Simple profitable strategy with 3 indicators: +25% Profit last week on USD/CHF - page 6

 

That is not a video of a trade, but a video of some trade being talked of after the fact. I would like to see a video showing a trade from opening to closing

 
nbtrading:
That is not a video of a trade, but a video of some trade being talked of after the fact. I would like to see a video showing a trade from opening to closing

trades after the fact are easier and more profitable in theory...why pressure yourself?

 
Pava:
trades after the fact are easier and more profitable in theory...why pressure yourself?

Oh yeah - we could also live after the fact

 
morro:
Oh yeah - we could also live after the fact

now THAT! would be interesting...now you are talking!

 
nbtrading:
That is not a video of a trade, but a video of some trade being talked of after the fact. I would like to see a video showing a trade from opening to closing

Hello

That s trade i took, i dont record video live because H1 trade will be too long, some people who trade that method have a trading room live. Check my blog please. The most important is to learn the strategy, the role of the indicators and then to spot the setup.

The question to ask yourself is "is it a setup yes or not?";

There is nothing magic in trading; you have to learn and even live chatroom or signals won't help you

Cheers

 

Hello

Trade of the Week: USD/CHF H1: 10-12 March +8.5% Profit (+337 pips)

This is a great campaign on USD/CHF, on the 18th (FOMC report day) at Francfort open, I have a tight fractal box and the ewave is about to cross the zero line, this is a H1 setup. I check on H4, the ewave is also on the way to cross the zero line (and H1 pending order is below the H4 red line, price has some space to move to reach the H4 limit as well), therefore this is a double H1/H4 cross of the zero line! I take the H1 break, the price drops slowly forming a new sell fractal, I take a second entry below that fractal (this is also a double break H1/H4) with a stop loss above the red line at 45 pips as we are in an investing mode, the price drops. Before the FOMC report (like NOFP news), my strategy is to sell half of my position to reduce the risk, then the news came and go in my way, cool. I exit above that huge BDC for a total profit of +8.5% (+5.5% and +3%) and +337 pips (+187 and +150).

N.B. I could have taken my profit (or half of them) when the prices has reached the D1 red line.D1 alligator lines are excellent SL and TP.

Video of the trade:

Cheers

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