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Peter

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Peter last won the day on November 27 2020

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  1. week 3 +2.9R (3 days 5 trades 3W/2L 60% W/R average trade +0.58R average day +0.95R ) This week was trading only 3 days and got good average results, this year results are getting better all 3 weeks are all metrics green: win rate: 12winners 7 losers 63% average trade profit: +0.8R average day: +1.15R profit factor: 3.1 I am getting better to take my setup I m seen it better but need to improve selling next week challenge is selling my winners correctly like trading plan says. Yesterday got big winner but sold it twice breakeven was coming to trade tired and did not want to lose. Need to improve that part.
  2. Friday 22.01.2021 results 1 winner +1,6R trade 72 +1,6R catalyst: yes daily breakout: yes premarket gap: yes rel. vol. yes 400% trading pattern: B yes, but got long weak stock entry: A management: A overall grade: B
  3. I Make change to selling stock i sell now 50% 2/1 50% 3/1 25% or price level 4/1 12.5% or or price level last 12.5% I let run and raise only stoploss to last 5min. pivot after new high/low
  4. Thursday 21.01.2021 results 1 winner 1 loser +0,4R trade 70 -0,4R catalyst: yes daily breakout: yes premarket gap: yes rel. vol. yes 400% trading pattern: yes, but could not hold trade was tired was +3R trade entry: A management: E, could not hold trade overall grade: E trade 71 +0,8R catalyst: yes daily breakout: yes premarket gap: yes rel. vol. yes 300% trading pattern: yes, but not perfect entry: A management: B overall grade: B
  5. Wednesday 20-01-2021 results 1 winner 1 loser +0,9R trade 68 -1R catalyst: yes daily breakout: yes premarket gap: yes rel. vol. yes 300% trading pattern: yes entry: B management: A overall grade: A- trade 69 +1,9R catalyst: yes daily breakout: yes premarket gap: yes rel. vol. yes 400% trading pattern: yes, but not in my playbook entry: A management: B overall grade: B
  6. week 2/2021 (5 days 6 trades 4W/2L 66% W/R average trade +1.41R average day +1.7R ) It is best week so far all statistics are new record! win %, av. trade and average day! I am raising risk to level 2, 12 dollars because I have trading profits +25R! next level is from +25...+50R First level completed! it took 33 trading days and 67 trades to reach +25R. best trade was last trade +5.2R. longest winning streak: 4 longest losing streak: 4 winners 33 49% losers 34 51% Next level purpose is to reach faster then first level 33 days! January first two weeks performance: 14 trades: +12.1R 9winners 5 losers win rate 64% average trade +0.86R average day +1.2R profit factor 3.1
  7. Friday 15-01.2021 results 1 winner +5,2R trade 67 +5,2R catalyst: yes daily breakout: yes premarket gap: yes rel. vol. yes 400% trading pattern: yes, but hotkey mistake made 2x profit fear profit was +2R entry: A management: A overall grade: A
  8. Thursday 14.01.2021 results 1winner +1,4R trade 66 +1.4R catalyst: yes daily breakout: yes premarket gap: yes rel. vol. yes 400% trading pattern: yes, first pullback +strong stock+ premarket gap+ catalyst entry: A management: b, sold too early not 2/1 3/1 overall grade: a-
  9. Wednesday 13.01.2021 results 1 winner +1R trade 65 +1R catalyst: yes daily breakout: yes premarket gap: yes rel. vol. yes 400% trading pattern: yes, but shorted strong stock entry: A management: C, sold in one peace, not scaleout overall grade: C
  10. Tuesday 12.01.2021 results 1winner +2.9 catalyst: yes daily breakout: yes premarket gap: yes rel. vol. yes 200% trading pattern: yes, but first trade made hotkey mistake entry: a management: B overall grade: a-
  11. Monday 11.01.2021 results 2 losers -2R trade 62 -1R catalyst: yes daily breakout: yes premarket gap: yes rel. vol. yes trading pattern: first pullback to vwap entry: B management: a overall grade: a- trade 63 -1R catalyst: no daily breakout: yes premarket gap: yes rel. vol. yes trading pattern: yes entry: B management: a overall grade: b
  12. week 1/2021 (5 days 8 trades 5W/3L 62% W/R average trade +0.45R average day +0.72R
  13. Friday 8.01.2021results 1winner +0,7R trade 61 +0,7R catalyst: no daily breakout: yes premarket gap: no rel. vol. no 90% trading pattern: yes, but hit wrong hotkey and later got filled 50c later, was good B trade but ruined by hotkey error entry: B management: b overall grade: b
  14. Thursday results 1 winner +2,3R trade 60 +2,3R catalyst: yes daily breakout: yes premarket gap: yes rel. vol. yes 400% trading pattern: yes, but did not waited correct pullback entry: B management: A overall grade: A-
  15. Its gross, no reason to put net i am risking so little. Later if risk is normal ( 100 dollar or more) commisions are less than 10% from grossprofit. Im calculating like this.
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