DislikedEG could be worth watching next week as in the buy zone. Not much for the EUR next week but we have GBP claimant count change on Tuesday and GDP on Wednesday so worth keeping an eye. {image}Ignored
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DislikedEG could be worth watching next week as in the buy zone. Not much for the EUR next week but we have GBP claimant count change on Tuesday and GDP on Wednesday so worth keeping an eye. {image}Ignored
DislikedLast two weeks. Missed out of the GA/EA moves south.. so disappointed. Still holding some AU shorts. {image}Ignored
DislikedLast two weeks. Missed out of the GA/EA moves south.. so disappointed. Still holding some AU shorts. {image}Ignored
Disliked{quote} Excellent work Could you please share your risk management strategy/template? I would like to learn and I suppose some other traders too would be interested in learning more about proper risk management.Ignored
Disliked{quote} What I find very important is lot size adjustment, this will vary depending on the currency pair or product I’m trading. If I have less confidence in the trade or if there are some unknowns or news releases for example then I may reduce my lot size to try and minimise the risk. You shouldn't expect to enter every trade with the same lot size. I do not always trade with a S/L, if I do, I will place my stop where I’m not likely to be stopped out but where I’m comfortable that if a trade goes against me I will be stopped out to reduce my losses....Ignored
Disliked{quote} Im not sure why My pivot is not matching with yours? {image}Ignored
Disliked{quote} Not sure but looks like you're using trading view. Check your pivot levels using the link on the first page of this thread. You should change the settings to weekly fib pivots.Ignored
DislikedAnother one to watch perhaps. Silver Heading towards a resistance zone and Feds policy meeting next week, rate decision on Weds. Fed may start dialling back on a restrictive monetary policy with a cut in June. {image}Ignored
Disliked{quote} Hi Nittohanns, I appreciate your regular updates and wonder if you would be as kind as to give an overview of your trading week/day? So for example, are you glued to the charts all day everyday, or do you only look at 4 hour candles to identify opportunities and drill down for entries etc. Or do you carry out analysis after major news events? Or all of these, just trying to get a feel for how you process the strategy on a daily basis. Thanks.Ignored