I was looking for some spread opportunities to have fun with reduced risk trades. Possible opportunity relies on Gold/EURUSD spread. The week started with Gold losing 0.8% and EURUSD losing 0.10%, trading around its 20 Period SMA. I plotted XAUUSD chart and overlapped it on the EURUSD chart (using 4h candles). I found one interesting shared support ($1509 for...
BTC-28FEB20 Put Ratio Spread Sell 2x 2/28 6500P for 0.0430 ($315) Buy 1x 2/28 7000P for 0.0700 ($510) Net Credit: 0.0160 ($120) Max Profit (if pinned @ 6500): Approximately 0.0850 ($620) Margin Requirements: 0.2700 ($1975) due to Deribit not having complex orders Break Even: $5,880 This is a neutral to bullish trade. Anything above 7000 and profits are capped...
update only to show a negative balance at the moment.
Hello Only one day left before 2020. This is just an update. Thank you.
New strategy. Basket trading DIA + SPY + QQQ. I will go DIA + QQQ and hedge with SPY. 1 + 1 - 2 This is a swing strategy. Good luck.
IV is pretty high on ULTA after the drop and its trending well, there are a few false breakouts and RSI is rising. Looks like a good play. 2x Iron condor spread 200/205/275/280 Credit collected as $144 deltas were 0.33 and 0.2 on the options sold I plan to take my profit at 30% max credit since the IV isn't that high for this to be a 50% max credit trade and...
NGK2020-NGN2020 Clear Breakout of the level of support on this seasonal spread between the two futures contracts of Natural Gas. In the last 17 years this trade has ended at a profit in the seasonal window. From the Backtest we get an RRR of 5.17 and then place our short order.
Much weaker than Class III Great spread opportunity
Please see text notes in video.
I got a good hit on my last earnings play which I didn't post TRV so I'm going for one on this. Put Spread $232.50/220 Cost per spread was 4.36 Holding 2 spreads. Nov 8 exp We will see what happens. Looks like a small bearish divergence. God speed.
SPY Put spread strategy. There are many things going on within the market. Rate cut odds are high if there is a letdown with no rate cut on the 28th the market will belly flop. If ISM numbers are even worse next month then it'll flop. If china and the tariff situation gets worse because GDP numbers were poor in china and they may sour relations due to the trade...
Real Life Trading Philosophy - Watch out for that big truck in your lane!If you are driving down the road and a truck is coming straight at you, in your lane, do you stay in that lane or swerve across to the empty lane where you are not supposed to be? The rules are clear, you are not supposed to be over there. The system says don’t do it, but reality is an...
OKTA Put Spread 105/100 Cost was $2.07 was the put cost. EXP Nov 15. we'll see how it pans out looks like the pattern is breaking down. Max gain will be 50% or $150 and max loss is the same
Hello there is a video on YouTube - Charles Carey Agriculture in Illinois Session 3 www.youtube.com I am sharing it as you will at the beginning the guess is talking about the spread briefly. Around 1:20 telling us that participants spread between the products. Thank you.
1: Always Use a Trading Plan 2: Treat Trading Like a Business 3: Use Technology 4: Protect Your Trading Capital 5: Study the Markets 6: Risk Only What You Can Afford 7: Develop a Trading Methodology 8: Always Use a Stop Loss 9: Know When to Stop Trading 10: Keep Trading in Perspective
Hello my quick recap so far -8-) I am out most of the trades for +/- 300$ profit. I am in a small spread. As i do not see much opportunity my side at the moment. All in light size. I will trade more spread in ETF PAIRS.
Employing an ETF pairs strategy may be useful when there is a disconnect between assets that are usually highly correlated. Sector, country, and index ETFs also provide opportunities for the pairs trader, usually involving going long on a strong ETF and short on a weaker one. It’s important to exit the trades when the assets realign or the trends of strong and...