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
Trading Strategy: Long: Etsy (ETSY) *Sent intraday Thursday* Ideal Entry: 224.40 Stop-loss Option: 213.91 Target: 260.00 Risk Rating: 4.2 Trade Setups Triggered: Long Setups: ETSY Short Setups: None Setups Waiting to Trigger: Long Setups: None Short Setups: None Active Trades: Long: MPLX, AAPL, HD, ETSY 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: Long: Palantir Technologies (PLTR) *See Notes Below* Ideal Entry:Â 27.52 Stop-loss Option:Â 25.98 Target:Â 35.00 Risk Rating:Â 4.2 PLTR: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