breaking down on 5m chart and moved stop to BE plus a few ticks. may end up a scratch but not a loser.pre-mkt on a Friday. hmmmm
potential 4+ R on this one (15m line chart) (risk $20)
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breaking down on 5m chart and moved stop to BE plus a few ticks. may end up a scratch but not a loser.pre-mkt on a Friday. hmmmm
potential 4+ R on this one (15m line chart) (risk $20)
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if target is hit, that'll be it for the week and will end on high note. 15m 'til the open so i will have to exit before target if it isn't hit a few minutes before the open but so far it's still on.back to the 15m and re-draw of some trend lines.
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settlement price is 9624.25 so it'll be interesting to see if that level is reached with me still in the trade.if target is hit, that'll be it for the week and will end on high note. 15m 'til the open so i will have to exit before target if it isn't hit a few minutes before the open but so far it's still on.
denied! out @ 9583.50 for scratch plus a couple ticks.settlement price is 9624.25 so it'll be interesting to see if that level is reached with me still in the trade.
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here's a screen shot of a quad grid on TOS that has basically the same moving averages as the daily chart (standard stuff EMAs and SMA 200) and floor pivots. the time frames are 5,15, 30, and 60m. notice how they're flying in formation.FINALLY got a good pullback and am long 2 MNQ @ 9118.25.
Trying something a little different with this one in that I'm trading off the daily but managing the trade on lower time-frame charts. The horizontal lines are near term support and resistance and the green and blue towards the top are dynamic profit targets.
Yes, this trade could last a couple daze if I manage it right. The profit targets will change with each day as they are volatility based and the exit is at session close should the target be reached. If that were to happen by end of day tomorrow this trade would be worth 1.7 - over 2K.
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