Long Trade on SPCX (BosPullback)
With 2.1 SPCX at 170.14$ per unit. Take profit: 176.755 (3.89 %) & Stop Loss: 166.3245 (2.24 %)
Long Trade on SPCX (BosPullback)
With 2.1 SPCX at 170.14$ per unit. Take profit: 176.755 (3.89 %) & Stop Loss: 166.3245 (2.24 %)
Position size of 356.7309 $
Take profit at 176.755 (3.89 %)
and Stop Loss at 166.3245 (2.24 %)
| Prediction 1 | Probability |
|---|---|
|
|
n/a |
| Prediction 2 | Probability |
|---|---|
| n/a |
| Prediction 3 | Probability |
|---|---|
| n/a |
| BTC Market Regime | BTC Market Regime V2 |
|---|---|
|
ml_regime : neutral rules_regime : bear_high rules_regime_5m : bull_low Score : 1 |
ml_regime : range_low rules_regime : bear_high_confirmed rules_regime_4h : bear_high tf_aligned : 1 07/06 06:01 |
| BTC Correlation | Coin Market Regime |
|---|---|
|
1H_regime : bear_high 15m_regime : bull_medium |
| TF | Direction | Phase | Structure | Strength | Momentum | Volatility | Regime | Tradability | Évalué à |
|---|---|---|---|---|---|---|---|---|---|
| 4h | ↔ — | — | — | — | — | — | bear_high |
48%
|
07/06 08:00 |
| 1h | ↔ neutral | transition | bullish_transition | moderate | balanced | normal | bear_high |
72%
|
07/06 09:00 |
| 15m | ↑ up | range | range | moderate | fading | normal | bull_medium |
71%
|
07/06 09:45 |
| 5m | ↑ up | range | range | moderate | grind | compression | range_low |
47%
|
07/06 09:55 |
Indicators:
173.51
145
0.6131
0.5431
0.3314
0.2404
0.4058
1
0.2824
0.5355
0.6138
0.3928
0.6623
0.2121
0.1121
0.0234
0.6667
0.6089
0.2566
0.4
0.6
1
4
1
0.5191
0.5388
3.1421
0.5
1.9331
3.1579
0.2566
0.4964
0.2454
0.3
0.0192
0.4924
0.5484
0.8763
0.2121
-13.9088
3.745
1
0
0
Array
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[time] => 2026-06-03 03:00:00
[price] => 187.77
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[label] => HL
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Array
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[time] => 2026-06-03 07:00:00
[price] => 196.02
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Array
(
[time] => 2026-06-03 12:00:00
[price] => 187.63
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[time] => 2026-06-03 14:00:00
[price] => 192.81
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[time] => 2026-06-03 23:00:00
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Array
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[price] => 170.44
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Array
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[time] => 2026-06-05 00:00:00
[price] => 180
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Array
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[price] => 161.54
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[price] => 173
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[price] => 168.02
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Array
(
[time] => 2026-06-06 10:00:00
[price] => 163.85
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Array
(
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[price] => 168.25
[kind] => high
[label] => LH
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Array
(
[time] => 2026-06-06 20:00:00
[price] => 163.27
[kind] => low
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Array
(
[time] => 2026-06-07 01:00:00
[price] => 170.16
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[price] => 168.25
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[label] =>
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Array
(
[time] => 2026-06-06 12:15:00
[price] => 164.87
[kind] => low
[label] =>
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(
[time] => 2026-06-06 14:30:00
[price] => 166.74
[kind] => high
[label] =>
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Array
(
[time] => 2026-06-06 15:30:00
[price] => 163.58
[kind] => low
[label] => LL
)
Array
(
[time] => 2026-06-06 17:30:00
[price] => 165.93
[kind] => high
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[price] => 168.54
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[price] => 166.62
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(
[time] => 2026-06-07 00:45:00
[price] => 169.48
[kind] => high
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Array
(
[time] => 2026-06-07 01:00:00
[price] => 167.78
[kind] => low
[label] => HL
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Array
(
[time] => 2026-06-07 02:30:00
[price] => 166.57
[kind] => low
[label] => LL
)
Array
(
[time] => 2026-06-07 03:30:00
[price] => 170.34
[kind] => high
[label] => HH
)
Array
(
[time] => 2026-06-07 04:00:00
[price] => 168.53
[kind] => low
[label] => HL
)
Array
(
[time] => 2026-06-07 05:30:00
[price] => 173.5
[kind] => high
[label] => HH
)
Array
(
[time] => 2026-06-07 06:00:00
[price] => 171.19
[kind] => low
[label] => HL
)
Array
(
[time] => 2026-06-07 07:30:00
[price] => 169.04
[kind] => low
[label] => LL
)
Array
(
[time] => 2026-06-07 09:45:00
[price] => 172.07
[kind] => high
[label] => LH
)
166.57
173.51
173.51
166.57
170.16
166.17
168.165
0.8307
180
173.51
176.755
0.707
Market Structure Score: 0
Trend
Current Swing
Structure
Context
Order Book Imbalance
Microstructure
| Start at | Closed at | Duration |
|---|---|---|
| 07 Jun 2026 06:19:09 |
07 Jun 2026 12:15:00 |
5 hours |
| Entry | Stop Loss | Take Profit | RR | Current Price |
|---|---|---|---|---|
| 170.14 | 166.3245 | 176.755 | 1.73 | 192.59 |
Pour calculer le Risk-Reward Ratio (RRR) sur un trade short, on utilise la formule :
RRR = Distance jusqu'au Take Profit ÷ Distance jusqu'au Stop Loss
Détails du trade:
Calcul:
Risque (distance jusqu'au stop loss) :
SL - E = 166.3245 - 170.14 = -3.8155
Récompense (distance jusqu'au take profit):
E - TP = 170.14 - 176.755 = -6.615
Risk-Reward Ratio:
RRR = TP_DIST / SL_DIST = -6.615 / -3.8155 = 1.7337
| Amount | Margin | Quantity | Leverage |
|---|---|---|---|
| 356.7309 | 100 | 2.0967 | 3.57 |
1. Déterminer le montant risqué sur ce trade
Risk Amount = Capital x Risk per trade
Paramètres:
Risk Amount = 100 x 0.08 = 8
Donc, tu es prêt à perdre 8$ maximum sur ce trade
2. Calcul Risk per Share / Nombre d'unité à acheter
Taille de position = Risk Amount / Distance Stop Loss
Taille de position USD = Taille de position x Entry Price
Paramètres:
Taille de position = 8 / -3.8155 = -2.1
Taille de position USD = -2.1 x 170.14 = -357.29
Donc, tu peux acheter -2.1 avec un stoploss a 166.3245
Avec un position size USD de -357.29$
3. Calcul de la PERTE potentielle
Perte = Taille de position x Distance Stop Loss
Perte = -2.1 x -3.8155 = 8.01
Si Stop Loss atteint, tu perdras 8.01$
4. Calcul du GAIN potentielle
Gain = Taille de position x Distance Take Profit
Perte = -2.1 x -6.615 = 13.89
Si Take Profit atteint, tu gagneras 13.89$
Résumé
| TP % Target | TP $ Target |
|---|---|
| 3.89 % | 13.87 $ |
| SL % Target | SL $ Target |
|---|---|
| 2.24 % | 8 $ |
| PNL | PNL % |
|---|---|
| 13.87 $ | 3.89 |
| Max Drawdown | Max Drawdown / SL Ratio | Candles in Entry |
|---|---|---|
| -1.1814 % | 52.68 % | 12 |
Array
(
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[mfe_mae_ratio] => 0.25
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[start_at] => 2026-06-07T06:19:09-04:00
[end_at] => 2026-06-07T08:19:09-04:00
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[long_term] => Array
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[is_new_high] => 1
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Ce trade aurait-il passé les filtres v2 (quality rank + confidence + régime) ?