$NQ short from 30,409 | 205pt target | 52pt risk | 3.95R
I have my reasons... π Targeting the lower zone completion mentioned in previous post.
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$NQ short from 30,585 | 14.1R
Entry: 30,585 Target: 30,148 (β437pt) Stop: 30,616 (31pt risk)
NY PM session. Key level respected into resistance, targeting the full range reset.
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$NQ long from 30,533 | 4.9R
Entry: 30,533 (if price holds) Target: 30,776 (+243pt) Stop: 30,484 (49pt risk)
NY close into Asia. 30,533 is the line -- reclaim and holds here and we go. Fails and we wait.
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$NQ long from 30,532 | 8.3R
Entry: 30,532 Target: 30,903 (+371pt) Stop: 30,488 (44pt risk)
NY session. Caught the dip below key zone -- targeting key zone above.
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$NQ short from 30,672 | 3.3R
Entry: 30,672 Target: 30,533 (β139pt) Stop: 30,714 (42pt risk)
NY session. Shorting into resistance. if it breaks 30533, will leave a runner down to 30500 (30493)
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$NQ long from 30,470 | 10.2R
Entry: 30,470 Target: 30,776 (+306pt) Stop: 30,440 (30pt risk)
Asia session. Key zone we were watching for is attempting to hold structure after the pullback. Wide target, tight risk.
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