Forwarded from WolvesVIP
These are the 2 trades we took last night but the important part is that none of this was random. The entire idea was already being planned during Monday NYSE
Our main condition was simple: Gold needed to break AND close above 4360. Once price confirmed above that level, our bullish idea remained valid and we started looking for the right opportunities to get involved
1οΈβ£ 4367/4363 BUY LIMIT
This setup was actually sent late during NYSE. Before the market closed, I deleted the limit because I didnβt want us exposed to a possible market gap. Once the market reopened and price was still holding above 4360, nothing about our original analysis had changed. The setup still aligned with our higher-timeframe direction and confirmations, so the limit was placed back π
β 4367/4363 Buy β +350 PIPS π Runner still open
2οΈβ£ 4403/4401 + 4397 BUYS
Price continued creating new highs without giving us the deeper pullback we originally wanted. Instead of chasing the move, I waited for Asia volume to come in and give us NEW confirmation. I wanted to see price close bullish above 4390, continue holding bullish structure, and create fresh value on the 30M/15M timeframe that we could use for an entry
Thatβs exactly what happened. Once the structure developed, we took the higher buy opportunity π
β 4403/4401 Buy Limit β +330 PIPS β 80% secured β 4397 Buy β +360 PIPS β 80% secured
We planned the direction first β waited for confirmation β adjusted as price developed β then executed
Thatβs the difference between chasing Gold and having an actual trading plan. Amazing Asia session family. Now we approach NYSE with the exact same patience
Our main condition was simple: Gold needed to break AND close above 4360. Once price confirmed above that level, our bullish idea remained valid and we started looking for the right opportunities to get involved
1οΈβ£ 4367/4363 BUY LIMIT
This setup was actually sent late during NYSE. Before the market closed, I deleted the limit because I didnβt want us exposed to a possible market gap. Once the market reopened and price was still holding above 4360, nothing about our original analysis had changed. The setup still aligned with our higher-timeframe direction and confirmations, so the limit was placed back π
β 4367/4363 Buy β +350 PIPS π Runner still open
2οΈβ£ 4403/4401 + 4397 BUYS
Price continued creating new highs without giving us the deeper pullback we originally wanted. Instead of chasing the move, I waited for Asia volume to come in and give us NEW confirmation. I wanted to see price close bullish above 4390, continue holding bullish structure, and create fresh value on the 30M/15M timeframe that we could use for an entry
Thatβs exactly what happened. Once the structure developed, we took the higher buy opportunity π
β 4403/4401 Buy Limit β +330 PIPS β 80% secured β 4397 Buy β +360 PIPS β 80% secured
We planned the direction first β waited for confirmation β adjusted as price developed β then executed
Thatβs the difference between chasing Gold and having an actual trading plan. Amazing Asia session family. Now we approach NYSE with the exact same patience
π MONDAY β Aug 10, 2026
XAUUSD Trading Signals Β· NY + Asia Session
4 trades taken Β· 4W / 0L Β· 100% win rate 2 deleted/missed Β· 2 BE runner exits (not counted)
β
Buy Limit 4354/4352 (NY Β· Long)
Both triggered. 4354 closed TP1 β +30 pips. 4352 50% secured at TP1, runner out at BE
β
Buy 4355/4357 (NY Β· re-entry Β· Long)
Ran 80pips, closed everything fully before price came back
π Buy Limit 4330/4326 β set as backup zone, never triggered, price stayed bullish
β
Buy Limit 4367/4363 (re-set [18] Β· Long)
Deleted first time [17], re-set β +350 pips Β· runner still open π
β
Buy Limit 4403/4401 + Buy 4397 (Asia Β· Long)
4403 β TP1 +30 pips Β· 4401 β +330 pips (80% closed) Β· 4397 β +360 pips (80% closed)
Total pips secured:
= +1,180 pips. 4363 Runners still live heading into NYSEπ₯
XAUUSD Trading Signals Β· NY + Asia Session
4 trades taken Β· 4W / 0L Β· 100% win rate 2 deleted/missed Β· 2 BE runner exits (not counted)
Both triggered. 4354 closed TP1 β +30 pips. 4352 50% secured at TP1, runner out at BE
Ran 80pips, closed everything fully before price came back
Deleted first time [17], re-set β +350 pips Β· runner still open π
4403 β TP1 +30 pips Β· 4401 β +330 pips (80% closed) Β· 4397 β +360 pips (80% closed)
Total pips secured:
= +1,180 pips. 4363 Runners still live heading into NYSE
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WOLVES TRADING
π MONDAY β Aug 10, 2026 XAUUSD Trading Signals Β· NY + Asia Session 4 trades taken Β· 4W / 0L Β· 100% win rate 2 deleted/missed Β· 2 BE runner exits (not counted) β
Buy Limit 4354/4352 (NY Β· Long) Both triggered. 4354 closed TP1 β +30 pips. 4352 50% securedβ¦
Iβve secured 80% profits leaving runners open π BIG TRADE
Last week we fixed how you enter. This week we fix whether you survive long enough for that entry to matter
Here's the truth: the traders blowing accounts this month aren't losing because their analysis is wrong. They're losing because one oversized position undid twenty good ones. Your stop loss was never there to be avoided. It's there to save your career
Lesson 1 β Protect the Account First More coming today. Stay tuned in
Here's the truth: the traders blowing accounts this month aren't losing because their analysis is wrong. They're losing because one oversized position undid twenty good ones. Your stop loss was never there to be avoided. It's there to save your career
Lesson 1 β Protect the Account First More coming today. Stay tuned in
β€10π1
WOLVES TRADING
Gold π Pair: XAUUSD π Side: Long / Buy Limit Entry: 4367 4363 TP: Open SL: 4355 Note: past profits do not predict future profits Risk 0.5-1-2% TP1 4377 100pips β
TP2 4387 200pips β
TP3 4397 300pips β
Use Proper Risk Management
Set this again ! I will re take if taken out at BE (took in vip)
WOLVES TRADING
Set this again ! I will re take if taken out at BE (took in vip)
Gold π
Pair: XAUUSDπ
Side: Long / Buy Limit
Entry: 4367 4363
TP: Open
SL: 4355
Note: past profits do not predict future profits
Risk 0.5-1-2%
TP1 4377 100pipsβ
TP2 4387 200pipsβ
TP3 4397 300pipsβ
Use Proper Risk Management
Pair: XAUUSD
Side: Long / Buy Limit
Entry: 4367 4363
TP: Open
SL: 4355
Note: past profits do not predict future profits
Risk 0.5-1-2%
TP1 4377 100pips
TP2 4387 200pips
TP3 4397 300pips
Use Proper Risk Management
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β€1
WOLVES TRADING
Last week we fixed how you enter. This week we fix whether you survive long enough for that entry to matter Here's the truth: the traders blowing accounts this month aren't losing because their analysis is wrong. They're losing because one oversized positionβ¦
I WANT YOU GUYS TO REALLY UNDERSTAND THIS ππΌ
Picture this... You have a losing week. And guess what? It barely affects you. Not because you donβt care about losing, but because you managed your risk correctly from the START. Your account is down -2% or -3%... not -20%, -30% or blown. Youβre not staring at your balance stressed out trying to figure out how youβre going to make everything back Monday
Instead, you can sit down calmly, review every trade, see what you did wrong, make adjustments and come back next week with the SAME confidence. THAT is proper risk management. A lot of traders think becoming better means finding better entries, catching more pips or having a higher win rate...
But none of that matters if ONE bad week can destroy months of progress. Understand something even the BEST setup can lose. You can have the perfect level, perfect confirmation, perfect structure and the market can STILL stop you out. That part is out of your control
What IS in your control is how much that loss costs you. Before you ever click BUY or SELL, you should already know exactly how much you're willing to lose if you're wrong. Thatβs why your lot size should be based around your SL + risk, NOT around how much money you want to make
A 10 pip SL doesn't automatically mean you're risking less
A 50 pip SL doesn't automatically mean you're risking more
Your LOT SIZE adjusts to your stop loss so your account risk stays the SAME
This is where traders get it wrong. Your setup doesn't need to win every time. Your risk management needs to protect you EVERY time. Because thereβs a BIG difference between:
βI had a bad trading week.β
and...
βI had a bad trading week and now I need to make 30% just to recover.β
Your first job as a trader isn't to make money. Your first job is to make sure you're still here to trade the next opportunity !!!
Picture this... You have a losing week. And guess what? It barely affects you. Not because you donβt care about losing, but because you managed your risk correctly from the START. Your account is down -2% or -3%... not -20%, -30% or blown. Youβre not staring at your balance stressed out trying to figure out how youβre going to make everything back Monday
Instead, you can sit down calmly, review every trade, see what you did wrong, make adjustments and come back next week with the SAME confidence. THAT is proper risk management. A lot of traders think becoming better means finding better entries, catching more pips or having a higher win rate...
But none of that matters if ONE bad week can destroy months of progress. Understand something even the BEST setup can lose. You can have the perfect level, perfect confirmation, perfect structure and the market can STILL stop you out. That part is out of your control
What IS in your control is how much that loss costs you. Before you ever click BUY or SELL, you should already know exactly how much you're willing to lose if you're wrong. Thatβs why your lot size should be based around your SL + risk, NOT around how much money you want to make
A 10 pip SL doesn't automatically mean you're risking less
A 50 pip SL doesn't automatically mean you're risking more
Your LOT SIZE adjusts to your stop loss so your account risk stays the SAME
This is where traders get it wrong. Your setup doesn't need to win every time. Your risk management needs to protect you EVERY time. Because thereβs a BIG difference between:
βI had a bad trading week.β
and...
βI had a bad trading week and now I need to make 30% just to recover.β
Your first job as a trader isn't to make money. Your first job is to make sure you're still here to trade the next opportunity !!!
β€3
WOLVES TRADING
Gold π Pair: XAUUSD π Side: Long / Buy Limit Entry: 4367 4363 TP: Open SL: 4355 Note: past profits do not predict future profits Risk 0.5-1-2% TP1 4377 100pips β
TP2 4387 200pips β
TP3 4397 300pips β
Use Proper Risk Management
This is still pending !!
Iβm looking for more buys on gold abobe 4385 and 4390 with bullish structure above those levels or we simply wait for same area to go active !! Not forcing a trade !!!
Iβm looking for more buys on gold abobe 4385 and 4390 with bullish structure above those levels or we simply wait for same area to go active !! Not forcing a trade !!!
WOLVES TRADING
Gold π Pair: XAUUSD π Side: Long / Buy Limit Entry: 4367 4363 TP: Open SL: 4355 Note: past profits do not predict future profits Risk 0.5-1-2% TP1 4377 100pips β
TP2 4387 200pips β
TP3 4397 300pips β
Use Proper Risk Management
ACTIVE β
Close 4367 40pipsβ
4363 Running 80pipsπ€ secure 50% and BE
Close 4367 40pips
4363 Running 80pips
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