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- camron replied Dec 7, 2021
This week AU is bullish with an opportunity to put ISL in breakeven.
- camron replied Nov 9, 2021
This week traders should follow the smart money. I have 3 reasons for a short trade: 1) The COT data show that commercials traded with their most extreme positions within the last 3 years on last friday and these are fundamental data 2) from the ...
- camron replied Nov 8, 2021
I am short UJ because Commercials are the most extreme during the last 3 years. When Commercials start removing some of their posititons and the currently maximum spread tightens you can participate in this downward trend (disclaimer). Also UJ ...
- camron replied Nov 7, 2021
Screenshot 1 is where my trade is in breakeven, screenshot 2 is the reason why I'm short EURAUD, screenshot 3 is my TP. From the technical view EA showed weakness at the beginning and made it easier for me to get my position in breakeven. ...
- camron replied Nov 2, 2021
A good start in the day is when all positions are in breakeven and TP gets hit.
- camron replied Oct 27, 2021
A good start in the day is when all positions are in breakeven and one where profits are locked in. TP at 1782,90. Now off to work.
- camron replied Sep 15, 2021
Hello everyone, I want to share with you some trading setups for September until November 2021. This statistical chart is 3 months or 90 days ahead of time and short trades on Gold work very well when the rate of change of yields of US bonds are ...
- camron replied Apr 29, 2015
Hi! It's been a long time posting here. I think I found the style that fits me and my lifestyle the most which is trading weekly charts. I waited a long time to see the EU reverse, waited until blue volatility bands contracted, all lines are below ...
- camron replied Apr 25, 2014
hope this helps coz it worked fine for me.
- camron replied Apr 24, 2014
Hi, I took these 3 trades (Nikkei, Nasdaq, Dow) and drew fibs on daily chart. Entered some on H1 and even on H4 the MBL is near 68. Please don't get confused with my TP. I prefer trailing my SL's rather than get my TP hit too early... Any ...
- camron replied Apr 14, 2014
Took this trade: USDCHF, H4, long. To senior members: did I place my TP correctly?
- camron replied Mar 31, 2014
Took this EU trade with CPI news this morning on M5 after the bearish pinbar closed +39 Pips
- camron replied Mar 23, 2014
Position sizing and risk management were the topics that made me think these days. I had this inner fight between trading a smaller position size and thinking about getting a more precise entry? I noticed when there appears a breakout candle (#1 ...
- camron replied Mar 13, 2014
im in 3 trades: GU AJ AU, H4, all long, bullish divergence. I'm not sure if I'm allowed to post my trades here coz im using the synergy template. For me its easier to just put my SL below PAC. so far +210 pips
- camron replied Mar 12, 2014
Attached is a GBPJPY chart on H4 and would like to get your advice. I'm more into trading divergences and saw other members of TMS doing that too. I do know the entry rules of TMS but I dont want to sit infront of my laptop most of the time and ...
- camron replied Jan 21, 2014
Gold, H4, TDI crossed, price consolidation, went short. +64 Pips
- camron replied Jan 18, 2014
on post 29.360 i posted the image "GU missed trade". TDI, Stoch were both confirming (image 2). I was just cautious - too cautious. Please have a look what happened few hours later in d 1st pic. Seems like I missed a good entry. The next one will ...
- camron replied Jan 16, 2014
will this be a good entry? GU, long, TDI: check, stochastik: check. the only thing is that the candles are small.
- camron replied Jan 16, 2014
Hey everybody, I've been reading the first 300 posts and I know to keep everything simple. Facts: H4, red+green TDI crossed, 1st candle, no close S&R. Please see screenshot attached coz I'd like a confirmation or suggestions on what to improve. So ...
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