EURUSD Hypothetical LongA basic support/resistance trade idea. I'd like to initiate the trade if the price actually come to the levels.ELongby UnknownUnicorn3304882
EURO Future JUN18 (CME)Trading Signal Short Position (EP) : 1.19760 Stop Loss (SL) : 1.19840 Take Profit (TP) : 1.19135 Description E6M2018 formed Double Repo Sell at 30m time frame. Trade setup with Sell limit at 0.382 level (1.19760) and place stop loss at 0.618 level (1.19840). Once the position was hit, place take profit before an agreement (1.19135 ) Money Management Money in portfolio : $78,000 Risk Management (0.10%) : $78 Position Sizing 0.00005 = +-US$6.25 Commission fee = -$2.47/contract EP to SL = 0.00080 = -$100/contract Contract size to open = 1 contracts EP to TP = 0.00625 = +$781.25 Expected Result Commission fee = -$4.94 Loss = -$104.94 Gain = +$781.25 Risk/Reward Ratio = 7.44EShortby SuppasitWechprasit0
EURO Future JUN18 (CME)Trading Signal Short Position (EP) : 1.19010 Stop Loss (SL) : 1.18840 Take Profit (TP) : 1.20235 Description E6M2018 formed Double Repo Long at 4h time frame. Trade setup with Sell limit at 0.382 level (1.19010) and place stop loss at 0.618 level (1.18840). Once the position was hit, place take profit before an agreement (1.20235) Money Management Money in portfolio : $75,000 Risk Management (0.25%) : $188 Position Sizing 0.00005 = +-US$6.25 Commission fee = -$2.47/contract EP to SL = 0.00170 = -$212.5/contract Contract size to open = 1 contracts EP to TP = 0.01225 = +$1531.25 Expected Result Commission fee = -$4.94 Loss = -$212.50 Gain = +$1,531.25 Risk/Reward Ratio = 7.04ELongby SuppasitWechprasit0
Euro FX Futures by Locked-in Range AnalysisLocked-in Range Analysis: Preference: Short positions below resistance LR. LRA Indicators: Locked-in Range: 0.009605-0.009560 Sentiment (Doi): Buy (1/3) Locked-in Range: 0.009412-0.009388 Sentiment (Doi): Buy (1/3) Locked-in Range: 0.009367-0.009337 Sentiment (Doi): Buy (1/3) Locked-in Range: 0.009200-0.009165 Sentiment (Doi): Buy (1/3) About Locked-in Range Analysis LRA is the method of interpreting the price and volume chart to determine the direction of the prevailing volume of open positions, the imbalance of which will enlighten you to future market behavior.Eby Test_Ended0
EURO Future JUN18 (CME)Trading Signal Short Position (EP) : 1.19510 Stop Loss (SL) : 1.19430 Take Profit (TP) : 1.19835 Description E6M2018 formed Double Repo Long at 30m time frame. Trade setup with Sell limit at 0.382 level (1.19510) and place stop loss at 0.618 level (1.19430). Once the position was hit, place take profit before an agreement (1.19835) Money Management Money in portfolio : $75,000 Risk Management (0.25%) : $188 Position Sizing 0.00005 = +-US$6.25 Commission fee = -$2.47/contract EP to SL = 0.00080 = -$100/contract Contract size to open = 2 contracts EP to TP = 0.00325 = +$406.25 Expected Result Commission fee = -$9.88 Loss = -$200.00 Gain = +$812.5 Risk/Reward Ratio = 3.87ELongby SuppasitWechprasit111
EURO Future JUN18 (CME)Trading Signal Short Position (EP) : 1.20265 Stop Loss (SL) : 1.20320 Take Profit (TP) : 1.20050 Description E6M2018 formed Double Repo Sell at 30m time frame. Trade setup with Sell limit at 0.382 level (1.20265) and place stop loss at 0.618 level (1.20320). Once the position was hit, place take profit before an agreement (1.20050) Money Management Money in portfolio : $75,000 Risk Management (0.25%) : $188 Position Sizing 0.00005 = +-US$6.25 Commission fee = -$2.47/contract EP to SL = 0.00055 = -$68.75/contract Contract size to open = 3 contracts EP to TP = 0.00215 = +$268.75 Expected Result Commission fee = -$14.82 Loss = -$206.25 Gain = +$806.25 Risk/Reward Ratio = 3.65EShortby SuppasitWechprasit3
EURO Future JUN18 (CME)Trading Signal Short Position (EP) : 1.20250 Stop Loss (SL) : 1.20315 Take Profit (TP) : 1.20055 Description E6M2018 formed Double Repo Sell at 1h time frame. Trade setup with Sell limit at 0.382 level (1.20250) and place stop loss at 0.618 level (1.20315). Once the position was hit, place take profit before an agreement (1.20055) Money Management Money in portfolio : $75,000 Risk Management (0.25%) : $188 Position Sizing 0.00005 = +-US$6.25 Commission fee = -$2.47/contract EP to SL = 0.00065 = -$81.25/contract Contract size to open = 2 contracts EP to TP = 0.00195 = +$243.75 Expected Result Commission fee = -$9.88 Loss = -$162.5 Gain = +$487.5 Risk/Reward Ratio = 2.83EShortby SuppasitWechprasit2
EURO Future JUN18 (CME)Trading Signal Long Position (EP) : 1.20415 Stop Loss (SL) : 1.20345 Take Profit (TP) : 1.20990 Description E6M2018 formed Double Repo Buy at 1h time frame. Trade setup with sell limit at 0.382 level (1.20415) and place stop loss at 0.618 level (1.20345). Once the position was hit, place take profit before an agreement (1.20990) Money Management Money in portfolio : $75,000 Risk Management (0.25%) : $188 Position Sizing 0.00005 = +-US$6.25 Commission fee = -$2.47/contract EP to SL = 0.00070 = -$87.5/contract Contract size to open = 2 contracts EP to TP = 0.00575 = +$718.75 Expected Result Commission fee = -$9.88 Loss = -$175 Gain = +$1,437.5 Risk/Reward Ratio = 7.78ELongby SuppasitWechprasit0
EURO Future JUN18 (CME)Trading Signal Long Position (EP) : 1.20460 Stop Loss (SL) : 1.20370 Take Profit (TP) : 1.21035 Description E6M2018 formed Double Repo Buy at 30m time frame. Trade setup with sell limit at 0.382 level (1.20460) and place stop loss at 0.618 level (1.20370). Once the position was hit, place take profit before an agreement (1.21035) Money Management Money in portfolio : $73,000 Risk Management (0.25%) : $183 Position Sizing 0.00005 = +-US$6.25 Commission fee = -$2.47/contract EP to SL = 0.00090 = -$112.5/contract Contract size to open = 2 contracts EP to TP = 0.00575 = +$718.75 Expected Result Commission fee = -$9.88 Loss = -$225 Gain = +$1,437.5 Risk/Reward Ratio = 6.12ELongby SuppasitWechprasit1
EURO Future JUN18 (CME)Trading Signal Long Position (EP) : 1.23855 Stop Loss (SL) : 1.23745 Take Profit (TP) : 1.24085 Description E61! formed Double Repo Buy at 1h time frame. Trade setup with buy limit at 0.382 level (1.23855) and place stop loss at 0.618 level (1.23745). Once the position was hit, place take profit before an agreement (1.24085) Money Management Money in portfolio : $73,000 Risk Management (0.5%) : $365 Position Sizing 0.00005 = +-US$6.25 Commission fee = -$2.47/contract EP to SL = 0.00110 = -$137.5/contract Contract size to open = 3 contracts EP to TP = 0.00230 = +$287.5 Expected Result Commission fee = -$14.82 Loss = -$412.5 Gain = +$862.5 Risk/Reward Ratio = 2.02ELongby SuppasitWechprasit0
E-Mini S&P500 Future JUN18 (CME)Trading Signal Short Position (EP) : 1.23955 Stop Loss (SL) : 1.24195 Take Profit (TP) : 1.23425 Description E61! formed Double Repo Sell at 4h time frame. Trade setup with sell limit at 0.382 level (1.23955) and place stop loss at 0.618 level (1.24195). Once the position was hit, place take profit before an agreement (1.23425) Money Management Money in portfolio : $73,000 Risk Management (0.5%) : $365 Position Sizing 0.00005 = +-US$6.25 Commission fee = -$2.47/contract EP to SL = 0.00024 = -$300/contract Contract size to open = 1 contracts EP to TP = 0.00520 = +$650 Expected Result Commission fee = -$4.94 Loss = -$300 Gain = +$650 Risk/Reward Ratio = 2.13EShortby SuppasitWechprasit0
EURO Future JUN18 (CME)Trading Signal Long Position (EP) : 1.23820 Stop Loss (SL) : 1.23725 Take Profit (TP) : 1.24205 Description E61! formed Double Repo Buy at 1h time frame. Trade setup with buy limit at 0.382 level (1.23820) and place stop loss at 0.618 level (1.23725). Once the position was hit, place take profit before an agreement (1.24205) Money Management Money in portfolio : $73,000 Risk Management (0.5%) : $365 Position Sizing 0.00005 = +-US$6.25 Commission fee = -$2.47/contract EP to SL = 0.00095 = -$118.75/contract Contract size to open = 3 contracts EP to TP = 0.00385 = +$481.25 Expected Result Commission fee = -$14.82 Loss = -$356.25 Gain = +$1,443.75 Risk/Reward Ratio = 3.89ELongby SuppasitWechprasit2
EURO Future JUN18 (CME)Trading Signal Long Position (EP) : 1.23820 Stop Loss (SL) : 1.23725 Take Profit (TP) : 1.24205 Description E61! formed Double Repo Buy at 30m time frame. Trade setup with buy limit at 0.382 level (1.23820) and place stop loss at 0.618 level (1.23725). Once the position was hit, place take profit before an agreement (1.24205) Money Management Money in portfolio : $73,000 Risk Management (0.5%) : $365 Position Sizing 0.00005 = +-US$6.25 Commission fee = -$2.47/contract EP to SL = 0.00095 = -$118.75/contract Contract size to open = 3 contracts EP to TP = 0.00385 = +$481.25 Expected Result Commission fee = -$14.82 Loss = -$356.25 Gain = +$1,443.75 Risk/Reward Ratio = 3.89ELongby SuppasitWechprasit2
Euro (EURUSD) Index Futures Trade on Daily Using VL and RLI am new to TradingView and I don't have my indicators here yet. The chart is fairly easy to read using non-traditional SR levels based on price rejections and volume. Euro (EURUSD) Index Futures Trade on Daily Using VL and RL Target is somewhat far a way. I will update as needed. Enjoy.ELongby TrickleDownClown5
EURO Future JUN18 (CME)Trading Signal Short Position (EP) : 1.24395 Stop Loss (SL) : 1.24465 Take Profit (TP) : 1.24140, 1.23985 Description E61! formed Double Repo Sell at 30m time frame. Trade setup with sell limit at 0.382 level (1.24395) and place stop loss at 0.618 level (1.24465). Once the position was hit, place take profit before an agreement (1.24140) and 1.23985 Money Management Money in portfolio : $73,000 Risk Management (0.5%) : $365 Position Sizing 0.00005 = +-US$6.25 Commission fee = -$2.47/contract EP to SL = 0.00070 = -$87.50/contract Contract size to open = 4 contracts EP to TP#1 = 0.00255 = +$318.75 EP to TP#2 = 0.00410 = +$512.50 Expected Result Commission fee = -$19.76 Loss = -$350 Gain#1 = +$637.50 Gain#2 = +$1,025.00 Total Gain = +$1,662.50 Risk/Reward Ratio = 4.50EShortby SuppasitWechprasit0
EURO Future JUN18 (CME)Trading Signal Short Position (EP) : 1.24395 Stop Loss (SL) : 1.24465 Take Profit (TP) : 1.24140, 1.23985 Description E61! formed Double Repo Sell at 30m time frame. Trade setup with sell limit at 0.382 level (1.24395) and place stop loss at 0.618 level (1.24465). Once the position was hit, place take profit before an agreement (1.24140) and 1.23985 Money Management Money in portfolio : $73,000 Risk Management (0.5%) : $365 Position Sizing 0.00005 = +-US$6.25 Commission fee = -$2.47/contract EP to SL = 0.00070 = -$87.50/contract Contract size to open = 4 contracts EP to TP#1 = 0.00255 = +$318.75 EP to TP#2 = 0.00410 = +$512.50 Expected Result Commission fee = -$19.76 Loss = -$350 Gain#1 = +$637.50 Gain#2 = +$1,025.00 Total Gain = +$1,662.50 Risk/Reward Ratio = 4.50EShortby SuppasitWechprasit0
EURO Future JUN18 (CME)Trading Signal Short Position (EP) : 1.23780 Stop Loss (SL) : 1.23835 Take Profit (TP) : 1.23650, 1.23490 Description E61! formed Double Repo Sell at 30m time frame. Trade setup with sell limit at 0.382 level (1.23780) and place stop loss at 0.618 level (1.23835). Once the position was hit, place take profit before an agreement (1.23650) and 1.23490 Money Management Money in portfolio : $73,000 Risk Management (0.5%) : $365 Position Sizing 0.00005 = +-US$6.25 Commission fee = -$2.47/contract EP to SL = 0.00055 = -$68.75/contract Contract size to open = 5 contracts EP to TP#1 = 0.00130 = +$162.5 EP to TP#2 = 0.00290 = +$362.5 Expected Result Commission fee = -$4.94 Loss = -$343.75 Gain#1 = +$487.5 Gain#2 = +$725 Total Gain = +$1,212.5 Risk/Reward Ratio = 3.29EShortby SuppasitWechprasit113
EURO Future JUN18 (CME)Trading Signal Short Position (EP) : 1.23775 Stop Loss (SL) : 1.23835 Take Profit (TP) : 1.23645, 1.23485 Description E61! formed Double Repo Sell at 1h time frame. Trade setup with sell limit at 0.382 level (1.23775) and place stop loss at 0.618 level (1.23835). Once the position was hit, place take profit before an agreement (1.23645) and 1.23485 Money Management Money in portfolio : $73,000 Risk Management (0.5%) : $365 Position Sizing 0.00005 = +-US$6.25 Commission fee = -$2.47/contract EP to SL = 0.00130 = -$162.5/contract Contract size to open = 5 contracts EP to TP#1 = 0.00130 = +$162.5 EP to TP#2 = 0.00290 = +$362.5 Expected Result Commission fee = -$24.7 Loss = -$375 Gain#1 = +$487.5 Gain#2 = +$725 Total Gain = +$1,212.5 Risk/Reward Ratio = 3.03EShortby SuppasitWechprasit113
EURO Future JUN18 (CME)Trading Signal Short Position (EP) : 1.23340 Stop Loss (SL) : 1.23415 Take Profit (TP) : 1.23055 Description E61! formed Double Repo Sell at 30m time frame. Trade setup with sell limit at 0.382 level of FR (1.23340) and place stop loss at 0.618 level of FR (1.23415). Once the position was hit, place take profit before an agreement (1.23055 ) Money Management Money in portfolio : $73,000 Risk Management (0.5%) : $365 Position Sizing 0.00005 = +-US$6.25 Commission fee = -$2.47/contract EP to SL = 0.00075 = -$93.75/contract Contract size to open = 4 contracts EP to TP = 0.00285 = +$356.25 Expected Result Commission fee = -$19.76 Loss = -$375 Gain = +$1,425 Risk/Reward Ratio = 3.61EShortby SuppasitWechprasit2