Key Criteria: - Market cap: $10 billion+ - High Relative Volume on Close (2Rvol+) - Ideally, the price has hit a key daily/weekly support or resistance zone and has not gapped into a range (mid of a range). - Stock is "in play" or on the verge of forming a new trend.
Trade Details: - Position: Long - Entry: $64.27 - Stop: $62.43 - Risk: 0.75% of account equity - Order Type: Sell Stop Limit Order - Risk per share: $1.84
Targets: - $68.00 (2R) – This is the closest large level. - $70.66 (3.5R) – This level is the pivot high of the breakout.
Exit Techniques: - Scale 33% of original position size at 2R. - Scale 33% of original position size at 3.5R. - Exit the remaining 34% of original position size using the new 3-day low after new high method (ask if unsure).
Reasoning: - PayPal (PYPL) is potentially at a pivotal breakout point from the trading range it has been in since mid-April 2023. The top of this range is around $70, with a bottom between $50 and $55. Currently, PYPL is pushing above a weekly bearish Fair Value Gap (FVG) and a significant volume point of control, which might indicate the start of a breakout.
- This setup is compelling due to PayPal’s recent earnings report, which shows a turnaround from -$350 million in free cash flow (FCF) to $1.4 billion, along with increased revenue, operating income, and payout volume—all while maintaining a static account base. This positive shift in fundamentals may not be fully reflected in the current price, providing an opportunity for the stock to gain momentum and move towards the $70 level.
Stop Loss: - The stop loss will be updated after the first profit target (2R) is hit and shares are scaled out.
Additional Notes: - Set orders to automatically scale out shares. If the take profit (TP) is hit and you are still holding the full position size, please manage your own risk accordingly. - Any questions, please feel free to ask. I am here to support and help you understand how to be a consistent trader.
Position Sizing: - I will be buying 203 shares, costing me $13,077.52. - Risk on this trade is $374.40, aligning with 0.75% of equity (accounting for losses on all current trades).
Bilgiler ve yayınlar, TradingView tarafından sağlanan veya onaylanan finansal, yatırım, işlem veya diğer türden tavsiye veya tavsiyeler anlamına gelmez ve teşkil etmez. Kullanım Şartları'nda daha fazlasını okuyun.