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LeveragedETFPro

@hhomsi8

3× Leveraged ETF trader | Quant mindset | Algorithmic ≠ hype | Sharing what works for me, #python #easylanguage #pinescript

Stockholm, Sweden Katılım Eylül 2009
685 Takip Edilen200 Takipçiler
scottpulcinitrader.com
scottpulcinitrader.com@scottpulcinitr1·
@hhomsi8 On the Bookmap chart its resting orders seen on the heatmap. The chart on the right is Sierra chart with the Ludwig Levels. Very powerful levels in their own right.
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Fanni F
Fanni F@fannitrades·
MONTHLY UPDATE - APRIL 2026 From hesitant trader to active executor. Next: selective executor. 🟢 Net P&L: +$396 Win rate: 25% Profit factor: 1.12 Avg. RR: 3.31 Wins: 19 (vs 13 in March) Apex $50k evaluation account: $50,384 / $53,000 (12% to profit target, currently risking up to $100 per trade). At first glance I improved: ✅ execution, market understanding, and confidence pressing the button. But: ⏳ profit factor still low, equity curve volatile, and one large outlier trade heavily contributed. Reflections 🗨️ There is an outlier trade and I would have been red without that trade. This means I'm slightly negative because of inconsistent filtering that's still developing. This is what needs work. 🗨️ The big win: shows me high skills potential, correct read, massive RR. But I know that this is harder to repeat and not systemised. This is a future edge. 🗨️ Win rate still too low. I focused on executing valid setups (then later only A+ setups). There were a lot of mistakes to gather insight. I learn a lot from these to refine my criteria and filtering. Towards the end of the month, I developed a conviction where I saw valid setups and analysed why they weren't high probability ones. 🗨️ Priority issue: Some process mistakes come from situations where I focus on one side while the other side is obvious. When I emotionally favour one side, I can discount the valid setups going for the other side. I will have to work on this. 🗨️ Execution Rate: 42-45% this is the percentage of times I executed on valid A+ setups in the last 2 weeks. This is decent. I would like to keep improving this by being more mechanical about my checklist for A+ setups and reducing the decision bias for favouring one side. WHAT IMPROVED ⭐️ I increased the number of winning trades and days. ⭐️ I started pressing the button - less hesitation. ⭐️ I recently reduced low-quality trades: e.g., no clear DOL -> no trade. ⭐️ I introduced trade limits from last week: max 3-4 per session -> sharper focus, professional behaviour, fresh decision-making. ⭐️ I got out of drawdown. NEXT STEPS Can I remove the bad trades without removing the good ones? ✅ I would like to achieve profitability without an outlier trade. ✅ Can I achieve 80% of my trades are A+ setups sticking to ONE model for the next month. ✅ During session: trade one model only, after session: study ALL models I saw.
Fanni F tweet mediaFanni F tweet media
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Tiffany Fong
Tiffany Fong@TiffanyFong·
I am hiring a junior analyst.
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Valeriya
Valeriya@ValeriyBreakout·
Write me the real amount in $ that will cover all your problems
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Réem_almnzer
Réem_almnzer@Reemmnzer·
سـوال ⁉️⁉️⁉️⁉️⁉️ عمرك اتعرفت على حداا من النت وصار غالي على قلبك؟!
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spacemonkey
spacemonkey@spacemnke·
$NVDA is setting up for a run you don’t want to miss.
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Salma
Salma@salmaogs·
Trading changed my life -- it can change yours too
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Selz
Selz@SelzTrades·
$SPX DAILY MODEL RUNNING PERFECT! Members are printing fat! $SPX $MSFT puts! Here's an most recent projection 👇 (no labels, gotta be in Green Room to get that sauce)
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Mo
Mo@optionflys·
$SPX $QQQ Yesterday we tagged the 200% extension. Doesn’t mean it ends here. But this is the zone that matters. Watch for exhaustion. If it shows → sets up a 4th wave in the coming sessions. Then we map the downside retracements. Structure first. Always. Previous update 👇 x.com/optionflys/sta… $SPY
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Mo
Mo@optionflys·
$SPX How it started → How it’s going. March 31st: W-X-Y correction. Wait for structure. Said: 5 waves up = trend shift 3 waves = lower to come Since then: Market kept printing new highs. That wasn’t a bounce. That was a trend shift. Previous roadmap from March 31st 👇 x.com/optionflys/sta… $SPY $QQQ
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Mo
Mo@optionflys·
$SPX Cycle update. April 1. Called the reset. ~10% dip into the 40 week. Now new highs. Same cycle again. Next window Aug. Everyone calls it random. It’s not. It’s structure. April 1 👇 x.com/optionflys/sta… $SPY $QQQ @Optuma
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Mo@optionflys

$SPX Since 2022 bear market low → ~40 week cycles Most resets ~10% Then right back up Just had another ~10% dip 40 week MA ~6586 Today high 6608 Today close 6575 Tagged. Rejected. Next window → Aug 14 Below = reset Reclaim = trend Not random Structure first. $SPY $QQQ @Optuma

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Shay Boloor
Shay Boloor@StockSavvyShay·
$SNAP is laying off ~16% of its workforce while guiding for ~$1.53B in Q1 revenue, ~$233M EBITDA and up to $130M in restructuring charges. Tough scene for morale when layoffs hit right after the CEO Evan Spiegel is having the time of his life at Coachella.
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LeveragedETFPro
LeveragedETFPro@hhomsi8·
@kpak82 Thanks do sharing your stats, I think you might be on to something here. Looking at the work @optionflys shared, we see a ~9% drop then V rally and then small dip to rest a bit
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kpak
kpak@kpak82·
$SPY fun fact: Previous 2 times daily RSI was at current overbought level: October 29, 2025: Closed -4.2% lower in 7 days October 9, 2025: Closed -2.7% next day
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Nautilus Research
Nautilus Research@NautilusCap·
SPX Election cycle seasonal composite.
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LeveragedETFPro
LeveragedETFPro@hhomsi8·
@David_Tracey But isn’t time for some rest? For rally to continue it need to base a bit, or?
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