pairtrade

IvanLabrie IvanLabrie PRO USOIL, D, Short , 22 days ago
USOIL: USOIL/CADUSD: Oil/CAD spread is too wide
477 12 21
USOIL, D Short
USOIL/CADUSD: Oil/CAD spread is too wide

I think we have an ideal spot to short both USDCAD and USOIL as a pair trade (or just short $USDCAD with a 3 average true range stop loss). I'd reccomend sizing each leg to risk 1% if price goes against you by 3 times the average true range in the daily chart and holding it for roughly one month, at least. Good luck, Ivan Labrie.

IvanLabrie IvanLabrie PRO SLV, M, Long , 2 years ago
SLV: SLV: Good chance for longs
314 10 18
SLV, M Long
SLV: Good chance for longs

I'm long silver as of today, stop under the previous low in the 1h chart. This is a very aggressive and potentially dangerous entry, but I think it's fairly possible to see a rally here. Even more than a continuation in gold. In fact, I'll add the silver/gold ratio to the comments section to illustrate my reasoning here. We can profit from this Silver rally in ...

IvanLabrie IvanLabrie PRO EURGBP, W, 2 years ago
EURGBP: EUR vs GBP: Pair trade setup
285 4 15
EURGBP, W
EUR vs GBP: Pair trade setup

Simple trade, trends are pretty clear here I believe. EURGBP is a strong downtrend and will resume its direction this week I believe. GBPUSD is an interesting long setup, with 11 weeks at one price and sitting above the mode currently. You can market buy now, but it'll be 100% confirmed once it reaches my entry level on chart (1.57084). Targets are for both time ...

IvanLabrie IvanLabrie PRO USOIL, D, 2 months ago
USOIL: Oil/Cad: Gigantic spread spotted
708 4 29
USOIL, D
Oil/Cad: Gigantic spread spotted

I think it might be a good time to trade this pair, short oil, long cad. You can size each leg based on volatility, to risk 1% per side, if price moves against you by 3 times the average true range value of each instrument. Once the spread closes or is close to closing you can get out of both trades. Good luck, Ivan Labrie.

still_waters still_waters PRO USDCAD, 240, Short , 3 months ago
USDCAD: USDCAD Short Idea
56 1 8
USDCAD, 240 Short
USDCAD Short Idea

I was checking out USD/CAD amongst the several pairs on my watch list, and it looks like a decent opportunity to short. Support from October is @ 1.30036

IvanLabrie IvanLabrie PRO NOKUSD/MXNUSD, D, Long , 3 months ago
NOKUSD/MXNUSD: NOK/MXN: I'm long
77 0 9
NOKUSD/MXNUSD, D Long
NOK/MXN: I'm long

I'm long USDMXN and short USDNOK here, same size per trade. You can take a position with 10k per side, per every 10k in your account. Good luck, Ivan Labrie.

hpspain hpspain DAX/RUT, M, Long , 4 months ago
DAX/RUT: SPREAD BETWEEN DAX and RUSSELL 2000 (HISTORICALLY)
73 0 3
DAX/RUT, M Long
SPREAD BETWEEN DAX and RUSSELL 2000 (HISTORICALLY)

As you can see this spread shows Risk Appetite. If Russell goes parabollic like these weeks (Without Reason, just DXY effect, but remember this is bad for US Exports which are key for smallUS Caps)...Also the US 10yrs bond has driven a long AveMaria Pass till 2,30%, which means higher WACC in all Discounted Free Cash Flows Models...) Yes US Equities, are ...

henriqetome henriqetome USDJPY, 60, 4 months ago
USDJPY: USDJPY H1
77 0 2
USDJPY, 60
USDJPY H1

Im not sure if it can through the strong resistance as you can see in daily chart.here is my method with fibonacci. Hope you guys enjoying

IvanLabrie IvanLabrie PRO XAUXAG, D, Short , 4 months ago
XAUXAG: Gold/Silver ratio: Long term bearish decline
278 2 13
XAUXAG, D Short
Gold/Silver ratio: Long term bearish decline

The Gold/Silver ratio shows an interesting setup here, and correlation to inverted SPX, which points to the nature of the ratio's movement tied to risk off/on phases. This has to do with the real world applications silver has as an industrial metal, compared to gold's function as a store of value and risk off protection. I think we can see a long term decline, ...

IvanLabrie IvanLabrie PRO AAPL/FB, W, Long , 5 months ago
AAPL/FB: AAPL/FB: Holding this pair trade for a long time
102 0 7
AAPL/FB, W Long
AAPL/FB: Holding this pair trade for a long time

I like thow this setup looks here, we can hold FB shorts, whilst being long AAPL for a good while if this setup pans out. Size on each leg should be based on 3 times the daily average true range value, to risk 0.5-1% per side if you were to be stopped out at that distance (but don't use any stops). Good luck! Ivan Labrie.

IvanLabrie IvanLabrie PRO HYG/TLT, D, Short , 5 months ago
HYG/TLT: HYG/TLT: Short the ratio
81 0 13
HYG/TLT, D Short
HYG/TLT: Short the ratio

We have an interesting pair trade here, you can take a short position in HYG, paired against a long in TLT to capture the profit from the spread closing. Right now, HYG moved too much, relative to TLT, so it's bound to correct back down, giving us a low risk trading opportunity. Position size should be enough to theoretically risk 0.5-1% of the account if price ...

IvanLabrie IvanLabrie PRO QQQ/EWG, W, Long , 6 months ago
QQQ/EWG: QQQ/EWG: Merkel gave us green light, short Germany and long QQQ
156 8 14
QQQ/EWG, W Long
QQQ/EWG: Merkel gave us green light, short Germany and long QQQ

This potentially a very rewarding pair trade. You can enter shorts in Dax (either via CFDs or using the EWG etf) and longs in Nasdaq composite (CFDs or via the QQQ etf), risking 1 time the monthly average true range (but using no stop - the idea is merely to size the trade based on volatility). This is potentially a long term trade, and a good way of gaining short ...

IvanLabrie IvanLabrie PRO GLD/SLV, D, Long , 6 months ago
GLD/SLV: GLD/SLV: Sell your gold for Silver!
348 4 14
GLD/SLV, D Long
GLD/SLV: Sell your gold for Silver!

We have a nice setup here, you can take an equal dollar weight, which if trading futures, is roughly 2:1 on silver vs gold allocation (long/short). With stocks it's simple, I reccomend a 7% capital allocation to this trade, per side and no stop loss. This is quite easily a 4R trade once it pans out favorably. Good luck! Ivan Labrie. PS: Contact me if interested ...

IvanLabrie IvanLabrie PRO WFM, D, 7 months ago
WFM: WFM/WMT: Pair trade setup
127 0 14
WFM, D
WFM/WMT: Pair trade setup

We can take a pair trade here. Let's enter long WFM/WMT. Basically, we'd consider risk per share, to determine the amount of shares to long and short on each leg of the pair, but not use any stop loss. Profit will result from WFM outperforming WMT in the coming months. Good luck! Ivan Labrie.

IvanLabrie IvanLabrie PRO GBPCAD, D, Long , 7 months ago
GBPCAD: GBPCAD: Nice long setup
218 2 23
GBPCAD, D Long
GBPCAD: Nice long setup

Spread between GBPUSD and CADUSD is too wide, it'll be closed soon. We can see that this is a clear long. Let's use a safe and more conservative stop loss for now. Cheers! Check out my updated track record here: http://pastebin.com/6CyyqnPT If interested in my real time whatsapp alerts and swing trading newsletter, or in personal tuition, contact me privately. ...

IvanLabrie IvanLabrie PRO AUDCAD, D, Long , 7 months ago
AUDCAD: AUDCAD: Uptrend continuation trade
136 3 13
AUDCAD, D Long
AUDCAD: Uptrend continuation trade

We have a nice potential trade setting up in AUDCAD. The uptrend has been quite strong, and retesting this key level gives us good reason to reenter longs. This week I'll post some of the trades I send to my signals clients, stay tuned for more. Check out my updated track record here: http://pastebin.com/6CyyqnPT If interested in my real time whatsapp alerts ...

IvanLabrie IvanLabrie PRO NOKUSD, D, Long , 7 months ago
NOKUSD: NOK: Norwegian krone is a long against the yen
138 0 21
NOKUSD, D Long
NOK: Norwegian krone is a long against the yen

We have a nice pair opportunity (and perhaps a great *USD trade) in the NOK crosses. NOK shows excellent relative strength, and has a lot of catching up to do with the Yen, which makes it ideal to long NOKJPY or long NOKUSD and short JPYUSD, risking 1 weekly/monthly ATR per side. The NOKUSD trade is to long at market or on dips, and risk a drop under today's open, ...

IvanLabrie IvanLabrie PRO USOIL, D, Short , 7 months ago
USOIL: SPX500/USOIL: Spread is reaching critical mass
1706 16 59
USOIL, D Short
SPX500/USOIL: Spread is reaching critical mass

This has happened right before the last two crashes, and when the spread closed, a bottom (and a great long opportunity) formed. Watch this closely, the writing is on the wall. I'm holding SPY shorts, as well as oil, for the time being, expecting considerable downside in the short term. I think the catalyst will be on Friday, after NFP solidifies the rate hike ...

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