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This Swing Trader Has Memorized Stock Prices for Accurate Entries & Exits
Manage episode 480909589 series 2573969
Meet Shubham Batra, a swing trader who has mastered the art of identifying precise entry and exit points. With a deep understanding of price action, he analyzes over 100 charts daily and has memorized stock prices to quickly spot potential trade setups.
He believes that by comparing current stock prices with historical movements, traders can develop effective entry and exit strategies with higher accuracy.
His process begins with sectoral analysis, where he filters out stocks from underperforming sectors. Once he shortlists the top stocks within these sectors, he analyzes their accumulation and distribution zones to determine the best trade opportunities.
To time his entries, he combines multiple factors for confirmation. He looks at the previous day’s high, volume surges, and MACD crossovers to increase the probability of a successful trade.
This method helps him avoid false breakouts and ensures he enters only when the momentum aligns with his expectations.
Risk management is at the core of his strategy. He deploys only 10% of his capital initially and scales up his position gradually, but only if the stock moves as anticipated. This disciplined approach minimizes risk while maximizing potential returns, making his trading system both robust and sustainable.
WATCH FULL EPISODE ONLY ON OUR CHANNEL-A DIGITAL BLOGGER
967 episodes
Manage episode 480909589 series 2573969
Meet Shubham Batra, a swing trader who has mastered the art of identifying precise entry and exit points. With a deep understanding of price action, he analyzes over 100 charts daily and has memorized stock prices to quickly spot potential trade setups.
He believes that by comparing current stock prices with historical movements, traders can develop effective entry and exit strategies with higher accuracy.
His process begins with sectoral analysis, where he filters out stocks from underperforming sectors. Once he shortlists the top stocks within these sectors, he analyzes their accumulation and distribution zones to determine the best trade opportunities.
To time his entries, he combines multiple factors for confirmation. He looks at the previous day’s high, volume surges, and MACD crossovers to increase the probability of a successful trade.
This method helps him avoid false breakouts and ensures he enters only when the momentum aligns with his expectations.
Risk management is at the core of his strategy. He deploys only 10% of his capital initially and scales up his position gradually, but only if the stock moves as anticipated. This disciplined approach minimizes risk while maximizing potential returns, making his trading system both robust and sustainable.
WATCH FULL EPISODE ONLY ON OUR CHANNEL-A DIGITAL BLOGGER
967 episodes
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