not have much practical significance. But since the company has a large capitalization, we assume that the state of shares depends on mass psychology./ Norilsk Nickel shares in indices Norilsk Nickel shares are included in the following indices of the Moscow Exchange: - MICEX 10 - The index of wide market MICEXBMI - MICEX Index - MICEX Industry Index - The MSCI Russia index - MSCI Emerging Market Index MMC "Norilsk Nickel" — the largest in Russia Russia and one of the world's largest companies for the production of precious and non-ferrous metals. Its share (of the world) accounts for: - 40% palladium (first place in the world in terms of production), - 12% nickel (second place in the world in terms of production in 2016), - 11% platinum, - 5 % cobalt (cobalt concentrate), - 2 % copper. In the domestic market, MMC Norilsk Nickel accounts for: - 100 % platinum, - 96 % nickel, - 95 % cobalt, - 55 % copper. Company's share of GDP The share of the Russian Federation is 1.9% . The company's share in the volume of metallurgical production is 9.8%. The company's share in industrial production is 2.8% or 27.9% of the share of non-ferrous metallurgy. The company's proven copper and nickel reserves at the Taimyr deposits were (as of December 31, 2004): - 8.8 million tons of copper, - 5.2 million tons of nickel, - 1994 tons of palladium, - 512 tons of platinum.
RUS:GMKN
by loco_mango
Updated
11
MAIL.RU GROUP LIMITEDMAIL.RU GROUP LIMITED Disclaimer/ On average, 90% of all stocks move down with the market, and 75% - up. The wave principle applies to some extent to individual stocks, but counting waves for them is often confusing and has little practical significance. But since the company has a large capitalization, we assume that the state of the shares depends on the psychology of the masses. With time in the distant future, not everything is clear. Due to the fact that the shares were placed recently, we are afraid of falling below the placement price (This trend can be seen in some companies)./ In Russia, the company is registered as Mail'ru LLC, which through Mail.ru Group is 99.99% owned by (MGL Mail.ru Group Equity Limited, Cyprus), which in turn is owned by the company (Mail Cooperatief U. A., the Netherlands). The latter belongs to the company "Mail.ru Group Limited" (registered in the Virgin Islands, the main office is located in Limassol, Cyprus). As of May 2020, the main shareholders Mail.ru Group Limited are the South African media holding Naspers, which owns 27.6 % of the shares through MIH Mail Investment Company B. V.; PJSC Sberbank, which owns 36.4 % of the shares of JSC MF-Technologies, PJSC MegaFon, which owns 7.3 % of the company; and Chinese telecommunications company Tencent with 7.4 % of the capital. The remaining 49.8% of the shares are held by minority shareholders-holders of global depositary receipts. As part of the IPO, the company conducted an option program for employees. In 2010 Mail.ru The Group listed its shares on the London Stock Exchange, where they are traded under the ticker MAIL. Then the total volume of placement was $912 million. Also 2 July 2020 depositary receipts Mail.ru Group is listed on the Moscow Exchange Assets Mail.ru Group Asset Share Mail.ru Group Type of activity Mail.ru 100 % Online portal VK is 100% a Social network Classmates 100% of the Social network My World 100 % Social Network One.lv 100 % Latvian Social network One. lt (lit.) 100 % Lithuanian social network Nasza Klasa 70 % of the Polish social network ICQ 100 % Instant Messaging Service TamTam 100 % Messenger B2B 15 % B2B Online Bidding System b2b-center.ru Free-lance 15 % Service for finding freelance work Internest 20 % Developer of an online advertising display system adviser.ru, soloway.ru Liveinternet 30 % System-online statistics and blog service li.ru Nival Networks 13 % Online Game Developer Sape 27% the market Finance.ua 25 % Business Portal Meta 25.5 % Portal meta. ua Nadavi 25 % Product price comparison service nadavi.ua Nezabarom 25 % Travel portal nezabarom.ua AdRiver 20 % AdRiver Advertising Network Management company Mamba.ru 31.19 % Dating service Qiwi 1.31 % Electronic Payment System Delivery Club 100 % Aggregator of food delivery services ZakaZaka 100 % Digital Goods Store GeekBrains 51 % Training portal for programmers Skillbox of 60.33 % Educational portal Pandao 100 % Service for buying goods from China Tarantool 100 % the database management System Tarantool IIoT 100 % Platform for the Internet of Things DonationAlerts 100 % Platform for donations BOOM 100 % Audio streaming service for VKontakte and Odnoklassniki Citymobil 26 % Taxi Aggregator Develop it. (Russian Federation) 45 % Aggregator of financial instruments for business (joint venture with VEB.RF Corporation)
RUS:VKCOLong
by loco_mango
Updated
Gazprom - the Near future.Gazprom Disclaimer/ On average, 90% of all stocks move down with the market, and 75% move up. The wave principle applies to some extent to individual stocks, but counting waves for them is often confusing and does not have much practical significance. But since 50 % of the shares are owned by the state and the company has a large capitalization, we assume that the state of Gazprom's shares depends on mass psychology./ As of 2019, with sales of more than US $ 120 billion, it is the largest publicly traded gas company in the world and the largest company in Russia by revenue. The company also has subsidiaries in the industrial sectors, including finance, media, and aviation, as well as a majority stake in other companies. It provided 97 percent of Bulgaria's gas, 89 percent of Hungary's gas, 86 percent of Poland's gas, almost 75 percent of the Czech Republic's gas, 67 percent of Turkey's gas, 65 percent of Austria's gas, about 40 percent of Romania's gas, 36 percent of Germany's gas, 27 percent of Italy's gas, and 25 percent of France's gas. The European Union receives about 25% of its gas from Gazprom. Other natural gas producers, such as Novatek, Russia's second-largest gas company, is forced to use Gazprom's capacity to process and transport natural gas. Until the end of 2013, Gazprom had a monopoly on the export of any gas from Russia. After December 2013, it retained a monopoly on the export of pipeline gas. Gazprom is listed on the stock markets Moscow, London, Karachi, Berlin, Frankfurt and Singapore. This is the top component of the MICEX and RTS indices.
RUS:GAZPLong
by loco_mango
Updated
PJSC-"Federal Hydrogenerating Company-RusHydro"PJSC-"Federal Hydrogenerating Company-RusHydro" Disclaimer/ On average, 90% of all stocks move down with the market, and 75% move up. The wave principle applies to some extent to individual stocks, but counting waves for them is often confusing and does not have much practical significance. But since 50 % of the shares are owned by the state (represented by the Federal Agency for State Property Management (61.2 %)) and the company has a large capitalization, we assume that the state of RusHydro shares depends on mass psychology. With time in the distant future, not everything is clear./ Owners and management The authorized capital as of 31.12.2019 is divided into 433,288,905,849 ordinary shares with a par value of 1 ruble. The largest shareholders are the Russian Federation represented by the Federal Agency for State Property Management (61.2 %), VTB Bank (13.1%), Avitrans LLC (5.9%). To date, the hydro potential of Russia is clearly insufficiently developed — by about 19-20%. For comparison: in Germany, this figure reaches 95%, in France and Italy-95%, in the UK-90%, Japan-84%, the United States-82%. The degree of development of hydro potential also varies in different regions of Russia: in the European part of the country it reaches 40%, in Siberia-23%, in the Far East — does not exceed 6%. Tax payments Tax payments to budgets of different levels are growing from year to year: from 49 billion rubles in 2015 to 82 billion rubles in 2019. According to the plan, the amount of tax deductions in 2020 is more than 93 billion rubles. Dividends Change in the dividend policy RUB 77.7 billion paid to the company's shareholders in 2015-2019 Of these, more than 47 billion rubles were allocated to the budget of the Russian Federation.
RUS:HYDRLong
by loco_mango
Updated
LUKOILLUKOIL is one of the largest oil and gas companies in the world, accounting for about 2% of global oil production and about 1% of proven hydrocarbon reserves. Aviabunkerovka-reached 30% market share of the Russian Federation. Ship bunkering-Reached 30% market share of the Russian Federation. >30 countries. ▪ 16 billion boe of proven reserves. ▪ 2.2 million boe/day of production. ▪ 1.4 million boe / day of oil refining. ▪ 39 billion boe of reserves and resources.
RUS:LKOH
by loco_mango
Updated
NOVATEKNOVATEK is the largest independent producer of natural gas in Russia. The company is engaged in the exploration, production, processing, and sale of natural gas and liquid hydrocarbons.
RUS:NVTK
by loco_mango
Updated
Diamonds-Alrosa 1)Leader in diamond production 27% market share in global diamond mining 2)Shareholder Structure 33%-Republic of Yakutia 34%-Free float 33%-Russian Federation On average, 90% of all stocks move down with the market, and 75% move up. The wave principle applies to some extent to individual stocks, but counting waves for them is often confusing and does not have much practical significance. But since 33(66)% of the shares are owned by the state and the company has large capitalization, we assume that the state of Alrosa shares depends on mass psychology(Also ALRS - 1,90% of RTSI).
RUS:ALRS
by loco_mango
Updated
PJSC "Rosneft"PJSC "Rosneft" Disclaimer/ On average, 90% of all stocks move down with the market, and 75% move up. The wave principle applies to some extent to individual stocks, but counting the waves for them is often confusing and does not have much practical significance. But since the state owns a large part of the company, and the campaign has a large capitalization, we assume that the state of the shares depends on the psychology of the masses./ Rosneft is a Russian oil and gas company, the majority of which is owned by the state-owned Rosneftegaz JSC. The world's largest oil producer. Composition of shareholders: As of May 21, 2020, Rosneftegaz - 40.4% of shares British BP-19.75 % Swiss-Qatari consortium QH Oil Investments-18.93 % National Settlement Depository-10.66 % OOO "RN-Netcatalyst» 9,6 %.(I do not sure about this translation)
RUS:ROSNLong
by loco_mango
be carefulloops be carefull
RUS:GAZP
by EASYMONEYY
Traditional|PHOR|Long and shortLong and short PHOR Activation of the transaction only when the blue zone is fixed/broken. Working out the support and resistance levels of the consolidation zone. * Possible closing of a trade before reaching the take/stop zone. The author can close the deal for subjective reasons, this does not completely cancel the idea and is not a call to the same action, you can continue working out the idea according to your data, but without the support of the author. The "forecast" tool is used for more noticeable display of % (for the place of the usual % scale) of the price change, I do not put the date and time of the transaction, only %. The breakdown of the upper blue zone - long. Breakdown of the lower blue zone - short. Working out the stop when the price returns to the level after activation + fixing in the red zone. Blue zones - activation zones. Green zone - take zone. Red zone - stop zone. Orange arrows indicate the direction of the take. Red arrows indicate the direction of the stop. Priority - The value of the priority parameter implies the author's subjective opinion about the more likely activation zone on this idea, this does not mean that this idea will be 80% activated by this parameter, the purpose of the parameter is to provide for the risk of the inverse of the zone parameter. Example: "Priority Long: So the author inclines more in the direction of the activation zone open long trades, in this case, when reaching the activation zone in short you should be very careful, because this area may be highly likely to be punched about the breakdown/do not get to take/activate transaction from go to stop." Please consider this parameter if you use my ideas. SUM PNL: This parameter displays the total % of all closed ideas of the "new" format (according to the author) for this sector at the time of publication of the idea. The calculation is very "clumsy" just the sum of the profits of all the ideas, based on this indicator, you can more accurately assess the risks when working with my ideas of this sector. I present you the construction of the idea, you can use it yourself as you like based on your subjective view and risks, the calculation of the PNL indicator is carried out only on transactions that the author closed on TV in manual mode or by take. P.S Please use RM (risk management) and MM (money management) if you decide to use my ideas, there will always be unprofitable ideas, this will definitely happen, the goal of the system is that there will be more profitable ideas at a distance.
RUS:PHOR
by Henry_Ross
Updated
33
Traditional|PLZL|Long and shortLong and short PLZL Activation of the transaction only when the blue zone is fixed/broken. Working out the support and resistance levels of the consolidation zone. * Possible closing of a trade before reaching the take/stop zone. The author can close the deal for subjective reasons, this does not completely cancel the idea and is not a call to the same action, you can continue working out the idea according to your data, but without the support of the author. The "forecast" tool is used for more noticeable display of % (for the place of the usual % scale) of the price change, I do not put the date and time of the transaction, only %. The breakdown of the upper blue zone - long. Breakdown of the lower blue zone - short. Working out the stop when the price returns to the level after activation + fixing in the red zone. Blue zones - activation zones. Green zone - take zone. Red zone - stop zone. Orange arrows indicate the direction of the take. Red arrows indicate the direction of the stop. Priority - The value of the priority parameter implies the author's subjective opinion about the more likely activation zone on this idea, this does not mean that this idea will be 80% activated by this parameter, the purpose of the parameter is to provide for the risk of the inverse of the zone parameter. Example: "Priority Long: So the author inclines more in the direction of the activation zone open long trades, in this case, when reaching the activation zone in short you should be very careful, because this area may be highly likely to be punched about the breakdown/do not get to take/activate transaction from go to stop." Please consider this parameter if you use my ideas. SUM PNL: This parameter displays the total % of all closed ideas of the "new" format (according to the author) for this sector at the time of publication of the idea. The calculation is very "clumsy" just the sum of the profits of all the ideas, based on this indicator, you can more accurately assess the risks when working with my ideas of this sector. I present you the construction of the idea, you can use it yourself as you like based on your subjective view and risks, the calculation of the PNL indicator is carried out only on transactions that the author closed on TV in manual mode or by take. P.S Please use RM (risk management) and MM (money management) if you decide to use my ideas, there will always be unprofitable ideas, this will definitely happen, the goal of the system is that there will be more profitable ideas at a distance.
RUS:PLZL
by Henry_Ross
Updated
33
Traditional|QIWI|LongLong QIWI Activation of the transaction only when the blue zone is fixed/broken. The idea is to work out the resistance level . * Possible closing of a trade before reaching the take/stop zone. The author can close the deal for subjective reasons, this does not completely cancel the idea and is not a call to the same action, you can continue working out the idea according to your data, but without the support of the author. + Maybe right now we will go even lower, then it's okay, the idea is not activated and simply canceled. The "forecast" tool is used for more noticeable display of % (for the place of the usual % scale) of the price change, I do not put the date and time of the transaction, only %. Blue zones - activation zones. Green zones - take zones. The red zone - stop zone. Working out the stop when the price returns to the level after activation + fixing in the red zone. Orange arrow - the direction of take. Blue arrow - neutral scenario without activating the trade. The red arrow - the direction of the stop. SUM PNL: This parameter displays the total % of all closed ideas of the "new" format (according to the author) for this sector at the time of publication of the idea. The calculation is very "clumsy" just the sum of the profits of all the ideas, based on this indicator, you can more accurately assess the risks when working with my ideas of this sector. I present you the construction of the idea, you can use it yourself as you like based on your subjective view and risks, the calculation of the PNL indicator is carried out only on transactions that the author closed on TV in manual mode or by take. P.S Please use RM (risk management) and MM (money management) if you decide to use my ideas, there will always be unprofitable ideas, this will definitely happen, the goal of the system is that there will be more profitable ideas at a distance.
RUS:QIWILong
by Henry_Ross
Updated
66
Traditional|RUAL|LongLong RUAL Activation of the transaction only when the blue zone is fixed/broken. The idea is to work out the resistance level . * Possible closing of a trade before reaching the take/stop zone. The author can close the deal for subjective reasons, this does not completely cancel the idea and is not a call to the same action, you can continue working out the idea according to your data, but without the support of the author. + Maybe right now we will go even lower, then it's okay, the idea is not activated and simply canceled. The "forecast" tool is used for more noticeable display of % (for the place of the usual % scale) of the price change, I do not put the date and time of the transaction, only %. Blue zones - activation zones. Green zones - take zones. The red zone - stop zone. Working out the stop when the price returns to the level after activation + fixing in the red zone. Orange arrow - the direction of take. Blue arrow - neutral scenario without activating the trade. The red arrow - the direction of the stop. SUM PNL: This parameter displays the total % of all closed ideas of the "new" format (according to the author) for this sector at the time of publication of the idea. The calculation is very "clumsy" just the sum of the profits of all the ideas, based on this indicator, you can more accurately assess the risks when working with my ideas of this sector. I present you the construction of the idea, you can use it yourself as you like based on your subjective view and risks, the calculation of the PNL indicator is carried out only on transactions that the author closed on TV in manual mode or by take. P.S Please use RM (risk management) and MM (money management) if you decide to use my ideas, there will always be unprofitable ideas, this will definitely happen, the goal of the system is that there will be more profitable ideas at a distance.
RUS:RUALLong
by Henry_Ross
Updated
66
Traditional|SBER|Long and shortLong and short SBER Activation of the transaction only when the blue zone is fixed/broken. Working out the support and resistance levels of the consolidation zone. * Possible closing of a trade before reaching the take/stop zone. The author can close the deal for subjective reasons, this does not completely cancel the idea and is not a call to the same action, you can continue working out the idea according to your data, but without the support of the author. The "forecast" tool is used for more noticeable display of % (for the place of the usual % scale) of the price change, I do not put the date and time of the transaction, only %. The breakdown of the upper blue zone - long. Breakdown of the lower blue zone - short. Working out the stop when the price returns to the level after activation + fixing in the red zone. Blue zones - activation zones. Green zone - take zone. Red zone - stop zone **This idea does not provide for stop zones as such, local trend levels of support and resistance are used for the place of stop zones, in this case, the stop is worked out when the price is fixed behind these levels**. Orange arrows indicate the direction of the take. Red arrows indicate the direction of the stop. Priority - The value of the priority parameter implies the author's subjective opinion about the more likely activation zone on this idea, this does not mean that this idea will be 80% activated by this parameter, the purpose of the parameter is to provide for the risk of the inverse of the zone parameter. Example: "Priority Long: So the author inclines more in the direction of the activation zone open long trades, in this case, when reaching the activation zone in short you should be very careful, because this area may be highly likely to be punched about the breakdown/do not get to take/activate transaction from go to stop." Please consider this parameter if you use my ideas. SUM PNL: This parameter displays the total % of all closed ideas of the "new" format (according to the author) for this sector at the time of publication of the idea. The calculation is very "clumsy" just the sum of the profits of all the ideas, based on this indicator, you can more accurately assess the risks when working with my ideas of this sector. I present you the construction of the idea, you can use it yourself as you like based on your subjective view and risks, the calculation of the PNL indicator is carried out only on transactions that the author closed on TV in manual mode or by take. P.S Please use RM (risk management) and MM (money management) if you decide to use my ideas, there will always be unprofitable ideas, this will definitely happen, the goal of the system is that there will be more profitable ideas at a distance.
RUS:SBER
by Henry_Ross
Updated
44
Traditional|IRAO|LongLong IRAO Activation of the transaction only when the blue zone is fixed/broken. The idea is to work out the resistance level . * Possible closing of a trade before reaching the take/stop zone. The author can close the deal for subjective reasons, this does not completely cancel the idea and is not a call to the same action, you can continue working out the idea according to your data, but without the support of the author. + Maybe right now we will go even lower, then it's okay, the idea is not activated and simply canceled. The "forecast" tool is used for more noticeable display of % (for the place of the usual % scale) of the price change, I do not put the date and time of the transaction, only %. Blue zones - activation zones. Green zones - take zones. The red zone - stop zone. Working out the stop when the price returns to the level after activation + fixing in the red zone. Orange arrow - the direction of take. Blue arrow - neutral scenario without activating the trade. The red arrow - the direction of the stop. SUM PNL: This parameter displays the total % of all closed ideas of the "new" format (according to the author) for this sector at the time of publication of the idea. The calculation is very "clumsy" just the sum of the profits of all the ideas, based on this indicator, you can more accurately assess the risks when working with my ideas of this sector. I present you the construction of the idea, you can use it yourself as you like based on your subjective view and risks, the calculation of the PNL indicator is carried out only on transactions that the author closed on TV in manual mode or by take. P.S Please use RM (risk management) and MM (money management) if you decide to use my ideas, there will always be unprofitable ideas, this will definitely happen, the goal of the system is that there will be more profitable ideas at a distance.
RUS:IRAOLong
by Henry_Ross
Updated
44
Possible longWill look for longs in white area
FLong
by kiero
Updated
Traditional|FIVE|Long and shortLong FIVE Activation of the transaction only when the blue zone is fixed/broken. The idea is to working out the support and resistance levels of the consolidation triangle. *Possible closing of a trade before reaching the take/stop zone. The "forecast" tool is used for more noticeable display of % (for the place of the usual % scale) of the price change, I do not put the date and time of the transaction, only %. Blue zones - activation zones. Green zones - take zones. The red zone - the stop zone. Working out the stop when the price returns to the level after activation + fixing in the red zone, breaking the red zone as the support level of the triangle and the channel. Orange arrow - the direction of take. Blue arrow - neutral scenario without activating the trade. The red arrow - the direction of the stop.
F
by Henry_Ross
Updated
44
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…999999

Select market data provided by ICE Data services. Select reference data provided by FactSet. Copyright © 2025 FactSet Research Systems Inc.© 2025 TradingView, Inc.

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