Trading Signal
Short Position (EP) : 1.1649
Stop Loss (SL) : 1.1725
Take Profit (TP) : 1.12655, 1.09055
Description
E6 formed Double Repo Failure Sell at 1d time frame. Trade setup with Sell Limit at 0.382 Level (1.1649) and place stop after 0.618 level (1.1725). Once the position was hit, place take profit before an agreement (1.12655) and 1.09055
Money Management
Money in portfolio : $80,000
Risk Management (2%) : $1,600
Position Sizing
$0.1 = +-$10 (Standard)
Commission fee = -$2.47/contract (Standard)
EP to SL = $0.0076 = -$950/contract (STD)
Contract size to open = 2 standard contracts
EP to TP#1 = $0.03835 = +$4,793.75 (STD)
EP to TP#2 = $0.07435 = +$9,293.75 (STD)
Expected Result
Commission Fee = -$9.88
Loss = -$1,900
Gain#1 = +$4,793.75
Gain#2 = +$9,293.75
Total Gain = +$14,087.5
Risk/Reward Ratio = 7.38
Short Position (EP) : 1.1649
Stop Loss (SL) : 1.1725
Take Profit (TP) : 1.12655, 1.09055
Description
E6 formed Double Repo Failure Sell at 1d time frame. Trade setup with Sell Limit at 0.382 Level (1.1649) and place stop after 0.618 level (1.1725). Once the position was hit, place take profit before an agreement (1.12655) and 1.09055
Money Management
Money in portfolio : $80,000
Risk Management (2%) : $1,600
Position Sizing
$0.1 = +-$10 (Standard)
Commission fee = -$2.47/contract (Standard)
EP to SL = $0.0076 = -$950/contract (STD)
Contract size to open = 2 standard contracts
EP to TP#1 = $0.03835 = +$4,793.75 (STD)
EP to TP#2 = $0.07435 = +$9,293.75 (STD)
Expected Result
Commission Fee = -$9.88
Loss = -$1,900
Gain#1 = +$4,793.75
Gain#2 = +$9,293.75
Total Gain = +$14,087.5
Risk/Reward Ratio = 7.38