0.0241478.0
0.1205840313961.0
Total Profits:
-$11,523.62
-$260 Loss
LEG4Long Future
jacksondowney5

Entry comments: 5-touch UTL broken with a clear 15m close below the level. took the short at the re-test of the UTL

Exit comments: didn't work

000

Broker:ETrade
$500 Profit
CLShort Future
jacksondowney5

Entry comments: breakdown anticipation

Exit comments: nice continuation move

000

Broker:ETrade
$100 Profit
ESShort Future
jacksondowney5

accidentally shorted this by leaving another order open and not cancelling. got lucky it wasn't a loser.

000

Broker:ETrade
-$100 Loss
ESLong Future
jacksondowney5

not really sure what I was doing buying here

000

Broker:ETrade
-$250 Loss
ESLong Future
jacksondowney5

thought it was time to buy here as NQ pulled back to key daily chart level. I was wrong. not time to buy yet

000

Broker:ETrade
$12 Profit
ESLong Future
jacksondowney5

we got 2 15min closes strong above this key level, but not yet an hourly close. when it came 1 tick away from my stop, and seemed to be bear-flagging on the 1min, I decided to bail at breakeven... even though soon after, it ripped right up

000

Broker:ETrade
-$125 Loss
ESLong Stock
jacksondowney5

soooo stupid. meant to short this. hit buy instead of sell by accident

000

Broker:ETrade
-$100 Loss
ESShort Stock
jacksondowney5

tried this again after 10 AM hourly candle closed. set stop above a 5min candle (not sure if this was a good idea - stop should probably be above the recent high)

000

Broker:ETrade
$0 Loss
ESShort Future
jacksondowney5

Entry comments: gap up and run up 30 pts from prev close. NQ is acknowledging 3rd touch DTL resistance as ES was looking like it ran out of steam

Exit comments: moved stop to b/e, figured if it got back up there, I would be wrong, stopped out at b/e

000

Broker:ETrade
$12 Profit
ESLong Future
jacksondowney5

Entry comments: buying ES at a key level on QQQ. its the DTL BOPB as well as key horizontal level 387.50

Exit comments: moved stop to b/e after what looked like big green bottom tail 15 min candle. ended up wanting to push lower and hit my b/e stop. smart move, as otherwise would have hit my original -1 R stop

000

Broker:ETrade
$512 Profit
ESShort Future
jacksondowney5

Entry comments: this was looking heavy after the 10 AM hourly closed and 11:15 15m closed (10 AM was JOLTS data). was also bumping into DTL on QQQ which is what gave me the biggest hint

Exit comments: nice 2 R trade. my original entry was 4581. could have been a nearly 3 R trade but I panicked out at breakeven. not sure why. good thing i got back in

000

Broker:ETrade
$250 Profit
ESShort Future
jacksondowney5

Entry comments: this 4577 is a key level. we couldn't break it this morning, and then we dumped even lower. this short order is 20 points higher than the LOD. my target is the LOD

Exit comments: moved stop to +1 R after the 15min candle wicked off of key level 4565 looking like a bottom tail reversal

000

Broker:ETrade
-$250 Loss
ESShort Future
jacksondowney5

Entry comments: placed a short order a tick below Friday's low, which is also near the pre market low, because the 10:00 15m candle's volume and direction seemed to be pointing pretty obviously down past this level

Exit comments: didn't work. I tried to listen to the volume in the 10:00 15m candle that pushed us 8 pts below the open. it even consolidated below that level for 4 more 15m candles. I guess the longer term UTL was stronger.

000

Broker:ETrade
-$88 Loss
ESLong Future
jacksondowney5

Entry comments: buying near Wednesday's pivot high, 4596.50. the 12 pm hourly high and HOD went above 4607, and closed at 4605.50, almost 10 points above that level

Exit comments: this trade felt too degen-y. also small bounce off the level seemed to get sold off pretty quickly. decided to bail.

000

Broker:ETrade
$0 Loss
ESLong Future
jacksondowney5

Entry comments: can't really put a setup label on this... but it seems like a great area to buy. we're in the 10:00's, which is typically when I see the best entries. I'm trading off the hourly chart. looks like a demand zone on both ES & NQ

Exit comments: I moved my stop to b/e and got stopped out. NQ looking super weak, below yesterday's range by a lot. ES been hovering along the lower 1/3 of yesterday's range all morning. it was a good initial buy spot, I was up more than 2 R at one point. went to 4567.25 and my target was 4569, a couple ticks above the HOD

000

Broker:ETrade
-$250 Loss
ESLong Future
jacksondowney5

Entry comments: trying this level that was originally in my pre-market game plan for a bounce

Exit comments: I guess I totally mis-read the action today. it was while I was in the trade that it made so much sense that we would have this push down. we gapped up underneath a cracked up-trend line and into the supply zone, above the ATH DTL.

000

Broker:ETrade
-$312 Loss
ESLong Future
jacksondowney5

Entry comments: bull flag breakout. bought the pullback to the pre-market high, at the same time NQ pulled back to its pre-market high, which is also its pivot high from last week

Exit comments: fuck. had a feeling the post-open strength wasn't enough to buy here.

000

Broker:ETrade
-$162 Loss
ESShort Future
jacksondowney5

Entry comments: 3PLT short. risking 5 points to make 13.75 (2.75 R)

Exit comments: 3PLT short. moved stop down a little lower. good thing I did. it absolutely blasted off on the next 15 min candle

000

Broker:ETrade
-$200 Loss
ESLong Future
jacksondowney5

this was a bored/overtrade. no edge on this day.

000

Broker:ETrade
$625 Profit
ESLong Future
jacksondowney5

NQ breaking above its resistance from Weds afternoon was a big clue. ES closed its 9 hourly candle higher than any other candle from last week. Bought the pullback to ES Friday afternoon resistance, which was also this morning's pre-market resistance, at the same time NQ was pulling back to its high from Friday

000

Broker:ETrade
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