Short term trade... few weeks at most.
5% of NAV... target of $10.00 maybe even $8.00. We take what we can get.
Hedging/spreading with a 50% short on MSFT (short 118.70) and 40% short on WFC (short 49.12) , which I see as relatively overvalued. Banks in general are likely to be the weakest sector. Microsoft isn't fundamentally weak but is relatively overvalued (on a 1-3 week basis) Total position size (short side 5% each stock and long side is 10%) is 20% of NAV. But...
I had an awesome description but it was deleted. Anyway, check the chart. Check the fundamentals. Don't listen to the heard. FX:AUDUSD
Risk of 0.25% on each. Expected trade duration: 4-48 hours
Keeping stop losses below 1.0350, I believe this trade will make profit. Risk of 0.5% on each entry. Expected trade duration: 2-8 days.
Stop and target on the chart. Multiple entries in play, if we spike towards 70 handle I will add. Risk of 1% on each entry.
In addition to my core position, attempting a tight stop loss trade here I have entries below 50 but my priority is not to post everything here immediately. Risk of 0.5%
Target and stop on the chart. Risk is 0.25%
Position size: 10% of portfolio Entry: 173.62 It is difficult to get the chart posted exactly when I take my entry. I do a lot of day trading on apple but TradingView is not ideal for sharing quick trades, so I will mostly post swing trades here.
Entry and exit on the chart as usual. Risk of 2% on this trade.
Stop and target on the chart. Risk of 1% on this very short term trade. Core position still in nearly 20% drawdown (on 10% of portfolio that means I'm floating 2% unrealized losses)
Stop and target on the chart. Risk of 1% and in addition I have a core oil position. 10% of portfolio long oil at $52.18 5% of portfolio long oil at $50.50
Entry and exit is on the chart. Risking 1%. I still have my core position open from $4152 This is a very short term technical trade.
Position size: 10% of portfolio (USD), increasing to 15% if we touch $50.50 Entry price: $52.18 Stop price: trim to 10% portfolio under $49.00, trim to 5% portfolio under $47.00 Target: $55.50 and $58.50 Trade type: Relative short term bullish value detected, long side trade Leverage: -10 Predicted trade duration 2-8 days Oil has been on a historical bear...
Position size: 10% of portfolio Entry price: $4152 Target : 4480 and 4780 Trade type: Relative short term bullish value detected, long side trade Leverage: -10 Predicted trade duration 2-8 days A long position from $4200 should provide an opportunity for profit up to the $4500-4800 zone. Do not let people fool you. The true cost of mining Bitcoin is...