Thursday, August 20, 2020

Aug 23-28 2020 Weekly Trade Planning

 Bias: Risk ON : Mixed


Strategy: Fundamentals + Weekly Pivot Point  

Entry

1) Buy between M2-WPP or Sell between M3-WPP
2) Monthly Pivot point

Take Profit : Respective Profit Zones (R1 or M4 or R2)

Stop Loss: 50 pips (Depending on lot size)

Lot Size: 0.01


AUDUSD:


EURUSD:



GBPUSD:



NZDUSD:


USDCHF:


EURJPY:


Trying out Harmonic Pattern Indicator

GBPCAD: (PROFITABLE)

AUDNZD: (PROFITABLE)



EURCAD: (STOPPED OUT, did not hit profit target)


GBPCHF: (STOPPED OUT but also hit the profit target)

GBPUSD: Against my primary bias and trade plan (PROFITABLE)


AUDNZD: (8/23/2020) : (hit profit target)


USDCHF: (11:27pm 8/23/2020) : (Took partial profit)


USDCAD: (Pending buy order 11:31pm 8/23/2020) : (Took partial profit)


CADJPY: (Pending order 11:34pm 8/23/2020)


CHFJPY: (Pending order 11:38pm 8/23/2020) : (Did not trigger)

AUDJPY: (Pending order 11:41pm 8/23/2020) : Did not trigger

GBPAUD: Buy,  6:39am 8/24/2020

NZDJPY: Buy, 6:47am 8/24/2020


AUDCAD: Short, 6:52am 8/24/2020 (Stopped out)


NZDCAD: Short, 8:51am 8/24/2020 (Hit stop loss)


GBPJPY: Short, 9:58am 8/24/2020


NZDCAD: Short, 12:39pm 8/24/2020

GBPJPY: Short, 8:45am 8/25/2020


GBPJPY: Pending Order, 8:45am 8/25/2020


CHFJPY: Pending Order, 8:45am 8/25/2020


AUDUSD, Sell, 6:06pm 8/25/2020


GBPCHF, Pending order sell stop, 10:09am 8/26/2020


EURCAD Monthly: Short, 10:21am, 8/26/2020


GBPUSD counter trade: Short, 10:29am, 8/26/2020

AUDCAD: Short, 10:52pm, 8/26/2020 (Stopped out)

(Stopped out)


CHFJPY: Short, 8:53am, 8/27/2020


AUDCAD: Short, 8:58am, 8/27/2020


EURCAD: Polygon, Long, 9:05am, 8/27/2020

EURNZD: Polygon, Long, 9:05am, 8/27/2020

GBPUSD: PivotPoint PA, Long, 9:19am, 8/27/2020


NZDUSD: PivotPoint PA, Long, 9:19am, 8/27/2020


 NZDJPY: HPI, Short, 10:18pm, 8/27/2020


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