Free Simulated Combine + Real Journal **ES/NQ futures**

4/9/19 review

1 trade loser
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4/11/19 premarket
8:30am jobless and PPI
8:30 am Weekly jobless claims 4/6 210,000 202,000
8:30 am Producer price index March 0.3% 0.1%

ES
V: 974,048 OI: 2,578,124(+19,487) stayed above yesterdays close slight test
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NQ
V: 332,869 OI: 204,857(+3,838) same as ES tested yesterdays close
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4/11/19 review
missed a short that i wanted to take after a failed short this lead me to taking another trade shortly after which lead to a loss.
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4/12/19
economic data
8:30 am Import price index March -- 0.6%
10 am Consumer sentiment index April 97.5 98.4

$ES
V: 969,614 OI: 2,571,823(-5,435) still under normal volume
yesterdaywe opened higher pushed slightly past the lows making it appear as if yesterdays close was going to hold broke higher tested the swing low pushed up slightly consolidated testing the high and broke lower again testing the large buy area from yesterday closing around the open consolidation. Current we are now trading at resistance 2901s ATH 2961
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$NQ
V: 341,078 OI: 205,235(+1,412)
opened slightly higher drive lower consolidates couldn't retake highs or recapture yesterdays close sold off 12pts slight bounce drops then over takes last swing low only to drop again. found a buyer in the consolidation that was able to hold that area for a for about an hour the we dropped to 7601 which held but didnt look as if it wouldn't be retested we closed around the big buyer for the day.
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Overnight i had several large buy orders go off for $ES_F
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4/12/19 post review
On the open which was a gap up I was looking for a buy I thought i bought near a support area but there was more selling in the book.

from the we had a run only to stall and drop we couldn't close the gap and ended the day in the IB. I think we are setting up for a nice short squeeze. We have several days like this this week
$ES was stalled for a while
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$NQ looked a bit more bullish at the
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weeks summary 4/8-4/12/19
week loss -41.64 i had 1 profitable day and that was a trade i closed early that would have went to my target after hours with would have netting a profitable week. But all in all with the action and my trading style of going to out sized winners it was a good week.

overall we are up on a slow grind
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Last edited:
4/15/19
ECONOMIC NEWS FOR THE WEEK
MONDAY, APRIL 15
8:30 am Empire state index April 3.7
TUESDAY, APRIL 16
9:15 am Industrial production March 0.0%
9:15 am Capacity utilization March 79.1%
10 am Home builders' index April 62
WEDNESDAY, APRIL 17
8:30 am Trade deficit* (new date) Feb. -$51.1bln
10 am Wholesale inventories*
(new date) Feb. 1.2%
2 pm Beige book
THURSDAY, APRIL 18
8:30 am Weekly jobless claims 4/13 -- --
8:30 am Retail sales* (new date) March -0.2%
8:30 am Retail sales ex-autos*
(new date) March -0.4%
8:30 am Philly Fed index April 13.7
10 am Business inventories*
(new date) Feb. 0.8%
10 am Leading indicators March 0.2%
FRIDAY, APRIL 19
8:30 am Housing starts* (new date) March 1.162mln
8;30 am Building permits* (new date) March 1.291mln
 
4/15/19 premarket review
ES volumes for Friday V: 1,231,905 OI: 2,609,043(+39,540)
NQ volumes for Friday V: 346,322 OI: 206,805(+2,236)
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ES
watching yesterdays close and the large sell order from friday
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NQ
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4/15/19 post review
losing day most the day i was driving for work so i missed the prime time to trade so i took trade 3:30 toward the close. the first trade was an error when switching to my account i mistakenly bought the swing high at the time. From there.... I think i might started calling it a day when software/human errors occur.
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$ES_F $ES
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$NQ_F $NQ
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4/16/19 premarket
NQ V: 322,647 OI: 206,505(+884)
ES V: 959,872 OI: 2,606,536(+1,380)

current state
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at resistance in NQ question is what do we do from here from yesterdays selloff and recovery alot of questions in the air over night inventory we are long.
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ES
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