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$SamuderaShipping (S56.SG)$ @bullrider_21
I see this chart getting in better shape and daily chart seems to get golden cross soon and Bollinger in weekly chart seems to be consolidating for breakout with gap reduced
can help to check whether my analysis are making sense ?
I see this chart getting in better shape and daily chart seems to get golden cross soon and Bollinger in weekly chart seems to be consolidating for breakout with gap reduced
can help to check whether my analysis are making sense ?
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I have to admit, this is a powerful feature that greatly saves time in searching for Stocks, significantly improving the efficiency of chart research.
These are search criteria that have been adjusted and improved multiple times (divided into 22 days, 44 days, 66 days, and 132 days), almost all of the market big winners come from this criteria search tool (mainly flag settings), and you can also make appropriate modifications according to personal preferences.
ATR needs to be observed separately after entering the name, it can then eliminate some names with insufficient average true range (it is recommended to be at least >3.5%, ideally >5%, you need to roughly calculate based on the numbers yourself).
It is important to note the setting of daily average trading volume: the daily average trading volume needs to be at least 30 times greater than your total capital, preferably over 50 times (Qullamegie's suggestion);
When the individual search list names exceed 60, you can adjust the search criteria accordingly based on personal circumstances.
(Christmas gift in advance for swing traders 🎁🎄)
"Good trading means observing patiently. Observe the market with a calm, objective curiosity and wait patiently for it to reveal itself naturally. There is no need to rush."
These are search criteria that have been adjusted and improved multiple times (divided into 22 days, 44 days, 66 days, and 132 days), almost all of the market big winners come from this criteria search tool (mainly flag settings), and you can also make appropriate modifications according to personal preferences.
ATR needs to be observed separately after entering the name, it can then eliminate some names with insufficient average true range (it is recommended to be at least >3.5%, ideally >5%, you need to roughly calculate based on the numbers yourself).
It is important to note the setting of daily average trading volume: the daily average trading volume needs to be at least 30 times greater than your total capital, preferably over 50 times (Qullamegie's suggestion);
When the individual search list names exceed 60, you can adjust the search criteria accordingly based on personal circumstances.
(Christmas gift in advance for swing traders 🎁🎄)
"Good trading means observing patiently. Observe the market with a calm, objective curiosity and wait patiently for it to reveal itself naturally. There is no need to rush."
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$Gorilla Technology (GRRR.US)$ $1b-pound gorilla continues to unleash its prowess in the bloodiest forest we've seen in a while.
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$Upstart (UPST.US)$ wow…pls give us a real bo this time…LFGoooo🚀🚀🚀
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Liquidation:
$Destiny Tech100 (DXYZ.US)$ (+0.443%) Broke through the stop loss on Monday, sold 2/3 of the position, held the remaining for low-profit oscillation exit, and the account profit was 0.443%; the volatility has exceeded the range of system risk control, such oscillation exits are not considered rare events, as part of the trading system, they have been habitually accepted 😅
$Travere Therapeutic (TVTX.US)$ (-0.322%) Broke through the stop loss on Monday and exited, resulting in a 0.322% loss in the account.
$Talen Energy (TLN.US)$ On Monday, the stop-loss was triggered and exited the position, resulting in a 0.312% loss in the account.
$Direxion Daily Small Cap Bull 3X ETF (TNA.US)$ On Monday, the ETF target was bought at 0.3% account risk, with a same-day stop-loss exit resulting in a 0.299% loss in the account; choosing the wrong side between FNGU and TNA, it's important to quickly admit mistakes and exit.
$Carvana (CVNA.US)$ On Monday, dropping below the original purchase price led to selling all positions, nearly breaking even on the exit, resulting in a 0.006% loss in the account; its chart shows a bigger picture, with good opportunities ahead, so keep patient 🙂.
$Innodata (INOD.US)$ (+0.299%) fell below the original Buy on Tuesday...
$Destiny Tech100 (DXYZ.US)$ (+0.443%) Broke through the stop loss on Monday, sold 2/3 of the position, held the remaining for low-profit oscillation exit, and the account profit was 0.443%; the volatility has exceeded the range of system risk control, such oscillation exits are not considered rare events, as part of the trading system, they have been habitually accepted 😅
$Travere Therapeutic (TVTX.US)$ (-0.322%) Broke through the stop loss on Monday and exited, resulting in a 0.322% loss in the account.
$Talen Energy (TLN.US)$ On Monday, the stop-loss was triggered and exited the position, resulting in a 0.312% loss in the account.
$Direxion Daily Small Cap Bull 3X ETF (TNA.US)$ On Monday, the ETF target was bought at 0.3% account risk, with a same-day stop-loss exit resulting in a 0.299% loss in the account; choosing the wrong side between FNGU and TNA, it's important to quickly admit mistakes and exit.
$Carvana (CVNA.US)$ On Monday, dropping below the original purchase price led to selling all positions, nearly breaking even on the exit, resulting in a 0.006% loss in the account; its chart shows a bigger picture, with good opportunities ahead, so keep patient 🙂.
$Innodata (INOD.US)$ (+0.299%) fell below the original Buy on Tuesday...
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$Q&M Dental (QC7.SG)$ Waiting for 32 cents. Still queuing. trading closed on 3 Dec is 0.29
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🗝️Whenever my asset net value is below MA10 MA20 MA30, I always reduce position size
🗝️The maximum risk I take when entering a position is always 0.4%
All my trading durations are green.
I always maintain harmony, balance, and calmness.
All positions I held overnight have been profitable.
All my positions are above Ma10 Ma20.
I always buy breakouts early so that my risk and stop loss are very tight.
I always sell 20-50% of the profit to gain an advantage.
For me, a 0.4% loss on each trade is a feature, not a flaw.
Daily profit and loss fluctuations do not bother me, I focus on long-term perspectives and view my trades on an annual basis.
I always stop without reservation.
I always take 30-60 minutes for psychological preparation before each trade.
Every year, I am waiting for those top 50 exceptional stock setups.
I always review all my trades.
My strengths are clear mind, simplicity, emotional discipline, selectivity, ability to stay calm, and correcting mistakes.
I always exit stocks when the closing price is below Ma10 Ma20.
🗝我所有交易的质量都很好,一年后我回头看图表,就能一目了然地知道我买入和卖出的位置
🗝我只交易行业中相对实力较强的领头羊
-Mister_Low_Risk...
🗝️The maximum risk I take when entering a position is always 0.4%
All my trading durations are green.
I always maintain harmony, balance, and calmness.
All positions I held overnight have been profitable.
All my positions are above Ma10 Ma20.
I always buy breakouts early so that my risk and stop loss are very tight.
I always sell 20-50% of the profit to gain an advantage.
For me, a 0.4% loss on each trade is a feature, not a flaw.
Daily profit and loss fluctuations do not bother me, I focus on long-term perspectives and view my trades on an annual basis.
I always stop without reservation.
I always take 30-60 minutes for psychological preparation before each trade.
Every year, I am waiting for those top 50 exceptional stock setups.
I always review all my trades.
My strengths are clear mind, simplicity, emotional discipline, selectivity, ability to stay calm, and correcting mistakes.
I always exit stocks when the closing price is below Ma10 Ma20.
🗝我所有交易的质量都很好,一年后我回头看图表,就能一目了然地知道我买入和卖出的位置
🗝我只交易行业中相对实力较强的领头羊
-Mister_Low_Risk...
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Price feedback is my opinion.
As of now, the chart feedback shows the order of BTC and the miners' runs:
MSTR > BTC > the rest
As of now, the chart feedback shows the order of BTC and the miners' runs:
MSTR > BTC > the rest
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