This strategy is based on a MINIMUM 1/2 risk / reward ratio and the stop is shortly moved to breakeven. I need 4/10 winning trades to be really enough profitable, don't be surprised to see many losses (a lot of them are stop 0). Short term plays. This is the way I trade, not an invitation to do the same.
I play the fack out. Let's see. This strategy is based on a MINIMUM 1/2 risk / reward ratio and the stop is shortly moved to breakeven. I need 4/10 winning trades to be really enough profitable, don't be surprised to see many losses (a lot of them are stop 0). Short term plays. This is the way I trade, not an invitation to do the same.
Pretty good trend there, let's play the last impulse before a pullback. This strategy is based on a MINIMUM 1/2 risk / reward ratio and the stop is shortly moved to breakeven. I need 4/10 winning trades to be really enough profitable, don't be surprised to see many losses (a lot of them are stop 0). Short term plays. This is the way I trade, not an invitation to...
As a channel is often broke the opposite side, there is a good buy here. This strategy is based on a MINIMUM 1/2 risk / reward ratio and the stop is shortly moved to breakeven. I need 4/10 winning trades to be really enough profitable, don't be surprised to see many losses (a lot of them are stop 0). Short term plays. This is the way I trade, not an invitation...
LONG This strategy is based on a MINIMUM 1/2 risk / reward ratio and the stop is shortly moved to breakeven. I need 4/10 winning trades to be really enough profitable, don't be surprised to see many losses (a lot of them are stop 0). Short term plays. This is the way I trade, not an invitation to do the same.
I see a pull back there. Try a short This strategy is based on a MINIMUM 1/2 risk / reward ratio and the stop is shortly moved to breakeven. I need 4/10 winning trades to be really enough profitable, don't be surprised to see many losses (a lot of them are stop 0). Short term plays. This is the way I trade, not an invitation to do the same.
Ascending channel should be broke downside
Channel break, impulse, pullback, continuation. This strategy is based on 1/2 risk / reward ratio, I need 4/10 winning trades to be really enough profitable, don't be surprised to see many losses. Short term plays.
Range, break, range, triangle.... break This strategy is based on 1/2 risk / reward ratio, I need 4/10 winning trades to be really enough profitable, don't be surprised to see many losses. Short term plays.
It's clearly a patern that is going up. This strategy is based on 1/2 risk / reward ratio, I need 4/10 winning trades to be really enough profitable, don't be surprised to see many losses. Short term plays.
As the mid term idea said, I am short term short. Playing that consolidation. Short. This strategy is based on 1/2 risk / reward ratio, I need 4/10 winning trades to be really enough profitable, don't be surprised to see many losses. Short term plays.
Again my favorite patern : channel break, impulse, pullback flag, looking for another impulse. Will look for short term term during this pullback
My long term idea worked exactly as I wanted, now this pair needs consolidation before to go higher, This strategy is based on 1/2 risk / reward ratio, I need 4/10 winning trades to be really enough profitable, don't be surprised to see many losses. Short term plays.
Short. This strategy is based on 1/2 risk / reward ratio, I need 4/10 winning trades to be really enough profitable, don't be surprised to see many losses. Short term plays.