ES Futures: Breakout or Fakeout? Trade Plan Inside
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🔥 **ES Futures Setup (2025-09-20)** 🔥
📊 **Market View:**
Leaning **BULLISH** (short/medium-term) ✅
– MA stacking + MACD support longs
– BUT: low volume + RSI \~70 + Stoch \~78 = risk of fake breakout ⚠️
🎯 **Trade Plan (Market Open):**
* Direction: **LONG**
* Entry: **6658.77**
* Stop: **6574.64** (-84 pts / \$4,207 risk)
* Targets:
• T1: 6742.91 (+84 pts / \$4,207)
• T2: 6784.98 (+126 pts / \$6,310)
• T3: 6826.99 (+168 pts / \$8,413)
📏 **Size:** 1 contract (risk \~4.2% on \$100k acct — scale responsibly)
💪 **Confidence:** 60%
⏰ **Timing:** Market Open
⚠️ **Risks:**
– Low volume (\~0.31x norm)
– Overbought oscillators
– Tech weakness could drag index
✅ **Rationale:**
Trend + MA stack favors longs. Use 1.5 ATR stop. Lock gains at T1/T2, let runners push to 2R.
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🚀 **ES LONG 6658.77 → TP 6826.99 | Stop 6574.64 | 60% Confidence** 🚀
Esfuturescall
ES Futures Long Setup! Ride the Bullish Momentum!
🚀 **ES Futures Long Setup! Ride the Bullish Momentum!** 🚀
📊 **TRADE IDEA – E-mini S\&P 500 (ES)**
**💡 Direction:** LONG
**🎯 Entry Price:** 6489.75 (Market Open)
**🛑 Stop Loss:** 6440.60 (ATR-based, \~49 pts)
**📈 Take Profit:** 6588.06 (2:1 R\:R)
**📏 Position Size:** 1 contract (scale per risk tolerance)
**💪 Confidence:** 62%
**🔥 Trade Rationale:**
* Price above 10/20/50/200 SMAs & EMA9/21 → bullish alignment ✅
* ATR-aware stop protects against volatility ⚡
* Reward-to-risk ratio 2:1 for controlled upside 💹
* Cautiously bullish: MACD short-term mixed, but overall trend supports a long
**⚠️ Key Risks:**
* Negative MACD histogram → possible short-term pullback
* ATR high → dollar risk per contract larger
* Price near 20-day high → monitor for resistance
* Economic data releases can increase volatility
**📌 Execution Notes:**
* Enter at market open at 6489.75
* ATR-based stop below 6440.6
* Target 6588.06, consider scaling out or partial profit taking
💥 **Don’t miss this ES long trade with defined risk & high upside potential!**
ES Futures Trade Setup – Long Opportunity
🎯 **ES Futures Trade Setup – Long Opportunity**
📌 **Instrument:** ES
📈 **Direction:** LONG
💰 **Entry Price:** 6415.50
🛑 **Stop Loss:** 6353.98 (1 ATR below entry)
🏹 **Take Profit:** 6480.00 (\~64.5 points)
📏 **Position Size:** 3 contracts
💪 **Confidence:** 65%
⏰ **Timing:** Enter at market open
⚠️ **Key Risks:** Mixed short-term signals may cause volatility. Move below 6400 could invalidate trade.
✅ **Rationale:** Long-term bullish trend remains intact; favorable risk-reward despite short-term bearish momentum.