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MISSION GENERATE 10% MARGIN A MTH FROM BUYING LOW AT DZ AND SELLING HIGH SZ I

METHOD 1 BUY AT DZ WITH UPTREND. BUY AT LOW AFTER HIGHER HIGH AND HIGHER LOW.

2 FIND STOCK OR COMMODITIES WITH HIGH LIQUIDITY AND VOLUME (50K DAILY)

3 MIN 3/1 EARNING RATIO. WITH 3 IS EARNING, AND 1 IS RISK. SET CUTOFF. CUT OF

4 SET AT LEAST 2 TRAP ONE DAY. AND CHECK DAILY

5 LONG TERM 3 - 5 MTH OR 2 HRLY DETIL 2 MTH HOURLY

6 SIZING: MIN BUY 5,000

FIRST GOAL IS HIT THE TRAP!!!!

SECOND GOAL IS PROFIT MIN 3/1!!!!


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id andysummer1234
W AT DZ AND SELLING HIGH SZ IN COMMODITIES pass Bossini1234
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GHER HIGH AND HIGHER LOW. 2 5
3 5 IS BUY POINT STEEP DOWN STEEP UP
1 GAGAL NAIK FIRST PLACE. N DOWNTREND CUT ORDER
TY AND VOLUME (50K DAILY) payback 2.5 ok UPTREND LANJUT
buy at 3/4 height

D 1 IS RISK. SET CUTOFF. CUT OFF MAX 10%


OWNTREND CUT ORDER
TRAP

NO ASSET BUY STOP LOSS TARGET WIN % LOSS


1 AF 18.57 18.06 20.4 1.83 0.09854604 0.51
2 VSTM 3.48 2.94 5.07 1.59 0.45689655 0.54
3 DDS 60.36 53.2 70.57 10.21 0.16915176 7.16
4 SHLD 7.66 7 10.03 2.37 0.30939948 0.66
5 HTZ 17.01 16.36 20.04 3.03 0.17813051 0.65
6 WMT 76.25 75.23 79.65 3.4 0.04459016 1.02
7 SDS 48.03 47.85 48.84 0.81 0.01686446 0.18
8 IRT 9.15 9 9.59 0.44 0.04808743 0.15
9 HBM 7.17 6.65 8.6 1.43 0.19944212 0.52
10 CLF 7.36 7.1 8.03 0.67 0.09103261 0.26
11 GPRO 9.28 8.58 10.86 1.58 0.17025862 0.7
12 BHP 41.44 41.07 43.92 2.48 0.05984556 0.37
13 CLF 7.22 6.88 8.03 0.81 0.11218837 0.34
14 JNUG 18.28 17.92 22.15 3.87 0.21170678 0.36
15 AAPL 149.55 146.97 154.71 5.16 0.03450351 2.58
16 FOLD 13.46 12.85 15.4 1.94 0.14413076 0.61
17 HOS 3.05 2.74 3.87 0.82 0.26885246 0.31
CAN BE SAID DOES NOT HIT IF IT GOES UP ALL THE WAY
min 2.5 CAN BE SAID CONTINUE IF ACHIEVE 70% TARGET, UPON WHICH FOLLOW BY
% WIN LOSS RATIO HIT OR NOT? CONTINUE/ STOPLOSS? >> RESULT OF THIS MUST BE RECORDED AT
0.0274637 3.5882352941
0.1551724 2.9444444444
0.1186216 1.4259776536
0.0861619 3.5909090909
0.0382128 4.6615384615
0.013377 3.3333333333
0.0037477 4.5
0.0163934 2.9333333333
0.0725244 2.75
0.0353261 2.5769230769
0.075431 2.2571428571
0.0089286 6.7027027027
0.0470914 2.3823529412
0.0196937 10.75
0.0172518 2
0.0453195 3.1803278689
0.1016393 2.6451612903
T, UPON WHICH FOLLOW BY CONTROLLER
HIS MUST BE RECORDED AT C
CONTINUE - CONTROL CHECK SHEET (CAN BE CLASSIFIED CONTINUE IF ACHIEVE 75% TARGET) - CUT LOSS AT 60%

NO ASSET BUY AT SELL AT BUY DATE SELL DATE DURATION


1 SHLD 7.66 7 5-Sep 21-Sep 16 day
2 DDS 60.26 53.2 5-Sep
3 AF 18.57 20.4 4-Sep 20-Sep 16 day
4 SDS 48.03 47.85 9-Sep 11-Sep 2 DAY
5 CLF 7.36 7.10 15-Sep 20-Sep 5 DAY
6 CLF 7.22 6.88 19-Sep 22-Sep 3 DAY
7 JNUG 18.28 18 19-Sep 25-Sep 6 DAYS
8 BHP 41.44 41.07 25-Sep 27-Sep 2 DAYS
9 AAPL 149.55 154.71 25-Sep 2-Oct 8 DAYS
10 HBM 7.17 7.8 20-Sep 29-Sep 9 DAYS

BENCHMARKING
T LOSS AT 60%

RETURN Q PROFIT
-0.66 653 -$431
-7.06 83 -$586
1.83 269 $492
-0.18 104 -$19
-0.26 679 -$177
-0.34 693 -$236
-0.28 274 -$77
-0.37 121 -$45
5.16 33 $170
0.63 697 $439
0 $0
TOTAL RETURN -$468
EQUITY $ 15,000

PERCENTAGE -3.12%
DURATION 1 MTH

SPY S&P 500 2.20%

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