Trade

buy - MOVE

Status
win
2025-03-26 00:24:24
15 minutes
PNL
2.40
Entry: 0.5302
Last: 0.54290000

Results

Status:
win
Trade Type:
buy
Prediction Score:
Prediction 1 Accuracy
n/a
Prediction 2 Accuracy
n/a
ML Trade Score: 60

Signal

CatchTheWave Signal - buy

Indicators:

  1. long_trend: 1
  2. short_kc: True
  3. short_kc_percentage: 0.07
  4. atr: 0.0056486996983463
Details
  1. score: 2.07

Long Trade on MOVE

The 26 Mar 2025 at 00:24:24

With 500.6 MOVE at 0.5302$ per unit.

Take profit at 0.5429 (2.4 %) and Stop Loss at 0.5217 (1.6 %)

That's a 1.5 RR Trade

📌 Similar Trades

Similar Trade Score: -81.43 %

Symbol Start at Seach Score Trade Score Trades Count
FET 2025-04-24 22:11:26 0.9751 -100 1
DOT 2025-04-12 22:05:20 0.9655 -100 2
LTC 2025-05-07 07:24:12 0.9625 -100 3
TRX 2025-04-26 18:50:25 0.9605 30 1
PARTI 2025-05-05 22:29:26 0.9594 -100 2
AAVE 2025-04-12 21:55:29 0.9581 -100 2
EOS 2025-04-24 22:40:45 0.9575 -100 1

📌 Time Data

Start at Closed at Duration
26 Mar 2025
00:24:24
26 Mar 2025
00:40:00
15 minutes

📌 Entry & Exit

Entry Stop Loss Take Profit RR Current Price
0.5302 0.5217 0.5429 1.5 0.1343
Details
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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 0.5302
  • Stop Loss: 0.5217
  • Take Profit: 0.5429

Calcul:

  • Risque (distance jusqu'au stop loss) :

    SL - E = 0.5217 - 0.5302 = -0.0085

  • Récompense (distance jusqu'au take profit):

    E - TP = 0.5302 - 0.5429 = -0.0127

  • Risk-Reward Ratio:

    RRR = TP_DIST / SL_DIST = -0.0127 / -0.0085 = 1.4941

📌 Position Size

Amount Margin Quantity Leverage
500.6 500.6 944.2 5.01
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 -0.0085

Taille de position = 8 / -0.0085 = -941.18

Taille de position USD = -941.18 x 0.5302 = -499.01

Donc, tu peux acheter -941.18 avec un stoploss a 0.5217

Avec un position size USD de -499.01$

3. Calcul de la PERTE potentielle

Perte = Taille de position x Distance Stop Loss

Perte = -941.18 x -0.0085 = 8

Si Stop Loss atteint, tu perdras 8$

4. Calcul du GAIN potentielle

Gain = Taille de position x Distance Take Profit

Perte = -941.18 x -0.0127 = 11.95

Si Take Profit atteint, tu gagneras 11.95$

Résumé

  • Taille de position -941.18
  • Taille de position USD -499.01
  • Perte potentielle 8
  • Gain potentiel 11.95
  • Risk-Reward Ratio 1.4941

📌 Peformances

TP % Target TP $ Target
2.4 % 12 $
SL % Target SL $ Target
1.6 % 8 $
RR PNL PNL % Max Drawdown
1.5 12 $ 2.40 0

📌 ML Extra Data

Extra TP Data

                              Array
(
    [2] => Array
        (
            [take_profit] => 0.5472
            [stop_loss] => 0.5217
            [rr_ratio] => 2
            [closed_at] => 2025-03-26 00:55:00
            [result] => win
        )

    [2.5] => Array
        (
            [take_profit] => 0.55145
            [stop_loss] => 0.5217
            [rr_ratio] => 2.5
            [closed_at] => 2025-03-26 01:00:00
            [result] => win
        )

    [3] => Array
        (
            [take_profit] => 0.5557
            [stop_loss] => 0.5217
            [rr_ratio] => 3
            [closed_at] => 2025-03-26 01:40:00
            [result] => win
        )

)
Extra SL data

                              Array
(
)