Trade

buy - GRIFFAIN

Status
loss
2025-06-02 23:12:31
1 hour
PNL
-0.92
Entry: 0.06403
Last: 0.06344000

Results

Status:
loss
Trade Type:
buy
Prediction Score: -0.6758
Prediction 1 Accuracy
Weak Trade
0.74
Prediction 2 Accuracy
0 0.61
ML Trade Score: -100

Signal

CatchTheWave Signal - buy

Indicators:

  1. long_trend: 1
  2. short_kc: True
  3. short_kc_percentage: 0.32
  4. atr: 0.0003952399392
Details
  1. score: 2.32
  2. 1H: ema9 - 0.0642267
  3. 1H: ema21 - 0.0633981
  4. 1H: ema50 - 0.0632066
  5. 1H: ema100 - 0.0650295
  6. 1H: price_ema9_diff - -0.00306276
  7. 1H: ema9_ema21_diff - 0.013069
  8. 1H: ema21_ema50_diff - 0.00302983
  9. 1H: price_ema100_diff - -0.0153712
  10. 1H: all_emas_in_trend - True
  11. 1H: all_emas_and_price_in_trend - False
  12. 1H: rsi - 0.536915
  13. 1H: kc_percentage - 0.586862
  14. 1H: kc_width_percentage - 0.106453
  15. ¸
  16. 15m: ema9 - 0.065242
  17. 15m: ema21 - 0.0648911
  18. 15m: ema50 - 0.0638958
  19. 15m: ema100 - 0.0634006
  20. 15m: price_ema9_diff - -0.0185781
  21. 15m: ema9_ema21_diff - 0.00540745
  22. 15m: ema21_ema50_diff - 0.0155775
  23. 15m: price_ema100_diff - 0.00992624
  24. 15m: all_emas_in_trend - True
  25. 15m: all_emas_and_price_in_trend - False
  26. 15m: rsi - 0.454221
  27. 15m: kc_percentage - 0.221787
  28. 15m: kc_width_percentage - 0.0508073
  29. ¸
  30. 5m: ema9 - 0.064888
  31. 5m: ema21 - 0.0653122
  32. 5m: ema50 - 0.0651273
  33. 5m: ema100 - 0.064298
  34. 5m: price_ema9_diff - -0.0132232
  35. 5m: ema9_ema21_diff - -0.00649586
  36. 5m: ema21_ema50_diff - 0.00284015
  37. 5m: price_ema100_diff - -0.00416946
  38. 5m: all_emas_in_trend - False
  39. 5m: all_emas_and_price_in_trend - False
  40. 5m: rsi - 0.281825
  41. 5m: kc_percentage - -0.317406
  42. 5m: kc_width_percentage - 0.024237
  43. ¸

Long Trade on GRIFFAIN

The 02 Jun 2025 at 23:12:31

With 864 GRIFFAIN at 0.06403$ per unit.

Take profit at 0.06492 (1.4 %) and Stop Loss at 0.06344 (0.92 %)

That's a 1.5 RR Trade

📌 Similar Trades

Similar Trade Score: -86 %

Symbol Start at Seach Score Trade Score Trades Count
ONDO 2025-06-02 23:14:25 0.9711 -100 2
HBAR 2025-06-02 23:09:32 0.9698 -100 1
FARTCOIN 2025-06-02 23:12:11 0.9656 -100 1
RENDER 2025-06-02 23:15:09 0.9581 -100 2
AI16Z 2025-06-02 23:12:22 0.9579 -100 1
ENA 2025-06-02 23:11:02 0.9577 -100 1
NEAR 2025-06-02 23:08:50 0.9567 -100 1
1000BONK 2025-06-02 23:10:13 0.9552 -100 1
DOG 2025-06-02 23:14:55 0.9533 40 2
INJ 2025-06-02 23:09:40 0.9518 -100 1

📌 Time Data

Start at Closed at Duration
02 Jun 2025
23:12:31
03 Jun 2025
00:30:00
1 hour

📌 Entry & Exit

Entry Stop Loss Take Profit RR Current Price
0.06403 0.06344 0.06492 1.5 0.05221
Details
Click the "Sign Up" button in the top right corner and follow the registration process.

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:

  • Entry 0.06403
  • Stop Loss: 0.06344
  • Take Profit: 0.06492

Calcul:

  • Risque (distance jusqu'au stop loss) :

    SL - E = 0.06344 - 0.06403 = -0.00059000000000001

  • Récompense (distance jusqu'au take profit):

    E - TP = 0.06403 - 0.06492 = -0.00089

  • Risk-Reward Ratio:

    RRR = TP_DIST / SL_DIST = -0.00089 / -0.00059000000000001 = 1.5085

📌 Position Size

Amount Margin Quantity Leverage
864 100 13490 8.64
Details

1. Déterminer le montant risqué sur ce trade

Risk Amount = Capital x Risk per trade

Paramètres:

  • Account Size 100
  • Risk per trade 8 %

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:

  • Risk Amount 8
  • Distance Stop Loss -0.00059000000000001

Taille de position = 8 / -0.00059000000000001 = -13559.32

Taille de position USD = -13559.32 x 0.06403 = -868.2

Donc, tu peux acheter -13559.32 avec un stoploss a 0.06344

Avec un position size USD de -868.2$

3. Calcul de la PERTE potentielle

Perte = Taille de position x Distance Stop Loss

Perte = -13559.32 x -0.00059000000000001 = 8

Si Stop Loss atteint, tu perdras 8$

4. Calcul du GAIN potentielle

Gain = Taille de position x Distance Take Profit

Perte = -13559.32 x -0.00089 = 12.07

Si Take Profit atteint, tu gagneras 12.07$

Résumé

  • Taille de position -13559.32
  • Taille de position USD -868.2
  • Perte potentielle 8
  • Gain potentiel 12.07
  • Risk-Reward Ratio 1.5085

📌 Peformances

TP % Target TP $ Target
1.4 % 12 $
SL % Target SL $ Target
0.92 % 8 $
RR PNL PNL % Max Drawdown
1.5 -8 $ -0.92 -1.0463845072622

📌 ML Extra Data

Extra TP Data

                              Array
(
)
Extra SL data

                              Array
(
    [1.1] => Array
        (
            [take_profit] => 0.06492
            [entry_price] => 0.06403
            [stop_loss] => 0.063381
            [rr_ratio] => 1.37
            [sl_change_percentage] => 1.1
            [closed_at] => 2025-06-03 00:30:00
            [result] => loss
        )

    [1.2] => Array
        (
            [take_profit] => 0.06492
            [entry_price] => 0.06403
            [stop_loss] => 0.063322
            [rr_ratio] => 1.26
            [sl_change_percentage] => 1.2
            [closed_at] => 2025-06-03 00:45:00
            [result] => loss
        )

    [1.3] => Array
        (
            [take_profit] => 0.06492
            [entry_price] => 0.06403
            [stop_loss] => 0.063263
            [rr_ratio] => 1.16
            [sl_change_percentage] => 1.3
            [closed_at] => 2025-06-03 00:45:00
            [result] => loss
        )

    [1.5] => Array
        (
            [take_profit] => 0.06492
            [entry_price] => 0.06403
            [stop_loss] => 0.063145
            [rr_ratio] => 1.01
            [sl_change_percentage] => 1.5
            [closed_at] => 2025-06-03 00:45:00
            [result] => loss
        )

)