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πŸ“ˆWe track everything that moves the markets: fast news, clear context, real narratives.
πŸ“© Reach out: @strategy

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Always take profit before the screenshot


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😁99πŸ’―13❀11🀯2🫑2πŸ”₯1πŸ’”1
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"Money has no utility to me. Time has utility to me."

~ Warren Buffett



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πŸ”₯33❀22πŸ‘6πŸ’―4😁2
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The ability to do nothing is something.

Take notes



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πŸ”₯41❀19πŸ‘9πŸ’―4
After 2–3 years of trading, you’ll figure it out.

The hardest part of the trading skill is doing nothing.



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❀93πŸ‘12πŸ”₯6
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These are the quants you’re competing against in China.


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😁31πŸ”₯8❀4πŸ‘Ž3🫑3
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You don’t need perfect conditions to move forward.

You need consistency and intent.

Everything else is optional.


What’s your excuse?


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❀68😁17πŸ‘13πŸ”₯7😒5πŸ‘Ž1
Forwarded from Quant Signals Free
While we wait for the new week to kick off, we took a look at the crypto market.

$HYPE stands out. Price action is clearly stronger than most of the board.

The October 10 liquidation low was taken. Since that sweep, buyers have been in control.

The push toward the $52 range high looks programmed. The only real question is execution.

The idea is not just to buy a pullback, but to localize the entry on lower timeframes around the $26.5 area. That’s where the risk can be tightened and the upside maximized.

If the setup forms, the signal will be posted in premium channel.

🫢 Have a good weekend
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❀25πŸ”₯4πŸ‘3
trading is a j-curve business


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❀54πŸ’―20😁7πŸ‘4🀝1
Your biggest trading flex isn’t a green day.

It’s taking consecutive small losses without revenge trading.

That’s elite execution.



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❀75πŸ”₯14πŸ’―12πŸ‘3
⚠️ Key Events This Week

Holiday-shortened week, but the real driver is inflation. Core PCE is the anchor, while FOMC minutes and heavy Fed communication shape how the market interprets it.

Around 15% of S&P 500 companies report earnings, and there are 10 Fed speaker events, so positioning risk stays elevated.

● Monday

- Presidents’ Day, US Markets Closed

US equities are shut. Liquidity is thinner and flows can build ahead of midweek releases.

πŸ”΄ Wednesday

- December Durable Goods Orders
- Fed FOMC Meeting Minutes

The minutes show how policymakers assessed inflation risks and rate timing. Any shift in tone feeds directly into rate pricing.

● Thursday

- Initial Jobless Claims

Claims act as a trend check for labor conditions. Sustained changes matter more than a single print.

πŸ”΄ Friday

- December Core PCE Inflation data
- Q4 GDP
- Services / Manufacturing PMI

Core PCE is the Fed’s preferred inflation gauge and anchors rate expectations.
GDP confirms growth momentum, with composition more important than the headline.
PMIs provide a fresh read on activity and price pressures.

Main focus: Wednesday’s minutes and Friday’s Core PCE, as policy tone meets hard inflation data.



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❀32πŸ‘7πŸ”₯4πŸ’―3
πŸ‡ΊπŸ‡Έ US Oil Output Turns Negative Year Over Year

US oil production has slipped into annual decline for the first time in 5 years.

At the same time, oil is one of the most heavily shorted assets in over a decade.

Supply tightening while positioning leans hard one way.


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❀23πŸ‘6πŸ”₯4
The official White House account congratulated Americans on Presidents’ Day with a graphic featuring Donald Trump and the quote: β€œI was the hunted, and now I’m the hunter.”


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❀34😁25πŸ‘Ž21πŸ‘4🫑1
🎯 The problem with perfect entries

Perfectionism around entries is one of the most expensive traits in trading.

Many traders obsess over the exact level. The clean wick touch. The perfect fill. It looks like discipline. In reality, it creates hesitation and missed trades.

Markets are probabilistic. When you draw a single line and expect price to react perfectly from it, you are forcing rigidity onto something fluid.

A good trade is not about how pretty the entry looks. It is about context, confirmation, and controlled risk.

Two shifts help a lot:

πŸ“Š Move from exact lines to zones
πŸ“Š Move from touch-based entries to confirmation-based entries

Instead of shorting the first touch of a level, wait for a pullback and a break of structure. Instead of buying the exact low, wait for strength to confirm.

Yes, you might enter slightly worse. But you gain clarity and consistency.

Perfection sounds precise. In practice, it often blocks execution.


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❀60πŸ‘15πŸ’―8😒2🀝2
50% profit on $1,000 is $500
5% profit on $100,000 is $5,000

Chase bigger capital not bigger returns



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❀78🫑18🀝10πŸ’―8πŸ‘4
If you spent $10 million per day for the past 2,000 years since Jesus was born, you would have spent about $7.4 trillion by now.

The US national debt is $38.7 trillion.



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😁56🀯41❀10πŸ‘Ž4πŸ‘3πŸ™3😱2πŸ”₯1
WARNING: The biggest stock market crash in history is imminent warns Robert Kiyosaki, Rich Dad Poor Dad Author.

And the man who has predicted 50 of the last 2 stock market collapses.

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😁55❀22πŸ‘Ž9πŸ”₯4πŸ™1
Forwarded from Venture Capital
πŸ‡³πŸ‡± Netherlands proposes 36% tax on unrealized capital gains starting 2028

The Netherlands announced a 36% tax on unrealized capital gains covering stocks, ETFs, savings, and crypto. Each year, portfolio value growth would be taxed even if assets are not sold. The proposal still requires Senate approval and is scheduled to take effect on January 1, 2028.

Example:

πŸ–± €100K portfolio rises to €140K
πŸ–± €40K paper gain
πŸ–± After €1,800 threshold, €38,200 taxable
πŸ–± 36% tax = €13,752 due

Even if markets later crash, taxes already paid are not refunded. Losses can be carried forward, but prior unrealized gains remain taxed.

In a 3-year scenario:

πŸ–± Initial investment: €100K
πŸ–± Total tax paid: €13,752
πŸ–± Portfolio value after recovery: €110K
πŸ–± Real net capital after tax: €96,248

On paper the investor shows a profit. After taxes, they are below the original capital.

This setup increases forced selling risk, as investors may need to liquidate assets to pay taxes on unrealized gains.

βœ”οΈ Subscribe on @venture
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πŸ‘Ž60😱16❀14πŸ‘1
πŸ“ˆ Behavioural Slippage: the return you never capture

β€œBehavioural Slippage” describes the gap between what your system identifies and what you actually earn. It comes from sub-optimal decisions in real time. Missed trades, hesitation, early exits. Things a backtest never does.

Unless every trade idea is recorded, it is almost impossible to measure precisely. But the gap is there. And it is usually larger than people expect.

One portfolio manager who tracked all ideas and outcomes found a difference of nearly 40% return over 3 years. He was profitable, yet a large portion of potential gains never materialized.

The solution starts with acceptance. The gap exists. It is likely bigger than is comfortable.

Then identify where it comes from, and treat reduction as an ongoing project. Track behavior. Review decisions. Gradually narrow the distance between system edge and actual execution.

The system may already be good enough. Execution is the real variable.


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❀33πŸ‘6πŸ’―5πŸ”₯4
It's a beautiful game trading is.

You don't gotta be smart.
Doesn't matter male or female.
Black or white or yellow.
No college required.
No connections in high places.

You just gotta be consistent.

Develop the skills and you can provide a life for yourself and your family that seems like a dream.

But it's very real.

And within your grasp.

So grab that shit.



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❀82πŸ”₯18πŸ‘9
πŸ₯‡ Massive December gold call spreads raise eyebrows

A large investor has been accumulating December $15,000/$20,000 gold call spreads on COMEX.

For this trade to expire in the money, gold would need to triple from current levels by late 2026. The position can also benefit earlier from a sharp rally or a spike in volatility.

The buying began after gold hit a record $5,600 in late January. Even after prices dropped below $5,000, accumulation continued. Open interest has climbed to around 11,000 contracts.

This is not a hedge. It looks like a bet on a violent upside move.


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❀30πŸ‘8πŸ”₯4πŸ€”4😁3