Long Trade on SNXX (CatchTheWave)
With 125.08 SNXX at 13.585$ per unit. Take profit: 13.7129 (0.94 %) & Stop Loss: 13.521 (0.47 %)
Long Trade on SNXX (CatchTheWave)
With 125.08 SNXX at 13.585$ per unit. Take profit: 13.7129 (0.94 %) & Stop Loss: 13.521 (0.47 %)
Position size of 1699.2316 $
Take profit at 13.7129 (0.94 %)
and Stop Loss at 13.521 (0.47 %)
| Prediction 1 | Probability |
|---|---|
|
Strong Trade
|
0.6 |
| Prediction 2 | Probability |
|---|---|
| 0 | 0.43 |
| Prediction 3 | Probability |
|---|---|
| 0 | 0.54 |
| BTC Market Regime | BTC Market Regime V2 |
|---|---|
|
ml_regime : neutral rules_regime : bear_medium rules_regime_5m : range_low Score : 0 |
ml_regime : range_high rules_regime : bull_high rules_regime_4h : range_medium tf_aligned : 01/09 18:01 |
| BTC Correlation | Coin Market Regime |
|---|---|
|
5m : 0.268466 15m : 0.503042 |
1H_regime : bull_high 15m_regime : bear_high 5m_regime : bear_medium |
| TF | Direction | Phase | Structure | Strength | Momentum | Volatility | Regime | Tradability | Évalué à |
|---|---|---|---|---|---|---|---|---|---|
| 4h | ↑ up | transition | bullish_transition | strong | explosive | volatile_reversal | bull_high |
69%
|
01/09 20:00 |
| 1h | ↑ up | transition | bullish_transition | strong | grind | normal | bull_high |
76%
|
01/09 22:00 |
| 15m | ↓ down | range | range | moderate | grind | compression | bear_high |
65%
|
01/09 22:00 |
| 5m | ↓ down | range | range | moderate | grind | compression | bear_medium |
69%
|
01/09 22:15 |
Indicators:
77461
-0.00450683
77111.9
0.268466
77959.8
-0.0096179
77210
0.503042
78042.9
-0.0119301
77111.9
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15.07
192
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7
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0.54
-0.0522
0.4854
0.4547
0.3932
0.5118
-4.1658
4.3678
1
0
0
Market Structure Score: 0
Windows: Left: 5 | Right: 5
Market Structure Features:
SL & TP Pivot Distance:
| DateTime | Price | Type |
|---|---|---|
| 2026-09-01 14:25:00 | 13.607 | ↓ Low |
| 2026-09-01 15:05:00 | 14.393 | ↑ High |
| 2026-09-01 15:15:00 | 14.022 | ↓ Low |
| 2026-09-01 15:45:00 | 15.07 | ↑ High |
| 2026-09-01 18:45:00 | 13.51 | ↓ Low |
| 2026-09-01 19:10:00 | 13.85 | ↑ High |
| 2026-09-01 19:50:00 | 13.605 | ↓ Low |
| 2026-09-01 19:55:00 | 13.999 | ↑ High |
| 2026-09-01 21:00:00 | 13.649 | ↓ Low |
| 2026-09-01 22:20:00 | 13.572 | ↓ Low |
Windows: Left: 5 | Right: 5
Market Structure Features:
SL & TP Pivot Distance:
| DateTime | Price | Type |
|---|---|---|
| 2026-09-01 04:15:00 | 14.029 | ↑ High |
| 2026-09-01 05:15:00 | 13.827 | ↓ Low |
| 2026-09-01 06:00:00 | 14.06 | ↑ High |
| 2026-09-01 09:00:00 | 13.297 | ↓ Low |
| 2026-09-01 11:00:00 | 13.259 | ↓ Low |
| 2026-09-01 13:30:00 | 13.322 | ↓ Low |
| 2026-09-01 15:45:00 | 15.07 | ↑ High |
| 2026-09-01 18:45:00 | 13.51 | ↓ Low |
| 2026-09-01 19:45:00 | 13.999 | ↑ High |
| 2026-09-01 22:15:00 | 13.6 | ↓ Low |
Windows: Left: 5 | Right: 5
Market Structure Features:
SL & TP Pivot Distance:
| DateTime | Price | Type |
|---|---|---|
| 2026-08-30 07:00:00 | 13.164 | ↑ High |
| 2026-08-30 12:00:00 | 12.925 | ↓ Low |
| 2026-08-30 16:00:00 | 13.149 | ↑ High |
| 2026-08-31 00:00:00 | 12.249 | ↓ Low |
| 2026-08-31 19:00:00 | 12.29 | ↓ Low |
| 2026-08-31 20:00:00 | 14.505 | ↑ High |
| 2026-09-01 02:00:00 | 13.74 | ↓ Low |
| 2026-09-01 06:00:00 | 14.06 | ↑ High |
| 2026-09-01 11:00:00 | 13.259 | ↓ Low |
| 2026-09-01 15:00:00 | 15.07 | ↑ High |
Trend
Current Swing
Structure
Context
Order Book Imbalance
Microstructure
| Start at | Closed at | Duration |
|---|---|---|
| 01 Sep 2026 18:24:17 |
01 Sep 2026 20:00:00 |
1 hour |
| Entry | Stop Loss | Take Profit | RR | Current Price |
|---|---|---|---|---|
| 13.585 | 13.521 | 13.7129 | 2 | 13.697 |
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 = 13.521 - 13.585 = -0.064
Récompense (distance jusqu'au take profit):
E - TP = 13.585 - 13.7129 = -0.1279
Risk-Reward Ratio:
RRR = TP_DIST / SL_DIST = -0.1279 / -0.064 = 1.9984
| Amount | Margin | Quantity | Leverage |
|---|---|---|---|
| 1699.2316 | 100 | 125.0815 | 16.99 |
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 / -0.064 = -125
Taille de position USD = -125 x 13.585 = -1698.13
Donc, tu peux acheter -125 avec un stoploss a 13.521
Avec un position size USD de -1698.13$
3. Calcul de la PERTE potentielle
Perte = Taille de position x Distance Stop Loss
Perte = -125 x -0.064 = 8
Si Stop Loss atteint, tu perdras 8$
4. Calcul du GAIN potentielle
Gain = Taille de position x Distance Take Profit
Perte = -125 x -0.1279 = 15.99
Si Take Profit atteint, tu gagneras 15.99$
Résumé
| TP % Target | TP $ Target |
|---|---|
| 0.94 % | 16 $ |
| SL % Target | SL $ Target |
|---|---|
| 0.47 % | 8.01 $ |
| PNL | PNL % |
|---|---|
| 16 $ | 0.94 |
| Max Drawdown | Max Drawdown / SL Ratio | Candles in Entry |
|---|---|---|
| -0.2944 % | 62.49 % | 4 |
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Ce trade aurait-il passé les filtres v2 (quality rank + confidence + régime) ?