Going to do a quick round up of what we have live going into the weekend — pending nothing crazy in last 1/2 hour of trading. I’m closing up shop today after a solid week of ES gains:
Current Positions:
5605.75 Long Runner. - FOMC breakout~ 2PM. Called out here
5655 Long Runner. FBD Thursday morning at ~10:45 candle. Called out here
5666 Long Runner. FBD Friday at ~10:30. Called out here
We’ll continue to watch as ES approaches large overhead looming supply at 5711/5725/5740.
If I didn’t have just the runners, I’d likely not be holding over with weekend — headline risk. That said, all have hit atleast T2 and 90% of profits at each position have been taken and booked.
That’s the power of the profit taking system we use.
Have a great weekend!
-PriceTrader
P.S.
If there’s a large gap Sunday I’ll be on and active most likely on X.
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