Trading Strategy: Long: Unity Software (U) *Sent intraday Tuesday* Ideal Entry: 123.30 Stop-loss Option: 117.17 Target: 140.00 Risk Rating: 4.4 Trade Setups Triggered: Long Setups: U Short Setups: None Setups Waiting to Trigger: Long Setups: None Short Setups: None Active Trades: Long: MPLX, HD, U Short: None Trades/Setups Removed/Closed: NT=Never Triggered, 1/2=Half position, 1/3=Third position Long: None Short: None Trading Notes: Trading Notes: I'm not
Trading Strategy: Trading Notes:Â The continued selling in tech is dragging the whole market lower. The only bright spot is being found in energy, which has actually managed to rally, and utilities, which is simply just holding on. Prior to today, the market consistently showed some potential for a market bounce, and that may still be
Trading Strategy: Long: Facebook (FB) *Sent intraday Friday* Ideal Entry: 344.16 Stop-loss Option: 334.48 Target: 377.00 Risk Rating: 2.1 Trade Setups Triggered: Long Setups: FB Short Setups: None Setups Waiting to Trigger: Long Setups: None Short Setups: None Active Trades: Long: MPLX, FB, HD, ADBE Short: None Trades/Setups Removed/Closed: NT=Never Triggered, 1/2=Half position, 1/3=Third position Long: AAPL Short: None Trading Notes: Trading Notes: I'll be
Trading Strategy: Long: Facebook (FB) *See Notes Below* Ideal Entry:Â 342.64 Stop-loss Option:Â 327.61 Target:Â 377.00 Risk Rating:Â 3.0 FB:Â If my ideal entry is triggered in the first 30 minutes of a trade setup, I will not enter the trade. Instead, I will enter a trade after the first 30 minutes on a break of the highs of the
Trading Strategy: Long: Adobe Systems (ADBE) *Sent intraday Wednesday* Ideal Entry: 584.35 Stop-loss Option: 556.37 Target: 640.00 Risk Rating: 3.2 Trade Setups Triggered: Long Setups: ADBE Short Setups: None Setups Waiting to Trigger: Long Setups: None Short Setups: None Active Trades: Long: MPLX, AAPL, HD, ADBE Short: None Trades/Setups Removed/Closed: NT=Never Triggered, 1/2=Half position, 1/3=Third position Long: None Short: None Trading Notes: No additional trading
Trading Strategy: Trading notes:Â Harsh pullback yesterday that has damaged a large majority of charts out there. A lot of support levels were violated and a number of breakdowns started to unfold. Even the customary, end-of-day bounce failed to unfold, and thus the reason why I dumped SNAP the same day I got in it. Stocks
Trading Strategy: Trading notes:Â Harsh pullback yesterday that has damaged a large majority of charts out there. A lot of support levels were violated and a number of breakdowns started to unfold. Even the customary, end-of-day bounce failed to unfold, and thus the reason why I dumped SNAP the same day I got in it. Stocks
Trading Strategy: Trading notes: While I prefer to add new opportunities and trades to the portfolio , I also know that doing so in the face of a difficult tape that is struggling to follow through on last week's bounce adds unnecessary risk exposure to my portfolio. With four trades currently in the portfolio, I am comfortable
Trading Strategy: No additional trading notes:Â I want to play it careful here to start the week off, as futures have pulled back notably from their overnight highs. I also want to provide some opportunity for existing long positions in my portfolio to run some before piling on additional trades to the portfolio, thereby substantially increasing
Trading Strategy: No additional trading notes:Â I want to play it careful here to start the week off, as futures have pulled back notably from their overnight highs. I also want to provide some opportunity for existing long positions in my portfolio to run some before piling on additional trades to the portfolio, thereby substantially increasing