• English
  • 简体中文
  • 繁體中文
  • Tiếng Việt
  • ไทย
  • Indonesia
Subscribe
Real-time News
On July 7th, Daiwa Securities released a research report stating that the latest channel inspections show that the retail sales value (RSV) of the sporting goods industry slowed quarter-on-quarter in the second quarter of this year, and the monthly volatility of RSV increased, further reducing the short-term predictability of Xtep (01368.HK). Meanwhile, the transformation of Xteps core brand will disrupt its wholesale business and require upfront investment, potentially diluting Xteps short-term revenue and profit margins. Although the Saucony brand can continue to maintain high growth, the core Xtep brand may face challenges from slower growth and increased competition. The bank lowered its earnings per share forecast for Xtep this year by approximately 12%, and reduced its target price from HK$5.2 to HK$3.9, downgrading its rating from "Outperform" to "Hold".Indian government officials said India will supply Indonesia with BrahMos cruise missile systems and Astra air-to-air missiles.Japans May coincident economic index rose 0.4% month-on-month, down from 1.3% in the previous month.Bernstein: Launches coverage research on SpaceX (SPCX.O) with an "Outperform" rating and a target price of $239.On July 7th, Citigroup issued a report stating that Kingboard Laminates (01888.HK) announced a price increase. Given the larger-than-expected increase, Citigroup raised its earnings forecast and target price from HK$120 to HK$130, maintaining a "Buy" rating. Citigroup believes the recent share price pullback was mainly due to fund rotation from higher-valuation AI hardware stocks to non-technology sectors, Metas sale of excess computing power, and the reduction of shares by its largest shareholder, Hallgain. However, Citigroup views this pullback as a buying opportunity. The bank indicated that subsequent catalysts include a higher-than-expected average selling price of electronic fiberglass cloth, a potential for a better-than-expected first-half profit warning, and the markets expectation of upward revisions to financial forecasts after the first-half results are released. Citigroup raised its 2026-2028 earnings forecasts by 11-12%, to RMB 9.607 billion, RMB 14.275 billion, and RMB 19.523 billion, respectively. Furthermore, the stock had previously been added to Citigroups upside catalyst watch list, expiring on August 2nd.

Where to Take Profit When Day Trading

Lubomir Tassev

Oct 25, 2021 13:27

 

A profit target is a pre-determined price level where you will close the trade.

Day traders should always know why and how they will get out of a trade.

There are multiple ways to determine where to get out.


  1. Calculate profit target of chart pattern

    Chart patterns, when they occur, can be used to estimate how far the price could move once the price moves out of the pattern.

    As shown in the figure, the Double Top Pattern in 30 minute chart in UKoil in March 13, 2020, the pattern is $2.695 high. Subtract $2.695 from Entry point $31.720 to get a profit target price of $29.025. 

    Then you can take profit order on price $29.025. When the price reach the target, your position would close automatically.

 

出场1.jpg


  2.  Manually move your take profit setting

        Place a stop loss and a take profit based on objective data, such as common tendencies on the price chart.

you want to extract as much profit potential as possible based on the tendencies of the market you are trading, So you should move the two settings up or down manually.

        If you take the long positions, move up both stop loss and take profit price while the tendency goes up.

If you take the short positions, move down both stop loss and take profit price while the tendency goes down.

This method requires you to spend time looking at the price chart.

 

   3. A fixed risk ratio

        One of the simplest close out is to use a fixed risk ratio. The profit target is set at a multiple of this, for example, 2:1. If you enter a short trade of BTCUSD at $5300 and determine your stop loss should be placed at $5170. the risk fund is $130, If you opt to use a 2:1 risk, then your profit target would be placed $5560, double space from your risk.

When starting out, the fixed risk method works well. Use a 1.5 or 2:1 reward to risk, and see it how it works out.

    

出场2.jpg


        Placing profit targets and close out requires skill. Choose one of your favorite and practice step by step.