Joined May 2023
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#INOXINDIA from this list is setting up really good. âś… Good Breakout Continuation âś… Good Demand Candles âś… Decent Consolidation/Flaggish Structure âś… Good Volume Activity. All we need now are some good 1-2 tight candles and this setup is ready.
Scanning done for the week. Here are some of the names that I will be tracking ⏬ ✅Strong Sector ✅Strong Relative Strength ✅Linear Price Action ✅Strong Volumes 1. SOTL
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Kaushal Thapa retweeted
Scanning done for the week. Here are some of the names that I will be tracking ⏬ ✅Strong Sector ✅Strong Relative Strength ✅Linear Price Action ✅Strong Volumes 1. SOTL
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Scanning done for the week. Here are some of the names that I will be tracking ⏬ ✅Strong Sector ✅Strong Relative Strength ✅Linear Price Action ✅Strong Volumes 1. SOTL
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9. VINDHYATEL
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Identifying a good setup is simple when you know what to look for: 🔸Clean price action in stage 2 stocks 🔸Strong volume footprint 🔸Setup trading above key EMA levels If these three conditions align and overall market health is solid, the probability of your setup working increases significantly. For reference this is what we should avoid/look out for:
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#SOTL Flaggish Setup. Unfazed by the volatile market conditions. Consolidating really well with decent candlestick structure and dry volumesâś…
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Stop trading volatile price structures❌ 8/10 times it will take your stop loss.
âś…Forcing yourself to find a setup when there isn't one maybe one of the leading factors for large Drawdowns. - Stay away from choppy price structures where there is no linearity, strength or good contraction/expansion structures. Here are a few examples of what to avoid:
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Current open positions⏬ - Prioritizing momentum setup where: ✅ Price structure is solid. ✅ Contraction/Expansion phase is strong. ✅ Volume expansion is good. ✅ Price is above 10 EMA Entry may look somewhat extended but I am willing to trade it off for the availability of strength in the overall structure.
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âś…Forcing yourself to find a setup when there isn't one maybe one of the leading factors for large Drawdowns. - Stay away from choppy price structures where there is no linearity, strength or good contraction/expansion structures. Here are a few examples of what to avoid:
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Exited #SASKEN with 20% gains as mentioned in the previous post. Due to the breakdown of PDL and the overall market conditions being weak, I had to exit before the breakdown of 10 EMA. Only running position : #SANDHAR.
This is how you make money in the markets: Using my last three trades as examples: 1. SAKSEN: Up around 25%. TSL around 20% . So net to net 20% is secured unless we see a gap down 2. SENORES: Exited with a 2% stop loss 3. SUVEN: Exited at breakeven. So, even if I do some simple mathematics I will net around 17% when all is said and done with all the charges and taxes. Compound this over time and your swing portfolio will always remain green if rules are followed. Occasionally, you will get trades like BBOX, GALLANT that will compound your RR multiple even higher 🤝
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