DAX (Germany 40) Technical Outlook | Trend Continuation๐ฉ๐ช DAX 40 (Germany 40) Index CFD โ Day/Swing Trade Blueprint ๐๐ผ
๐ก MARKET SETUP โ Current Price: โฌ24,539 | Status: BULLISH PULLBACK CONFIRMED โ
๐ TECHNICAL THESIS โ SMA Pullback Strategy in Uptrend
The DAX 40 remains embedded in a controlled uptrend with price holding above key moving average support. After a brief pullback from record highs near โฌ25,507 (Jan 13 peak), the index is consolidating between โฌ24,300โโฌ24,600 support zone and is primed for the next liquidity sweep northbound.
Key Technical Confluences:
๐ฏ Simple Moving Average (SMA) Support โ Price respecting 50/200 SMA alignment
๐ฏ Pullback Validation โ Higher lows being held on every dip
๐ฏ Volume Profile โ Acceptance above โฌ24,500 confirms buyer conviction
๐ฏ Risk/Reward Setup โ Clean 1:2 to 1:3 risk-to-reward available from entry zones
๐ช ENTRY STRATEGY โ Thief Trader Method: LAYERED LIMIT ORDERS
Rather than chasing market orders, we use intelligent limit entry layering for superior fill quality ๐ช
๐ฏ Entry Tier 1 (Aggressive): โฌ24,300 โ Pullback support zone
๐ฏ Entry Tier 2 (Standard): โฌ24,400 โ Mid-zone accumulation
๐ฏ Entry Tier 3 (Conservative): โฌ24,500 โ Breakout confirmation
๐ฏ Entry Tier 4 (Momentum): โฌ24,600 โ Early breakout entry
๐ฏ Entry Tier 5 (Top-Side): โฌ24,700 โ Late breakout re-entry
Pro Tip: Stack positions on each tier, take partial profits at each level, never chase single entry. That's the Thief OG way! ๐ฅ
๐ PROFIT TARGETS โ Liquidity Grab Methodology
TP1: โฌ25,300 โ "First Liquidity Grab Completed" ๐ฏ
Level Significance: Captures the first major resistance sweep
Distance from Entry (avg โฌ24,500): +800 pips = 3.27% gain
Action Plan: Lock in 30โ40% of position here, move stop to breakeven, let remaining contracts run
TP2: โฌ26,000 โ "Final Liquidity Sweep โ Exit Complete" ๐
Level Significance: Captures pending buy-side stops above the January peak
Distance from Entry (avg โฌ24,500): +1,500 pips = 6.12% gain
Action Plan: Exit remaining 60โ70% of position
Bonus Target (Advanced): โฌ27,500 (DZ BANK year-end consensus forecast)
๐ STOP LOSS PLACEMENT โ Risk Management First
Thief Trader Stop Loss: โฌ24,000 โ
Rationale: Sits 300 pips below primary entry zones; below key support cluster
Risk per Contract: If risking โฌ500, that's ~โฌ150โ200 loss per standard lot
Position Sizing: Scale contracts based on your risk tolerance โ never YOLO on DAX volatility
โ ๏ธ DISCLAIMER โ Risk Ownership: This is YOUR trade, YOUR money, YOUR risk. Only you know your account size and risk appetite. Set your own SL based on your strategy โ this is guidance only, not financial advice.
๐ CORRELATED PAIRS TO WATCH โ Multi-Market Confluence ๐ก
EUR/USD (โฌ1.0750โโฌ1.0900)
Correlation: Direct positive โ Weaker euro = cheaper German exports = DAX bullish
Setup: If EUR/USD strengthens toward โฌ1.09, DAX gets export tailwinds
Watch: ECB rate cut signals typically weaken the euro, supporting DAX
EuroStoxx 50 (EU50) โ โฌ4,800โโฌ5,000
Correlation: Very high positive โ DAX is 30% of EuroStoxx
Logic: If EU50 breaks above โฌ5,000, DAX gets secondary push
Action: Use EU50 as confirmation of DAX strength
Germany/US 10Y Yield Spread (TERSE)
Correlation: Negative โ If German bunds rally (yields fall), that signals rate-cut expectations = DAX bullish
Watch Level: German 10Y below 2.20% = risk-off, flight-to-quality scenario favoring equities
Oil Price (WTI/Brent โ $70โ$85/barrel)
Correlation: Mixed โ German manufacturers love cheap energy, but weak oil signals recession fears
Sweet Spot for DAX: Oil โฌ75โโฌ80 = moderate inflation, exporters happy, equities safe
VIX Equivalent (V-DAX) โ Volatility Gauge
Current Level: V-DAX around 16โ18 = healthy, not panicked
Watch: If V-DAX spikes above 25 = pullback risk, tighten stops; below 14 = complacency building
๐ FUNDAMENTAL & MACROECONOMIC DRIVERS
๐ด RECENT DATA (As of Feb 2, 2026)
German Economic Resilience:
โ
Q4 2025 GDP: +0.3% QoQ (beat expectations) โ German economy avoiding recession
โ
Inflation: 2.1% YoY (Jan 2026) โ Near ECB's 2% target, gives rate-cut room
โ
Unemployment: Stable at 6.3% โ Labor market holding up despite manufacturing softness
โ
Industrial Output: Mixed signals โ three consecutive growth months but export weakness noted
๐
UPCOMING CATALYSTS โ Mark Your Calendar
๐ด Early Feb โ Adidas โฌ1B Share Buyback Launch โ Positive momentum boost for blue-chips
๐ด Feb 6 โ German Factory Orders (Expected: -0.5%) โ Soft = industrial weakness signal
๐ด Feb 7 โ German Industrial Production โ Weak data could cap upside
๐ด Feb 13 โ ECB Rate Decision & Guidance (50% odds of Q1 cut) โ CRITICAL for bullish conviction
๐ด Late Feb โ Q4 Earnings (SAP, Deutsche Bank, Siemens) โ Tech names driving DAX
๐ด Ongoing Risk โ Trump Tariff Uncertainty (10โ25% on EU goods) โ Watch for deal announcements โ ๏ธ
โ ๏ธ KEY RISKS & INVALIDATION LEVELS
Tariff Shock Risk ๐จ โ Trump's โฌ93B EU retaliation threat could spark 2โ3% gap-down move
Invalidation: Break below โฌ24,000 = thesis broken, exit immediately
Manufacturing Data Miss โ Next weak industrial orders could trigger flight-to-safety
Watch: If German factory orders miss by >1%, reduce position size
ECB Hawkish Surprise โ Inflation re-acceleration limiting rate cuts
Monitor: Feb 13 ECB guidance; any surprise on rates kills momentum
Geopolitical Shock โ Middle East escalation, energy supply disruption
Action: Set alerts at โฌ24,200 (hard support break); have exit plan
๐ฐ RELATED PAIRS & INDICES TO MONITOR โ Build Your Watchlist
Auto & Industrial Heavy (DAX Largest Sectors):
BMW | Volkswagen | Mercedes-Benz โ Auto bellwethers; watch for delivery/margin guidance
Siemens | Allianz | BASF โ Industrial & insurance anchors
Tech Superstars (Momentum Drivers):
SAP (4.19% up on Jan 30) โ Europe's largest software name; Q4 earnings Feb 2026 expected strong
Infineon (+2.6% recent) โ Chip recovery play; AI power supply demand surge
Deutsche Telekom โ Telecom stability play; steady dividend support
Defense & Infrastructure Play (German government capex boost):
Rheinmetall | Hensoldt โ Defense spending beneficiary
MTU Aero Engines | Airbus โ Aerospace recovery
๐ฏ TRADER MOTIVATION & MINDSET โ Thief OG Philosophy ๐ฅ
"Patience is a hunter's greatest weapon. You don't chase the marketโyou let it come to you on YOUR terms, with YOUR limit orders, at YOUR price." โ The Art of Profitable Trading
Core Principles:
Limit Orders Over Market Orders โ Never be desperate for entry; let liquidity sweep to you
Scale in / Scale out โ Never all-in, never all-out; manage position dynamically
Respect Your Risk โ If you can't afford a โฌ500โโฌ1,000 stop loss, reduce size, not conviction
Trail Your Stops โ Once profitable, move stop to breakeven, then chase profit; reduce emotional pain
Ignore FOMO โ DAX trades 9 AMโ5:30 PM CET, 5 days a week; the trade will always be there
Macro Before Technicals โ Check ECB calendar, US data, tariff news BEFORE entering any position
๐ค FINAL WORDS โ Professional Trader's Wisdom
The DAX 40 is sitting at a critical juncture โ neither euphoric, nor broken. Recent price action shows controlled accumulation, not panic. The setup from โฌ24,300โโฌ24,700 entry cluster toward โฌ25,300โโฌ26,000 targets is textbook risk-to-reward for swing traders.
But here's the truth: Timing is 10%, risk management is 90%. You can have the perfect technical setup, but if you size wrong, set SL wrong, or trade without a plan, you'll lose. Conversely, even a mediocre entry with tight risk management can print money.
So go in with conviction, but trade with discipline. The market doesn't care about your egoโonly your P&L.
๐ TRADING CHECKLIST โ Before You Click "BUY"
Is today NOT a major ECB/Fed event day? (If yes, reduce size 50%)
Is DAX above its 200 SMA on daily chart? (Confirming uptrend)
Have I set my limit orders at โฌ24,300, โฌ24,400, โฌ24,500, โฌ24,600, โฌ24,700?
Is my stop at โฌ24,000 with position size that I can afford to lose?
Do I have TP1 (โฌ25,300) and TP2 (โฌ26,000) alerts set?
Have I checked the news? (tariffs, ECB, US market overnight)
Is my risk per trade โค 2% of my account? (Professional standard)
Do I know what will invalidate this thesis? (Yes โ โฌ24,000 break)
If you ticked all boxes โ
โ You're ready to trade like a pro.
Happy Trading! ๐ฏ Remember: The goal is not to win every trade; it's to keep winning over 100 trades.
๐ Pairs Mentioned: XETR:DAX | Germany 40 CFD | EUR/USD | EuroStoxx 50 | VIX / V-DAX | WTI Crude Oil
Germany30
DAX/GER - Market Outlook & Trade PlanGreat work today โ BOTH UK100 and AUS200 smashed their targets.
Momentum is lining up exactly as expected.
Now shifting focus to DAX with a clean, disciplined plan:
DAX Trade Plan
Entry Zone
Buy Limit: 24300โ24320
STOP LOSS
SL: 23260
Target 1: 24365โ24415 - Take partial profits. Move stop loss to breakeven
Target 2: 24435โ24600
Expected to be reached by the next US market open
Rough estimate: ~20 hours from now
Market Timing Expectations
European Open Tomorrow
We expect Target 1 to be hit comfortably during the first phase of European market activity.
Recovery Window
First 6โ8 hours: Market should stabilise and build structure
Following 16โ24 hours: Strong recovery expected, aligning with US session momentum
This aligns with current liquidity cycles and the broader recovery pattern weโve been tracking.
LETS GO
DAX30/GER30 - 3RD TIME LUCKYTeam, twice we are kicking ass on DAX/GER today
Now the price are at 25249 which is much better than price we short earlier.
Time to short at 25247-25255 - please ADD more at 35296-25315
STOP LOSS at 25365
Target 1 at 25215-25193
Target 2 at 25186-25155
PLEASE ALWAY FOLLOW TO RULE, take partial in 1st target and bring stop loss to BREAK EVEN..
Thats our safety rule.
LETS GO !
DAX30/GER30 - YOU DONE IT AGAINTeam, 12 hours ago we short the DAX at 25198 and our 1st target hit.
Again we have opportunity to short better price at 25227-25232 ranges
if it is heading toward 25245-60 ranges, we add for more short position and better volume
STOP LOSS at 25315
Target 1 at 25185-25167
Target 2 at 25140-25132
NOTE: FEBRUAY, I STILL expect the market will pull down toward 24800-24400
LETSO GO
DAX/GER - THEY DONE IT AGAINTeam, last two days I been able to make quite good profit on DAX,
yes, you need to understand where the market move and able to take on scalping trade,
Last two days, it has reached new high, but also give you room to short and take profit around 25000-25030
The price currently at 25198 and when the real market open, it could retest the old high at 25225-30. twice it reach that level resistance
Just encase it break out, it likely to heading toward 25250-60 ranges, and it will start to drop back toward 25085-50
So short now at this level 25198-25203 - STOP LOSS at 25315
We need to give room if the market goes against us toward 25250-25260 then I will short more heavier at this level.
Target 1 at 25167-25145
Target 2 at 25087-25050
NOTE: I STILL expect the market will pull down toward 24600-24400
Last 6 months ago, I was prove my trading $1000 turn into 100k in 6 months
I recently prove again $400, turn over 22k in 6 weeks, using scalping and swing trade.
All my trades post daily in my Community.
LETS GO
DAX30/GER30 - WAKE UP AT 4AMTeam, I just wake up at 4am
Earlier we kill the DAX with both target hit, please check previous posted.
NOW, we have opportunity to short at much more better price, as I expect the retest will come back.
Time to short at 24877-24886, STOP LOSS at 24965
Target 1 at 24832-24816 - take partial and bring stop loss to BE
Target 2 at 24796-24785
LETS GO AND KILL THE BEAST.
NOTE: I expect the market will drop once the REAL EUROPEANING market opening which is estimate 14-16 hours from here!
DAX30/GER30 - THE TIME HAS COMETeam, sound a little funny, but DAX took some viagra today so I wait for the pump to be exhausted.
We are shorting at 24786, with stop loss at 24880 just to be safe
I expect next 6-12 hours, market will dump toward our target
Target 1 at 24732-24715 PLEASE TAKE PARTIAL AND BRING STOP LOSS TO BREAK EVEN
Target 2 at 24696-24675
TODAY WE HAVE UK100.FTSE100 SHORT AGAIN and target hit
NOW LETS GO.
DAX30/GER30 - Short Setup โ Structured Trade PlanTeam, it has been a while since we trade DAX, since holiday season, i just take it easy and do more scalping trade.
Earlier Execution
Short entry: 23,459
Partial TP: 23,426
Nice scalp โ clean reaction, good risk control.
Current Bias
Market still in holidayโflow mode
Liquidity pockets are thin
DAX pushing into premium levels
Youโre anticipating a liquidity grab โ rejection โ short continuation
Entry Zone (Short)
24,465โ24,472
This aligns with:
Liquidity above intraday highs
A likely sweep zone before reversal
A premium pricing pocket for shorts
Target 1: 24,426โ24,415
Take partial
Move stop to breakโeven
Lock in a riskโfree runner
Target 2: 24,389โ24,372
Full target zone
LETS GO
DAX40 Momentum Shift: Layered Buy Setup for Clean Profit Flow๐ DAX40 (GER40) BULLISH BREAKOUT ALERT! | Layer Strategy for MAX Gains ๐
๐ DAX40 BULLISH BREAKOUT CONFIRMED! ๐ (Swing/Day Trade Setup with Layer Entry)
๐ Idea: Strong bullish momentum on the GER40 / DAX 40 following a decisive breakout above key moving averages! Perfect setup for a structured "thief-style" layered entry to capitalize on the trend.
๐ KEY LEVELS & PLAN:
Trend: Bullish (MA Breakout Confirmation)
Entry Strategy: "Thief" Layer Method ๐ฏ
Use multiple BUY LIMIT orders at key dips: 23,600 | 23,700 | 23,800 | 23,900 (Add more layers based on your capital).
This averages your entry and maximizes opportunity on pullbacks.
Stop Loss (SL): 23,400 (Thief OG's Zone โ ๏ธ).
IMPORTANT NOTE: Adjust your SL based on YOUR risk tolerance & strategy! This is a guide, not financial advice. Protect your capital.
Take Profit (TP): Target Zone: 24,500 ๐ฏ
Strong resistance & potential overbought trap area. Secure profits wisely!
REMINDER: Manage your own TP. Take money at your own risk.
๐ PRO TRADER NOTES:
This "thief" layer strategy requires patience & discipline. Let the market come to your orders. Never risk more than 1-2% per layer. Trade with a plan, not emotion!
๐ RELATED PAIRS TO WATCH (KEY CORRELATIONS):
FX:EURUSD : INVERSE Correlation. A stronger Euro can pressure DAX (export-heavy index). Watch for USD weakness supporting DAX rallies.
CAPITALCOM:US30 (Dow Jones) / SP:SPX (S&P 500): POSITIVE Correlation. US market strength often lifts European indices. Key for overall risk sentiment.
ICMARKETS:STOXX50 (Euro Stoxx 50): HIGH Correlation. Broader European index performance.
BUND Futures (/FGBL): INVERSE Correlation. Rising German bond yields (falling prices) can signal economic optimism, often supporting DAX.
EUR/GBP ( OANDA:EURGBP ): UK/EU economic relative strength flows.
๐ LIKE & FOLLOW if you found this useful!
๐ฌ COMMENT your entry levels or chart insights below!
๐ Click the BELL on my profile for real-time idea alerts!
#DAX #GER40 #TradingView #Breakout #Bullish #SwingTrading #DayTrading #LayerStrategy #TradingPlan #Forex #Indices #Investing #Stocks #ThiefStrategy #EURUSD
Germany 40 Bullish Bias | Buy the Dip Strategy๐ GER40 / DAX40 โ Germany 40 Bullish Swing Trade Playbook
๐ฉ๐ช ASSET OVERVIEW
๐ GER40 / DAX40 (Germany 40 Index)
๐ฐ๏ธ Trade Type: Swing Trade
๐ผ Market: European Equity Index CFD
๐ The DAX40 represents Germanyโs top 40 blue-chip companies, making it highly sensitive to:
๐ช๐บ Eurozone economic sentiment
๐ญ Industrial & export demand
๐บ๐ธ US equity market direction
๐ง MARKET STRUCTURE ANALYSIS
๐ข Overall Bias: BULLISH
๐ Why Bullish?
โ
Higher highs & higher lows intact
โ
Price holding above key dynamic support
โ
Buyers stepping in on every dip
๐ This confirms trend continuation, not reversal.
๐ TECHNICAL CONFIRMATION
๐ Indicator Used: HULL Moving Average (HMA)
๐ Why HULL MA matters?
โก Faster than EMA & SMA
๐ Reduces lag during strong trends
๐ Excellent for pullback entries
๐ข Current Condition:
โ๏ธ Price has pulled back into the HULL MA
โ๏ธ No structure break
โ๏ธ Indicates healthy correction, not weakness
๐ฏ ENTRY STRATEGY (DETAILED)
๐ Entry Method: Any Price Level (Layering Allowed)
๐งฉ Thief Strategy โ Layered Buy Orders
This strategy spreads risk and improves average entry.
๐ข Buy Limit Layers
๐ฉ 23900
๐ฉ 24000
๐ฉ 24100
๐ฉ 24200
๐ Why Layering Works?
๐ง Reduces emotional entries
๐ Handles volatility smoothly
๐ Improves risk-to-reward ratio
โ ๏ธ You may add or reduce layers depending on capital size and risk rules.
๐ STOP LOSS LOGIC
๐ด Reference Stop Loss: 23700
๐ง Why this level?
๐ Below recent swing structure
โ Break below = bullish structure invalid
๐ก๏ธ Protects capital if trend fails
โ ๏ธ Important Reminder
โ This SL is not mandatory
โ Adjust SL based on:
Account size
Risk percentage
Personal strategy
๐ TARGET & EXIT ZONE
๐ฏ Primary Target: 24700
๐จ Why Take Profits Here?
๐ โPolice Force Zoneโ โ Strong historical resistance
๐ Overbought conditions expected
High probability of bull trap / profit booking
๐ Smart traders exit into strength, not greed.
๐ RELATED MARKETS & CORRELATION ($ WATCHLIST)
๐บ๐ธ US30 / Dow Jones
๐ Strong Positive Correlation
Both driven by industrial & manufacturing sectors
Dow strength = confidence for DAX upside
๐บ๐ธ NAS100
โก Risk-On Indicator
Tech rallies improve global risk sentiment
Supports European indices indirectly
๐ซ๐ท FRA40
๐ Regional Confirmation
Confirms broader Eurozone equity strength
Weak FRA40 = caution for DAX longs
๐ถ EUR/USD
๐ฑ Inverse Sensitivity
๐ Strong EUR โ pressure on German exporters
๐ Weak EUR โ boosts DAX upside
๐ Always monitor EUR moves before major DAX pushes.
โ ๏ธ RISK DISCLOSURE
โ This idea is educational, not financial advice
โ SL & TP are reference levels only
โ You control your own risk & execution
๐ ENGAGEMENT CALL
๐ Like if this helps
๐ฌ Comment your bias
โญ Save for later
๐ Follow for structured index setups
DAX30/GER30 - SETTING UP A TRADETeam, we been very successful trading DAX in the past and many successful trade
the current price at 24130, we are not going to suicide at this entry level
We wait for a set up entry at 24000-23960 rangs,
STOP LOSS at 23860
Target 1 at 24085-96
Target 2 at 24115-24150
Target 3 at 24180-24280
Lets be patience to see if our entry price hit, do NOT rush into a trade.
keep an eye on it today once the DAX market open, half an hour after real market open!
LETS GO
GER40 Pullback Is Not a Reversal (Hereโs Why)GER40 did not react at the 0.7โ0.8 retracement of the previous bearish leg, indicating underlying strength. Price has since formed equal highs (EQH), which now serve as a logical liquidity target for the next upside move.
I expect a brief manipulation or pullback early in the week, followed by bullish expansion toward the 24,500 area.
Iโll share updates as the setup develops โ follow for further analysis.
Bearish Momentum Building on GER40 โ Continuation or Trap?๐ฆนโโ๏ธ GERMANY 40 (GER40) โ Smart Money Flow Blueprint ๐ฐ | Bearish Swing Setup
๐งญ Market Context
Hey Thief OGs & market heroes ๐งโโ๏ธ,
Welcome to another precision strike setup on the ๐ฉ๐ช GERMANY 40 Index (GER40).
The price action has triggered a Triangular Moving Average (382) breakdown โ
confirming a bearish money-flow shift below dynamic support.
Letโs decode the play ๐
๐ Trade Blueprint (Swing Trade Plan)
๐งฉ Structure: Bearish bias confirmed โ
โก Trigger: TMA-382 breakout below dynamic support
๐ฏ Strategy: Layered Sell Limit Entries (Thief-style entry stacking)
๐ธ Entry Layers:
๐งฑ 24 100โโขโ๐ 24 050โโขโ๐ฏ 24 000
(You can add more layers based on your own risk appetite)
๐ Stop-Loss: ๐ Thiefโs SL @ 24 250
๐ฏ Take-Profit Target: ๐ฐ 23 700 โ dynamic support + oversold trap zone
๐ก Thief Strategy Notes
โLayer it like a pro, exit like a ghost ๐ปโ
โข Multiple sell-limit layers help you catch volatility with precision โ๏ธ
โข TMA serves as a dynamic moving structure โ not a static line.
โข Breakdown of support = momentum shift confirmed ๐ป
โข Clear risk/reward logic โ structured SL & TP = disciplined flow ๐ฏ
โข Bearish bias remains intact while price holds under 24 100
๐ Correlation Radar & Related Pairs to Watch
Stay alert to cross-market clues ๐ง
๐ Correlation Asset Key Observation
๐บ๐ธ US30 (Dow Jones) Often mirrors GER40 momentum โ if Dow dips, GER40 tends to follow.
๐ฌ๐ง FTSE100 European equity sentiment confirmation โ weakness = bearish confidence boost.
๐ถ EUR/USD Strong Euro = export pressure โ GER40 downside bias continuation.
๐ง Why This Setup Makes Sense
โข TMA 382 breakout = momentum confirmation ๐
โข Dynamic support break = structure shift ๐
โข Layered entries = better average fill ๐
โข SL = clear risk โข TP = logical oversold zone ๐ฏ
โข Cross-asset watchlist keeps you aligned with global money flow ๐
โ ๏ธ Risk & Personal Choice
Dear Ladies & Gentlemen (Thief OGs) โ
Iโm not recommending you copy my stop-loss or take-profit.
Theyโre purely my levels for analysis reference only.
Trade responsibly. You make the call, you take the bag or the gold ๐ผโจ
๐งพ Quick Recap
๐ฆนโโ๏ธ Strategy: Multi-Sell-Limit Layering
๐ Bias: Bearish below 24 100
๐ฃ Entries: 24 100 โข 24 050 โข 24 000
๐ Stop: 24 250
๐ฏ Target: 23 700
๐งญ Setup Type: TMA Breakout + Dynamic Support Breakdown
๐ Correlation Focus: US30 โข FTSE100 โข EUR/USD
โจ โIf you find value in my analysis, a ๐ and ๐ boost is much appreciated โ it helps me share more setups with the community!โ
#GER40 #Germany40 #DAX #Indices #BearishSetup #SwingTrade #SmartMoney #LayeringStrategy #ThiefTrader #MarketFlow #TMA #PriceAction #TechnicalAnalysis #TradingView #ChartSetup #RiskManagement
DAX/GER - let puck up the entry againTeam, last week, we got our target hit before the BIG dump again yesterday
Found a good entry for DAX at this level 22993-22965
STOP LOSS at 22860
Once it break above 23060, bring stop loss to BREAK EVEN
Target 1 at 23085-23115
Target 2 at 23160-23189
Target 3 at 23230-23500
LETS GO
German DAX 30 Rally Ahead? Strong Pullback Signals Momentum๐ DE30 (German DAX 30) โ Thief Traderโs Market Profit Playbook! ๐
๐ Bias: Bullish Play Confirmed
โ๏ธ Strategy Type: Layered Limit Order Entries (Thiefโs Signature Style)
๐ง Game Plan:
The German DAX 30 (DE30) shows strong bullish momentum after a clean moving average pullback โ confirming a short-term continuation setup on the 4H and daily charts.
Weโre loading our Thief-style layering entries to ride this momentum wave! ๐โโ๏ธ
Layered Entry Zone (Buy Limits):
๐ฐ 23,800 | 23,900 | 24,000 | 24,100
(Add more layers if youโre managing dynamic scaling โ this is the Thief style of playing smart, not hard!)
๐ Stop Loss (Protective Zone):
๐จ 23,700 (Thiefโs guard line!)
โ ๏ธ Note: Dear Ladies & Gentlemen (Thief OGs), this SL is not a must-follow โ manage your risk wisely. This is an educational plan โ trade at your own discretion.
๐ฏ Take Profit Zone:
๐ฏ 24,500 โ realistic first exit zone.
๐ฅ 24,700 โ Electric Shock Resistance Wall โก๏ธ (strong resistance area + overbought + potential trap zone).
โ ๏ธ Note: Again, dear Thief OGs โ take your profits when youโre happy! Targets are reference points, not financial advice.
๐ Key Technical Highlights:
Strong MA Confluence: 20EMA and 50EMA crossover support the bullish bias.
Volume Uptick: Smart money rotation visible on hourly accumulation bars.
Momentum Recovery: RSI rebounding from mid-zone (40โ50), eyeing bullish breakout potential.
๐ Correlated Assets to Watch:
Stay sharp โ DAX often dances with global indices and major USD flows:
CAPITALCOM:US30 (Dow Jones) โ correlated risk sentiment, bullish tone confirmation.
FX:FRA40 (CAC 40) โ follows European equity momentum.
๐ต FX:EURUSD โ inverse correlation with DE30 strength during USD volatility.
Tracking these helps confirm whether the bull party ๐ continues or the market bouncer ๐ซ shows up early.
โจ โIf you find value in my analysis, a ๐ and ๐ boost is much appreciated โ it helps me share more setups with the community!โ
#DE30 #DAX30 #ThiefTrader #IndexTrading #GermanDAX #BullishSetup #LayeredEntry #PriceAction #SmartMoney #TradingStrategy #MarketAnalysis #ThiefStyle #ForexCommunity #RiskManagement
"DAX 40 Strategy Map โ Multi-Layer Entries & Thief Twist"๐ GERMANY 40 Index Market Wealth Strategy Map (Swing/Day Trade)
Ladies & Gentlemen (aka Thief OGโs ๐), hereโs my fresh DAX roadmap.
๐ Plan (Bullish Bias):
Triangular Moving Average 382 broken upwards โ
CCI Oscillator flashing a Golden Cross โก
Both signals together = bullish confirmation.
๐ฏ Entry (Thief Layer Strategy):
This is not a single-entry plan. Instead, Iโm layering multiple buy-limit levels:
23800, 23900, 24000, 24100
(You can increase layers if market structure supports it.)
This layering method (Thief Strategy) spreads risk and improves average entry.
๐ก๏ธ Stop Loss (Thief Guardrail):
My SL marker: 23700
โ ๏ธ Note: This is my personal map, not financial advice. You can adjust according to your own risk appetite.
๐ฐ Target (Take Profit Zone):
Primary Exit: 24600
Strong barricade & resistance near 24700 ๐จ (watch out for overbought trap).
Idea: escape with profits before the police (market sellers) block the road!
๐ Correlations & Watchlist:
FOREXCOM:GER40 (Germany 40 Index)
XETR:DAX (cash market ticker)
CAPITALCOM:DE40 (futures contracts)
ICMARKETS:STOXX50 (Euro Stoxx 50 correlation)
SP:SPX / NASDAQ:NDX (U.S indices often influence DAX intraday flow)
FX:EURUSD (currency correlation can impact European equities via euro strength/weakness)
Keeping an eye on global risk sentiment is essential โ strong U.S. momentum often supports DAX upside.
โจ โIf you find value in my analysis, a ๐ and ๐ boost is much appreciated โ it helps me share more setups with the community!โ
๐ Disclaimer:
This is a Thief-style trading strategy โ designed for fun, educational purposes, and market mapping only. This is not financial advice. Trade at your own risk.
#GER40 #DAX #Germany40 #SwingTrade #DayTrading #IndexTrading #TechnicalAnalysis #ThiefStrategy #TradingView
DAX40 (GER40) INDEX TECHNICAL MASTERCLASS ๐ DAX40 (GER40) INDEX TECHNICAL MASTERCLASS | Oct 27-31, 2025 | ELITE Trading Roadmap ๐
Current Price: 24,221.9 | Strategy: Intraday Swing Trading | Timeframes: 5M โ 1D Analysis โฐ
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
๐ช DAILY (1D) ANALYSIS - DAX Swing Trade Framework
DAX40 on the daily timeframe is displaying STRONG CONSOLIDATION AFTER BULLISH IMPULSE near 24,100-24,150 support offering CLEAN swing trade entries this week!
Gann theory angles from September lows converge at 24,400-24,500 resistance zone = MAJOR BREAKOUT TARGET identified! ๐ฏ
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
โก 4-HOUR (4H) SWING TRADE BLUEPRINT - PRIMARY ENTRY ZONE
The 4H timeframe is showing TEXTBOOK BREAKOUT FORMATION SETUP!
DAX/GER30 - DOOR OF OPPORTUNITY OPENING Team, I've been lazy the last few days, but I did very well with DAX scalping from 24025 toward 24175 and 24250. I have discussed all the trade in my room discussion.
Let's go LONG at 23996-24025 ranges STOP loss 60 points or 23950
Once it hit 24100 - take partial and bring stop loss to BE
Target 2 at 24175-24250
LETS GO
GER30 Trading Plan: Pending Orders, Breakout Levels, and Targets๐ GER30 (Germany Index) โ Market Cash Flow Management Strategy ๐ฆ
Hey Traders ๐,
Hereโs a swing/day trade plan Iโm watching on the GER30 (Germany Index). This setup is designed with a layered pending order strategy once confirmation hits.
๐ Trading Plan
Bias: Bearish (waiting for sellers to breach the 4H Moving Average โ
confirmation needed)
Entry Trigger: Breakout of MA @ 23300 โ after breakout confirmation, entries can be considered at different price levels.
Layered Entries (Sell Limits):
23500
23450
23400
23350
23300
(You can expand layering based on your own strategy)
โ ๏ธ Important Note: Only activate sell limit layers after breakout confirmation. No confirmation = no entry.
๐ Stop Loss
Suggested SL: 23650
But remember: risk management is personal! ๐ฏ Set your SL at your own comfort level.
๐ฏ Target
Exit Zone: 22900
Why? SMA acting as strong dynamic support, plus oversold conditions & potential liquidity traps.
Again โ this TP is optional. Youโre in control of your profits. ๐ฐ
๐ Core Notes (Read Carefully!)
This plan uses multiple layered sell-limit entries (cash flow layering style).
Donโt jump in blindly! Wait for the moving average breach on 4H to confirm bearish momentum.
SL & TP are not recommendations, just references. Trade at your own risk.
๐ Correlation / Related Pairs to Watch
FX:GER30 โ Core instrument
XETR:DAX โ Same Germany Index benchmark (futures)
FX:EURUSD โ Often inversely correlated with DAX strength when EUR reacts to macro events
SP:SPX / CAPITALCOM:US30 โ Global equity indices; U.S. flows can impact German equities
OANDA:XAUUSD โ Gold as a hedge; risk-off flows sometimes push capital out of equities and into gold
Watching these pairs can give better context to the strength/weakness of GER30 ๐.
โจ โIf you find value in my analysis, a ๐ and ๐ boost is much appreciated โ it helps me share more setups with the community!โ
#GER30 #DAX #Germany30 #IndexTrading #SwingTrading #DayTrading #TechnicalAnalysis #TradingStrategy #StockIndices #MarketFlow
Germany 40 โ Bearish Outlook with ECB and US CPI in Focus๐ฅ Steal Profits with the Thief Strategy: Germany 40 CFD Bearish Setup ๐จ
Asset: Germany 40 Index CFD (DAX)Trade Type: Swing/Scalping (Bearish Pending Order Plan)Date: September 11, 2025Current Price: 23,632.95 (-0.36% daily change)
๐ฐ The Thief Strategy: Layered Precision for Profits
The Thief Strategy is all about stealing profits with disciplined, layered sell limit orders. By targeting the 23,500 support zone breakout, we capitalize on bearish momentum with precision. This setup is perfect for scalpers and swing traders looking to ride the wave of macro-driven volatility. Set your TradingView alarms to catch the breakout! ๐จ
๐น Why This Works?
Technical Edge: Price rejection at 23,800 + overbought RSI signals a potential drop.
Macro Triggers: ECB policy (11 Sept) and US CPI data could fuel bearish moves.
Sentiment: Fear-driven hedging and sector rotation (defense/energy outperforming tech).
๐ Market Snapshot (11 Sept 2025)
Daily Change: -85.50 (-0.36%)
52-Week Range: 18,382.26 - 24,639.10
1-Year Performance: +29.38%
๐จ Sentiment & Fear/Greed Index
Retail Traders: ๐ก Cautious
Mixed earnings: Siemens Energy (+4.57%), Rheinmetall (+3.29%) vs. SAP (-2.87%), Deutsche Telekom (-2.16%).
Eyes on ECB policy and US CPI data.
Institutional Traders: ๐ Neutral to Slightly Bearish
Defensive moves in chemicals/financials.
Higher put/call ratios in options show hedging.
Fear & Greed Index: Fear
Elevated volatility from ECB/US data uncertainty.
Bonds slightly outperforming stocks short-term.
๐ Fundamental & Macro Score
Economic Data:
German Inflation (Aug 2025): 2.2%
Interest Rate: 2.15%
Unemployment: 6.3%
Score: 6/10 (Neutral)
Corporate Performance:
Top Gainers: Siemens Energy, Rheinmetall
Top Losers: SAP, Deutsche Telekom
Score: 5/10 (Mixed)
Global Risks:
EU tariff pressures (India/China).
French political uncertainty.
Score: 4/10 (Slightly Negative)
๐ป Overall Market Outlook
Short-Term: Bearish
Resistance at 23,800; downside risk if ECB delays rate cuts or US CPI spikes.
Medium-Term: Neutral
YoY +27.76%, but momentum slowing.
Q3 2025 forecast: 23,412.92 (Trading Economics).
๐ฏ Thief Strategy: Bearish Layering Plan
๐น Entry (Pending Sell Limit Orders):
Layer 1: 23,650
Layer 2: 23,600
Layer 3: 23,550
Layer 4: 23,500 (Key Breakout Level โก)
Pro Tip: Add more layers based on your risk tolerance. Confirm entry after a 23,500 breakout. Set a TradingView alarm at 23,500 to stay sharp!
๐น Stop Loss (SL):
Place at 23,750 after breakout confirmation.
Note: Dear Thief OGโs, adjust SL based on your strategy and risk. Iโm not your bossโmanage your risk, steal the profits! ๐ธ
๐น Take Profit (TP):
Target 23,300 (strong support + oversold zone + potential bear trap).
Note: Escape with your loot at your discretion. My TP is a guideโtake profits at your own risk!
๐น Risk Management:
Risk 1-2% per trade.
Use trailing stops during high-volatility events (e.g., ECB, US CPI).
Avoid new trades during major news to dodge whipsaws.
๐ Key Levels to Watch
Resistance: 23,800 (immediate), 24,100 (strong).
Support: 23,500 (breakout zone), 23,300 (target), 23,200 (deeper support).
Breakout Confirmation: Daily close below 23,500 signals bearish continuation.
๐ Related Pairs to Watch ( AMEX:USD )
FX:EURUSD ($): Bearish DAX may align with a stronger USD if US CPI surprises. Watch 1.1578 (current), support at 1.1254.
FX:GBPUSD ($): Bullish at 1.3581; DAX drop could pressure GBP on risk-off sentiment.
FX:USDJPY ($): Bearish correction at 144.09; monitor for risk-off flows impacting DAX.
๐ฐ Key Events to Monitor
ECB Announcement (11 Sept): Delayed rate cuts could push DAX lower.
US CPI Data (11 Sept): Higher inflation may trigger global risk-off moves.
Sector Rotation: Defense/energy (e.g., Rheinmetall) outperforming tech (e.g., SAP).
๐ Why This Setup Steals the Show
The Thief Strategy is built for precision and adaptability. Layered entries at 23,650โ23,500 let you exploit the breakout with confidence, backed by macro signals (ECB, US CPI) and technical rejection at 23,800. This setup is designed to maximize engagement and visibility for scalpers and swing traders. Letโs steal those profits together! ๐ฐ
โจ If you find value in my analysis, a ๐ and ๐ boost is much appreciated โ it helps me share more setups with the community!
#DAX #Germany40 #ThiefStrategy #Bearish #TradingView #Scalping #SwingTrading #ECB #USCPI
Breakout Alert! Germany 40 Targeting 25400 โ Join the RobberyโกGERMANY 40 INDEX CFD HEIST PLANโก
๐ธ Thief Trader Robbery Blueprint ๐ธ
๐ญ Dear Ladies & Gentleman, my Thief OGโs ๐ถ๏ธ๐ต๏ธโโ๏ธ,
Welcome to another market heist โ this time weโre targeting the GERMANY 40 INDEX CFD vault!
๐ Plan: Bullish Breakout Robbery
The lock is weak around 24,500.0 โก โ once that vault door cracks open, we raid in style with layer entries.
๐ Thief Layer Entry Method:
๐ First entry on breakout @ 24,500.0
๐ Layer extra buy limits @ 24,400.0 / 24,300.0 / 24,200.0 (stack your orders like pro robbers ๐)
๐ You can increase your layers depending on your appetite for stolen cash ๐ฐ.
๐ Stop Loss (SL):
This is the Thief SL โ @ 24,000.0 after breakout confirmation.
๐ Adjust your SL with caution, OGโs, depending on your risk & strategy. Protect the loot at all costs ๐ดโโ ๏ธ.
๐ฏ Target (TP):
โ ๏ธ Police barricade spotted @ 25,500.0 ๐๐จ
๐ Escape before the sirens โ cash out at 25,400.0 and vanish with the bags ๐๐ธ.
๐ Thief Trader Reminder
๐ Stick to the layering strategy โ multiple entries spread like a thiefโs toolkit.
๐ Manage risk like a pro robber โ donโt get caught with greedy hands.
๐ Escape clean โ profit secured before the market traps you!
๐ฅ๐ Support the Thief Gang by smashing that Boost Button ๐ฅ
Letโs keep robbing the markets together โ smooth, stylish, and profitable.
Every heist, every day โ Thief Trading Style. ๐๐ถ๏ธ๐ฐ๐
GER30 H4 | Extension of Bullish Momentum ExpectedGER30 is falling towards the buy entry at 24,270.66, which is a pullback support that lines up with the 23.6% Fibonacci retracement and could bounce from this levle to the take profit.
Stop loss is at 24,040.97, which is a pullback support that is slightly above the 50% Fibonacci retracement.
Take profit is at 24,652.43, which acts as a swing high resistance.
High Risk Investment Warning
Trading Forex/CFDs on margin carries a high level of risk and may not be suitable for all investors. Leverage can work against you.
Stratos Markets Limited (tradu.com ):
CFDs are complex instruments and come with a high risk of losing money rapidly due to leverage. 65% of retail investor accounts lose money when trading CFDs with this provider. You should consider whether you understand how CFDs work and whether you can afford to take the high risk of losing your money.
Stratos Europe Ltd (tradu.com ):
CFDs are complex instruments and come with a high risk of losing money rapidly due to leverage. 66% of retail investor accounts lose money when trading CFDs with this provider. You should consider whether you understand how CFDs work and whether you can afford to take the high risk of losing your money.
Stratos Global LLC (tradu.com ):
Losses can exceed deposits.
Please be advised that the information presented on TradingView is provided to Tradu (โCompanyโ, โweโ) by a third-party provider (โTFA Global Pte Ltdโ). Please be reminded that you are solely responsible for the trading decisions on your account. There is a very high degree of risk involved in trading. Any information and/or content is intended entirely for research, educational and informational purposes only and does not constitute investment or consultation advice or investment strategy. The information is not tailored to the investment needs of any specific person and therefore does not involve a consideration of any of the investment objectives, financial situation or needs of any viewer that may receive it. Kindly also note that past performance is not a reliable indicator of future results. Actual results may differ materially from those anticipated in forward-looking or past performance statements. We assume no liability as to the accuracy or completeness of any of the information and/or content provided herein and the Company cannot be held responsible for any omission, mistake nor for any loss or damage including without limitation to any loss of profit which may arise from reliance on any information supplied by TFA Global Pte Ltd.
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