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[Trading Journals Lybeedo] - TimeLine Trading

Discussion in 'Jurnal Trading' started by lybeedo, 06 Nov 2023.

  1. lybeedo

    lybeedo New Member

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    Greeting All olá amigo !

    Salam kenal semuanya ijin buat journal di forum Soehoe, semoga bisa konsisten & rutin post di sini.
    Sekedar sharing dan bertekad untuk ikut menjadi bagian dari 1% profitable trader:giggle:
    Correspondence : I speak Bahasa & English & Japanese

    Trading Journals - TimeLine Trading Strategy

    In glance:
    1) Calculate High Low I called as "BOX", start from specific date I called it as "TIMELINE"
    2) Once Box is fully formed then waiting for breakout with minimum RR 1:1 execution
    3) TimeLine is critical parameter as it's has significant contribution to increase accuracy and risk reward

    General:
    1) Breakout strategy on daily timeframe
    2) TP and SL, maintain good risk reward per signal entry..
    3) Cut switch with risk/lot multiplier if initial entry is failed (if necessary)
    4) Partial close may applied meanwhile waiting for validation from next TimeLine
    5) No martingale/averaging strategy
    6) No grid strategy
    7) No news event restriction

    Pair:
    Recommended pairs: US30, US500 and gold
    Other pairs : Oil, major pair, crypto currency

    Risk: (I call it as "box")
    Approx. 2-3 daily HiLo range
    Gold 150-500pips
    US30 500-1000pips

    Reward:
    Minimum 30-50% of "box"
    Maximum 100-800% of "box" depend on the upcoming TimeLine
    You can close at any profitable position, no need to feel guilty because profit is profit

    System execution:
    Manual entry: yes
    Expert Advisor : yes

    Account details:
    TBA

    Chart:
    US30
    [​IMG]

    Booked Line1
    TBA

    Booked Line2
    TBA


    Thank you,
    Good luck and enjoy your day !!
    Dum Spiro Spero
     
  2. lybeedo

    lybeedo New Member

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    New Signal

    TimeLine: 6-Nov-2023

    Pair
    Gold, US30, US500

    Box
    Not formed yet

    ==============

    Previous signal
    TimeLine: 30-Oct-23

    Gold open FLN
    Break buy 2008
    Break sell 1979
    Box size 300pips

    Triggered Sell, no buffer or reversal entry
    Highest FLP 1979-1970 = 90pips
    Highest FLN 1979-2004 = 250pips


    US30 open FLP
    Break buy 33.140
    Break sell 32.360
    Box size 780pips

    Triggered Buy, no buffer or reversal entry
    Highest FLP 33.140-34.155= 1015pips
    Highest FLN 33.140-32.790= 350pips
     
  3. lybeedo

    lybeedo New Member

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  4. Nyorin

    Nyorin New Member

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    masih bingung saya, apa bisa lbh detail penjelasannya?
     
  5. lybeedo

    lybeedo New Member

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    [​IMG]



    https://ibb.co/frW7vGT

    Contoh ini gan

    TimeLine: 6-Nov-2023

    Candle High Low setelah tanggal 6-Nov adalah 1956 sampai 1993
    Size BOX di signal TimeLine tanggal ini adalah 1993-1956 = 37point atau 370pips

    Jadi rule entry nya adalah
    Buy jika Breakout 1993
    SL di 1993-37 = 1956, TP di 1993+37 = 2030
    atau
    Sell jika Breakout 1956
    SL di 1956+37 = 1993, TP di 1956-37 = 1919

    Floating per siang tadi
    https://ibb.co/xMyy0Nr


    [​IMG]
     
  6. lybeedo

    lybeedo New Member

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    Recap of last 2 signals

    Signal 1-nov - still open
    Sell 1979, entry on green line
    Target box (and risk) : 300pips
    Max DD : 250 pips (2004)
    Summary: sell 1979 to current 1938

    ✅FLP floating positive 400pips
    ✅Reach target box TP 300pips
    ✅Reach minimum TP 250pips (refer to max DD)
    ⛔Recovery mode not triggered

    Signal 8-nov - still open
    Sell 1956, entry on red line
    Target box (and risk) : 370pips
    Max DD : 140 pips (1970)
    Summary: sell 1956 to current 1938
    ✅FLP floating positive 180pips
    ⛔Not yet reach target box 370pips
    ✅Reach minimum TP 140pips (refer to max DD)
    ⛔Recovery mode not triggered

    WB
    "We've not been good at timing. We've been reasonably good at figuring out when we were getting enough for our money."
     
  7. lybeedo

    lybeedo New Member

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    Double post

    Signal TimeLine 10-Nov
    BOX not yet formed
     
  8. lybeedo

    lybeedo New Member

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    Recap of last 3 signals

    =====
    #1 TimeLine

    Signal TimeLine 30-Oct SELL CLOSED
    Buy if 2008
    Sell if 1979
    Breakout Entry SELL
    Target box (and risk) : 300pips
    Max DD : 250 pips (2004)

    ✅Reach target box TP 300pips
    ✅Reach minimum TP 250pips (refer to max DD)
    ⛔Recovery mode not triggered

    Actual TP area
    1968 trailing
    1958 trailing
    1946 TP follow signal confirmation 6-Nov

    =====
    #2 TimeLine

    Signal TimeLine 8-nov SELL CLOSED
    Buy if 1993
    Sell if 1956
    Breakout Entry SELL
    Target box (and risk) : 370pips
    Max DD : 140 pips (1970)


    ✅FLP floating positive 180pips
    ⛔Not yet reach target box 370pips
    ✅Reach minimum TP 140pips (refer to max DD)
    ⛔Recovery mode not triggered

    Actual TP area
    1941 trailing


    =====
    #3 TimeLine

    Signal TimeLine 10-Nov BUY OPEN

    Buy if 1961
    Sell if 1931
    Breakout Entry BUY
    Target box (and risk) : 300pips


    ✅FLP floating positive 200pips
    ✅Reach target box TP 300pips
    ⛔Recovery mode not triggered


    Actual TP area
    1983 trailing
    1985 trailing

    https://ibb.co/gjcwvC6

    https://ibb.co/B67tcyj

    Note : di forum soehoe tidak bisa attach picture ya?




    WB
    "We've not been good at timing. We've been reasonably good at figuring out when we were getting enough for our money."
     
  9. lybeedo

    lybeedo New Member

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  10. lybeedo

    lybeedo New Member

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    In January 2024, a series of trading signals were issued, beginning with Signal #15 on January 4th and concluding with Signal #18 on January 31st. Here's a breakdown of the signals and their outcomes:

    1. Signal #15: January 4, 2024
      • Trigger: Sell breakout 2024
      • Entry Level: 2024 - 2064
      • Outcome: Tricky to manage, requiring manual intervention to avoid floating losses. Despite this, a floating profit of 80 pips was achieved before revisiting the entry.
    2. Signal #16: January 11, 2024
      • Trigger: Sell breakout 2013
      • Entry Level: 2013 - 2063
      • Outcome: Similar to Signal #15, manual management was needed to prevent floating losses. However, a floating profit of 120 pips was secured before revisiting the entry.
    3. Signal #17: January 25, 2024
      • Trigger: Buy breakout 2027
      • Entry Level: 2009 - 2027
      • Outcome: Marked a turning point with a successful buy signal. A floating profit of 360 pips, twice the box size was booked, signaling a recovery from the earlier signals.
    4. Signal #18: January 31, 2024
      • Trigger: Sell breakout 2030
      • Entry Level: 2030 - 2065
      • Outcome: Sold at 2030 with a floating profit of 150 pips before revisiting the entry, continuing the trend of requiring active management.
    In summary, the first two signals were challenging and required manual handling to prevent floating losses. However, the later signals showed signs of recovery, particularly Signal #17, which yielded double the reward with a floating profit of 360 pips. Throughout January, traders experienced volatility but managed to adapt and capitalize on opportunities despite the initial challenges.
     

    Attached Files:

  11. lybeedo

    lybeedo New Member

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    In February 2024, a series of trading signals were issued, beginning with Signal #19 on February 5th and concluding with Signal #22 on February 26th. Here's a breakdown of the signals and their outcomes:
    1. Signal #19: February 5, 2024
      • Trigger: Buy breakout at 2041
      • Entry Level: 2015 - 2041
      • Outcome: Initially triggered a buy breakout but hit the stop-loss at 2015. Entered recovery mode by selling double the lot size and closed at 1993, resulting in a total profit of 220 pips.
    2. Signal #20: February 9, 2024
      • Trigger: Sell breakout at 2013
      • Entry Level: 2013 - 2038
      • Outcome: This signal confirmed the previous sell from the 2013 level. Profit was realized by closing at the 1993 area, totaling 200 pips.
    3. Signal #21: February 16, 2024
      • Trigger: Buy breakout at 2023
      • Entry Level: 1995 - 2023
      • Outcome: Achieved a profit of approximately 170 pips with a single entry, without the need for a recovery mode.
    4. Signal #22: February 26, 2024
      • Trigger: Sell breakout at 2030
      • Entry Level: 2025 - 2040
      • Outcome: The sell entry at 2025 experienced a sudden market reversal, hitting the stop-loss at 2040. Simultaneously, recovery mode was activated with doubled lot size. Managed to earn a bigger profit by re-entering several times around the 2044 area with long signals. The entry long range extended from 2044 to 2136, approximately 6-7 times the box size.
    Throughout February, traders encountered various outcomes, navigating market reversals, employing recovery strategies, and capitalizing on profitable opportunities.
     

    Attached Files:

  12. lybeedo

    lybeedo New Member

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    In March 2024, a series of trading signals were issued, beginning with Signal #23 on March 4th and concluding with Signal #25 on March 26th. Here's a breakdown of the signals and their outcomes:
    1. Signal #23: 4-Mar-24
      • Trigger: Buy breakout at 2143
      • Entry Level: 2080 - 2143
      • Outcome: Achieved a profit of approximately 140 pips with a single entry, without the need for a recovery mode.
    2. Signal #24: 11-Mar-24
      • Trigger: Sell breakout at 2150
      • Entry Level: 2150-2189
      • Outcome: Initially triggered a sell breakout but hit the stop-loss at 2189. Entered recovery mode by buying double the lot size and closed at 2195, resulting in a total profit of 120 pips. At this moment gold reaching its all-time high at 2222.
    3. Signal #25: 18-Mar-24
      • Trigger: Buy breakout at 2164
      • Entry Level: 2146 - 2164
      • Outcome: Achieved a profit of approximately 120 pips with a single entry, without the need for a recovery mode. Total profit pips by holding this box is approx 500 pips or risk reward 1:3. This signal is considered a confirmation signal with a smaller box size.
    4. Signal #26: 25-Mar-24
      • Trigger: Buy breakout at 2200
      • Entry Level: 2163 - 2200
      • Outcome: By the time this summary is published, we closed some positions with a profit of 150 pips on the 2215 level. Meanwhile, we still keep some positions since we've just seen gold reach its all-time high at the 2222 level and expect more surprises in the following days.
    Throughout March, traders encountered profitable results, navigating market reversals. Smaller box from confirmation signals worked seamlessly, resulting in more profitable trades following the market direction.
     

    Attached Files:

  13. lybeedo

    lybeedo New Member

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    Summary of April 2024 Signals:

    Signal #27: 2-Apr-24
    Trigger: Buy breakout at 2302
    Entry Level: 2206 - 2302
    Outcome: Achieved a profit of approximately 300 pips with a single entry, without the need for a recovery mode.

    Signal #27-2: 3-Apr-24
    Trigger: Buy breakout at 2306
    Entry Level: 2265 - 2306
    Outcome: Achieved a profit of approximately 220 pips with a single entry, without the need for a recovery mode.

    Signal #28: 5-Apr-24
    Trigger: Buy breakout at 2330
    Entry Level: 2267 - 2330
    Outcome: Achieved a profit of approximately 120 pips with a single entry, without the need for a recovery mode.

    Signal #29: 8-Apr-24
    Trigger: Buy breakout at 2,365
    Entry Level: 2,303 - 2,365
    Outcome: Achieved a profit of approximately 250 pips with a single entry, without the need for a recovery mode.

    Signal #30: 15-Apr-24
    Trigger: Buy breakout at 2,398
    Entry Level: 2,324 - 2,398
    Outcome: Initially triggered a buy breakout with 170 pips floating profit but decided to hold, resulting reversal and hit the stop-loss at 2,324.
    Entered recovery mode by sell 2,324 level with double the lot size and closed at 2300.
    At this moment market is very volatile and market maker trying to wipes both side.

    Signal #31: 16-Apr-24
    Trigger: Sell breakout at 2364
    Entry Level: 2364 - 2398
    Outcome: Initially triggered a sell breakout but hit the stop-loss at 2398. Entered recovery mode by buying double the lot size and closed at 2400. At this moment gold reaching its all-time high at 2222.

    Signal #32: 23-Apr-24
    Trigger: Buy breakout at 2,338
    Entry Level: 2,292 - 2,338
    Outcome: Achieved a profit of approximately 140 pips with a single entry, without the need for a recovery mode.

    Signal #33: 26-Apr-24
    Trigger: Sell breakout at 2,318
    Entry Level: 2,318 - 2,352
    Outcome: Achieved a profit of approximately 330 pips with a single entry, without the need for a recovery mode.

    Throughout April, traders encountered profitable results on the beginning of month.
    And after gold reach it's ATH on 2431 level market marker start to doing their movement to wipes most of retailes.
    Overall result on April is small loss, and we are considering to adapt with market maker behavior.
    We are working to standarize minimum target per entry and also consider to take only most significant signal instead of all detected signal.
    As the consequence, entry will be decreased from 4-6 to 2-3 entry per month.
     

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